LADENBURG THALMANN FINANCIAL SERVICES INC

Most recent update: Sept. 30, 2019

CompanyShares/WarrantsValue ($000)
Apple Inc.1,604,892355,949
Apple Inc.1,604,892355,949
Apple Inc.1,604,892355,949
Apple Inc.1,604,892355,949
Apple Inc.1,604,892355,949
Apple Inc.1,604,892355,949
Apple Inc.1,604,892355,949
Invesco Van Kampen Municipal Opportunity Trust4,296,333346,867
Apple Inc.1,740,259330,608
Apple Inc.1,740,259330,608
Apple Inc.1,740,259330,608
Apple Inc.1,649,081327,036
Apple Inc.1,649,081327,036
Apple Inc.1,649,081327,036
Apple Inc.1,649,081327,036
Apple Inc.1,649,081327,036
Apple Inc.1,649,081327,036
Invesco Van Kampen Municipal Opportunity Trust3,316,337287,638
Apple Inc.1,435,143240,593
Apple Inc.1,435,143240,593
Apple Inc.1,268,387195,505
SPDR GOLD TRUST3,770,227187,332
Amazon.com94,372179,170
Amazon.com94,372179,170
Amazon.com94,372179,170
Amazon.com94,372179,170
Amazon.com94,372179,170
Amazon.com94,372179,170
Fidelity Bancorp4,373,212177,758
Fidelity Bancorp4,373,212177,758
Berkshire Hathaway Inc.881,917177,268
Berkshire Hathaway Inc.881,917177,268
Berkshire Hathaway Inc.881,917177,268
Berkshire Hathaway Inc.825,358176,237
Berkshire Hathaway Inc.825,358176,237
Berkshire Hathaway Inc.825,358176,237
Berkshire Hathaway Inc.825,358176,237
Berkshire Hathaway Inc.825,358176,237
Berkshire Hathaway Inc.825,358176,237
Berkshire Hathaway Inc.828,288172,293
Berkshire Hathaway Inc.828,288172,293
Berkshire Hathaway Inc.828,288172,293
Berkshire Hathaway Inc.828,288172,293
Berkshire Hathaway Inc.828,288172,293
Berkshire Hathaway Inc.828,288172,293
Berkshire Hathaway Inc.828,288172,293
Amazon.com96,395171,758
Amazon.com96,395171,758
Amazon.com96,395171,758
Amazon.com96,395171,758
S&P Quality Rankings Glbl Equ Mngd Tr672,859169,042
Fidelity Bancorp4,171,238168,272
Fidelity Bancorp4,171,238168,272
Fidelity Bancorp4,171,238168,272
Fidelity Bancorp4,171,238168,272
Fidelity Bancorp4,171,238168,272
Fidelity Bancorp4,171,238168,272
Amazon.com94,368163,811
Amazon.com94,368163,811
Amazon.com94,368163,811
Amazon.com94,368163,811
Amazon.com94,368163,811
Amazon.com94,368163,811
Amazon.com94,368163,811
Vanguard Natural Resources, LLC1,389,276160,526
First Trust4,362,927157,999
First Trust4,362,927157,999
First Trust4,362,927157,999
First Trust4,362,927157,999
First Trust4,362,927157,999
Sport Chalet1,037,675148,824
Berkshire Hathaway Inc.730,639145,506
Berkshire Hathaway Inc.730,639145,506
Fidelity Bancorp3,505,045143,779
Fidelity Bancorp3,505,045143,779
First Trust3,512,352130,540
First Trust3,352,064125,059
Therapix Biosciences Ltd2,764,273119,998
Berkshire Hathaway Inc.644,736118,207
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi924,147115,534
PowerShares QQQ Trust782,673113,840
AT&T Inc.2,927,428110,771
AT&T Inc.2,927,428110,771
AT&T Inc.2,927,428110,771
AT&T Inc.2,927,428110,771
AT&T Inc.2,927,428110,771
AT&T Inc.2,927,428110,771
AT&T Inc.2,927,428110,771
Russell Exchange Traded Funds Trust Russell Small Cap Consiste913,209108,213
First Trust2,309,40599,715
Vanguard Natural Resources, LLC427,98398,761
Amazon.com68,20098,428
Amazon.com68,20098,428
AT&T Inc.2,916,69697,711
AT&T Inc.2,916,69697,711
AT&T Inc.2,916,69697,711
AT&T Inc.2,916,69697,711
AT&T Inc.2,916,69697,711
AT&T Inc.2,916,69697,711
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF730,37194,598
AT&T Inc.2,950,53092,663
AT&T Inc.2,950,53092,663
AT&T Inc.2,950,53092,663
AT&T Inc.2,950,53092,663
AT&T Inc.2,950,53092,663
Vanguard Energy Corporation1,023,01791,455
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap1,533,85890,662
AT&T Inc.2,338,92583,280
AT&T Inc.2,338,92583,280
iTeknik Holding Corporation319,15180,708
First Trust1,874,64380,501
AT&T Inc.2,030,80879,591
Alphabet Holding Company, Inc.63,71177,712
Alphabet Holding Company, Inc.63,71177,712
Alphabet Holding Company, Inc.63,71177,712
Alphabet Holding Company, Inc.63,71177,712
Alphabet Holding Company, Inc.63,71177,712
Alphabet Holding Company, Inc.63,71177,712
Alphabet Holding Company, Inc.63,71177,712
PowerShares Global Coal Portfolio2,373,54774,360
Boeing Company (The)194,27174,089
Boeing Company (The)194,27174,089
Boeing Company (The)194,11373,854
Boeing Company (The)194,11373,854
Boeing Company (The)194,11373,854
Boeing Company (The)194,11373,854
Boeing Company (The)194,11373,854
iShares MSCI Far East Financials Sector Index Fund771,60073,826
Microsoft Corporation989,26173,676
iShares MSCI Emerging Markets Materials Sector Index Fund824,92773,221
Boeing Company (The)197,36371,528
Boeing Company (The)197,36371,528
Boeing Company (The)197,36371,528
Boeing Company (The)197,36371,528
Boeing Company (The)197,36371,528
Boeing Company (The)197,36371,528
iShares Trust iShares Barclays GNMA Bond Fund680,83770,260
Alphabet Holding Company, Inc.59,56670,027
Alphabet Holding Company, Inc.59,56670,027
Alphabet Holding Company, Inc.59,56670,027
Alphabet Holding Company, Inc.59,56670,027
Alphabet Holding Company, Inc.59,56670,027
Alphabet Holding Company, Inc.64,13069,617
Alphabet Holding Company, Inc.64,13069,617
Alphabet Holding Company, Inc.64,13069,617
Alphabet Holding Company, Inc.64,13069,617
Alphabet Holding Company, Inc.64,13069,617
Alphabet Holding Company, Inc.64,13069,617
Vanguard Mortgage-Backed Securities ETF1,584,83269,107
Chevron Corporation548,23968,276
Chevron Corporation548,23968,276
Chevron Corporation548,23968,276
Chevron Corporation548,23968,276
Chevron Corporation548,23968,276
Chevron Corporation548,23968,276
High Country Bancorp, Inc.832,79667,515
Chevron Corporation542,25866,852
Chevron Corporation542,25866,852
VGTel, Inc.702,82866,621
Exxon Mobil Corporation819,64066,315
Exxon Mobil Corporation819,64066,315
Vanguard Short-Term Corporate Bond ETF824,15265,784
Chevron Corporation550,23265,252
Chevron Corporation550,23265,252
Chevron Corporation550,23265,252
Chevron Corporation550,23265,252
Chevron Corporation550,23265,252
Illini Corp.533,75064,706
Johnson & Johnson493,99564,322
Exxon Mobil Corporation778,40963,805
Walt Disney Company (The)466,03760,735
Walt Disney Company (The)466,03760,735
Walt Disney Company (The)466,03760,735
Walt Disney Company (The)466,03760,735
Exxon Mobil Corporation782,83459,983
Exxon Mobil Corporation782,83459,983
Exxon Mobil Corporation782,83459,983
Exxon Mobil Corporation782,83459,983
Exxon Mobil Corporation782,83459,983
Exxon Mobil Corporation782,83459,983
Interups Inc.547,09959,038
Chevron Corporation508,69357,948
Exxon Mobil Corporation808,73057,112
Exxon Mobil Corporation808,73057,112
Exxon Mobil Corporation808,73057,112
Facebook332,83156,865
Fidelity First Financial Corp.1,248,40456,511
Alphabet Holding Company, Inc.54,09555,751
Alphabet Holding Company, Inc.54,09555,751
Facebook288,51255,709
Facebook288,51255,709
Facebook288,51255,709
Facebook288,51255,709
Facebook288,51255,709
Facebook288,51255,709
Walt Disney Company (The)395,07455,355
Walt Disney Company (The)395,07455,355
Walt Disney Company (The)395,07455,355
Walt Disney Company (The)395,07455,355
Walt Disney Company (The)395,07455,355
Walt Disney Company (The)395,07455,355
Amazon.com56,84754,643
Procter & Gamble Company (The)593,08253,971
Core Resource Management, Inc.719,26653,380
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF603,30953,098
Security Devices International Inc.542,72251,852
iShares S&P Emerging Markets Infrastructure Index Fund1,320,24151,238
Facebook296,26450,230
Facebook296,26450,230
Facebook296,26450,230
Alphabet Holding Company, Inc.49,95248,294
Chevron Corporation409,95048,177
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 425,56248,153
Verizon Communications Inc.969,90248,024
Cisco Systems847,43546,442
Cisco Systems847,43546,442
Cisco Systems847,43546,442
Cisco Systems847,43546,442
Cisco Systems847,43546,442
Cisco Systems847,43546,442
Boeing Company (The)139,34945,664
Cisco Systems843,50145,633
Cisco Systems843,50145,633
JPMorgan Chase Bank NA785,94045,509
Facebook271,47645,295
Facebook271,47645,295
Vanguard Energy Corporation419,71443,964
First Trust High Income Long Short Fund1,082,46543,500
Vanguard International Equity Index Funds Vanguard Global ex-U673,10743,286
General Electric Co1,686,52440,829
Cisco Systems822,82140,647
Cisco Systems822,82140,647
Cisco Systems822,82140,647
Cisco Systems822,82140,647
Cisco Systems822,82140,647
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF499,77740,637
Coca-Cola Company (The)745,74640,597
Coca-Cola Company (The)745,74640,597
Coca-Cola Company (The)745,74640,597
Coca-Cola Company (The)745,74640,597
Home Depot193,53940,309
Home Depot193,53940,309
Diamondhead Casino Corp.177,87339,812
Walt Disney Company (The)357,61039,773
Walt Disney Company (The)357,61039,773
IEG Holdings Corp465,50039,527
Ishares Income Trust Sector Index Fd764,71839,105
Intel Corporation814,82339,033
Intel Corporation814,82339,033
vTv Therapeutics Inc.382,79038,211
Home Depot198,80338,177
Costco Wholesale Corporation130,25237,527
Costco Wholesale Corporation130,25237,527
Costco Wholesale Corporation130,25237,527
Costco Wholesale Corporation130,25237,527
Imperial Petroleum, Inc.207,77137,170
Wells Fargo & Company657,57136,278
MSCI Inc558,30635,959
Coca-Cola Company (The)696,38235,547
Coca-Cola Company (The)696,38235,547
Coca-Cola Company (The)696,38235,547
Coca-Cola Company (The)696,38235,547
Coca-Cola Company (The)696,38235,547
Coca-Cola Company (The)696,38235,547
J P Morgan Chase & Co385,83234,973
Altria Group559,35234,799
Altria Group559,35234,799
Costco Wholesale Corporation142,92434,622
Costco Wholesale Corporation142,92434,622
Reitmans415,96334,562
First Trust1,111,93934,401
Costco Wholesale Corporation130,24434,398
Costco Wholesale Corporation130,24434,398
Costco Wholesale Corporation130,24434,398
Costco Wholesale Corporation130,24434,398
Costco Wholesale Corporation130,24434,398
Costco Wholesale Corporation130,24434,398
Indo Tambangraya Megah PT309,49233,917
Financial Institutions1,309,16733,856
Bank of America Corporation1,152,84033,484
Bank of America Corporation1,152,84033,484
Bank of America Corporation1,152,84033,484
Bank of America Corporation1,152,84033,484
Bank of America Corporation1,152,84033,484
Bank of America Corporation1,152,84033,484
Bank of America Corporation1,208,40833,399
Bank of America Corporation1,208,40833,399
Bank of America Corporation1,208,40833,399
3M Company157,28833,026
Schweitzer-Mauduit International498,43332,925
Altria Group517,09332,793
Bank of America Corporation1,109,44532,362
Bank of America Corporation1,109,44532,362
Bank of America Corporation1,109,44532,362
Bank of America Corporation1,109,44532,362
Bank of America Corporation1,109,44532,362
Bank of America Corporation1,109,44532,362
Bank of America Corporation1,109,44532,362
Coca-Cola Company (The)688,79032,273
Coca-Cola Company (The)688,79032,273
Boeing Company (The)125,13231,815
Visa Inc.302,09631,795
Edge Resources Inc.624,83231,454
India Cement Ltd.204,62731,252
Altria Group541,87731,119
Altria Group541,87731,119
Altria Group541,87731,119
Altria Group541,87731,119
USG People NV578,57829,977
Fidelity Bancorp895,15529,901
European Real Estate Investment Trust Ltd.500,71329,206
Innocap, Inc.143,42829,024
Bank of America Corporation966,31528,942
Bank of America Corporation966,31528,942
Cisco Systems673,85928,846
International Business Machines Corporation202,60827,983
International Business Machines Corporation202,60827,983
Alps Electric Co. Ltd.2,229,75627,795
Alps Electric Co. Ltd.2,229,75627,795
Alps Electric Co. Ltd.2,229,75627,795
Alps Electric Co. Ltd.2,229,75627,795
Alps Electric Co. Ltd.2,229,75627,795
Alps Electric Co. Ltd.2,229,75627,795
Philip Morris International Inc249,46127,687
Caterpillar202,39527,498
Caterpillar202,39527,498
VOIP PAL.com, Inc.186,73627,450
Lockheed Martin Corporation87,93427,289
Etfs Commodity Securities Ltd.192,73927,237
Bowl America, Inc.619,65627,097
Bowl America, Inc.619,65627,097
Bowl America, Inc.619,65627,097
Alps Electric Co. Ltd.2,132,00526,961
Alps Electric Co. Ltd.2,132,00526,961
Alps Electric Co. Ltd.2,132,00526,961
Alps Electric Co. Ltd.2,132,00526,961
Alps Electric Co. Ltd.2,132,00526,961
Voestalpine AG254,52026,887
Intel Corporation701,99026,771
AbbVie Inc282,07026,672
AbbVie Inc282,07026,672
AbbVie Inc330,25626,597
AbbVie Inc330,25626,597
AbbVie Inc330,25626,597
AbbVie Inc330,25626,597
AbbVie Inc330,25626,597
Home Depot161,99226,503
Anglo Am Plc Adr872,73726,451
iShares Trust iShares MSCI All Country Asia Information Techno384,57426,336
Walt Disney Company (The)266,46526,304
Vanguard Health Systems198,92726,117
Alps Electric Co. Ltd.2,337,66326,101
Alps Electric Co. Ltd.2,337,66326,101
Alps Electric Co. Ltd.2,337,66326,101
Alps Electric Co. Ltd.2,337,66326,101
Alps Electric Co. Ltd.2,337,66326,101
Alps Electric Co. Ltd.2,337,66326,101
Alps Electric Co. Ltd.2,337,66326,101
Bowl America, Inc.624,33426,048
Bowl America, Inc.624,33426,048
Bowl America, Inc.624,33426,048
Bowl America, Inc.624,33426,048
Bowl America, Inc.624,33426,048
Bowl America, Inc.624,33426,048
Colgate-Palmolive Company352,74925,936
Colgate-Palmolive Company352,74925,936
Colgate-Palmolive Company352,74925,936
Colgate-Palmolive Company352,74925,936
SMG Indium Resources Ltd.202,17925,837
Ishares III Plc509,91525,635
Coca-Cola Company (The)587,05825,480
Caterpillar173,11125,475
Alibaba Group Holding Limited139,64125,461
Alibaba Group Holding Limited139,64125,461
Alibaba Group Holding Limited139,64125,461
Alibaba Group Holding Limited139,64125,461
Alibaba Group Holding Limited139,64125,461
AbbVie Inc335,83225,428
AbbVie Inc335,83225,428
AbbVie Inc335,83225,428
AbbVie Inc335,83225,428
AbbVie Inc335,83225,428
AbbVie Inc335,83225,428
AbbVie Inc335,83225,428
Caterpillar185,78725,278
Caterpillar185,78725,278
Caterpillar185,78725,278
Caterpillar185,78725,278
Caterpillar185,78725,278
Caterpillar185,78725,278
Colgate-Palmolive Company350,55425,138
Colgate-Palmolive Company350,55425,138
Colgate-Palmolive Company350,55425,138
Colgate-Palmolive Company350,55425,138
Colgate-Palmolive Company350,55425,138
Colgate-Palmolive Company350,55425,138
Altria Group530,05925,132
Altria Group530,05925,132
Altria Group530,05925,132
Altria Group530,05925,132
Altria Group530,05925,132
Altria Group530,05925,132
Vanguard Energy Corporation165,09525,093
Raytheon Company133,36924,889
Coca-Cola Company (The)551,25524,816
USD Partners LP220,25524,672
iShares Commodity Optimized Trust376,25824,426
AbbVie Inc329,68523,996
AbbVie Inc329,68523,996
AbbVie Inc329,68523,996
AbbVie Inc329,68523,996
AbbVie Inc329,68523,996
AbbVie Inc329,68523,996
Bowl America, Inc.630,26523,945
Bowl America, Inc.630,26523,945
Bowl America, Inc.630,26523,945
Bowl America, Inc.630,26523,945
Bowl America, Inc.630,26523,945
Bowl America, Inc.630,26523,945
Bowl America, Inc.630,26523,945
DOCUSIGN INC385,92923,898
DOCUSIGN INC385,92923,898
DOCUSIGN INC385,92923,898
DOCUSIGN INC385,92923,898
Vanguard Intermediate-Term Corporate Bond ETF280,17423,719
Colgate-Palmolive Company325,38723,702
Alibaba Group Holding Limited140,10123,422
Alibaba Group Holding Limited140,10123,422
Alibaba Group Holding Limited140,10123,422
Alibaba Group Holding Limited140,10123,422
Alibaba Group Holding Limited140,10123,422
Alibaba Group Holding Limited140,10123,422
Alibaba Group Holding Limited140,10123,422
Ibiden Co. Ltd.250,01923,414
McDonald's Corporation149,17023,373
iShares362,51023,263
Caterpillar181,64422,944
Caterpillar181,64422,944
Caterpillar181,64422,944
Caterpillar181,64422,944
Caterpillar181,64422,944
Duke Energy Corporation272,42422,863
Amgen Inc.119,13222,643
Amgen Inc.119,13222,643
Amgen Inc.119,13222,643
Amgen Inc.119,13222,643
Alibaba Group Holding Limited132,00322,500
Alibaba Group Holding Limited132,00322,500
Alibaba Group Holding Limited132,00322,500
Alibaba Group Holding Limited132,00322,500
Alibaba Group Holding Limited132,00322,500
Alibaba Group Holding Limited132,00322,500
United Parcel Service186,56222,403
First Trust551,30122,380
Starbucks Corporation412,50422,160
International Business Machines Corporation152,45722,137
Pfizer617,26622,052
Waste Management280,82721,985
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND662,50521,758
AbbVie Inc240,98321,419
World Gaming plc173,83621,135
Cisco Systems627,52721,109
Colgate-Palmolive Company307,50721,071
Colgate-Palmolive Company307,50721,071
Oppenheimer Holdings Inc.438,06720,706
Altria Group504,24020,621
Altria Group504,24020,621
Altria Group504,24020,621
Altria Group504,24020,621
Altria Group504,24020,621
Altria Group504,24020,621
Altria Group504,24020,621
Bowl America, Inc.505,78320,495
Bowl America, Inc.505,78320,495
Berkshire Hathaway Inc.6420,444
Berkshire Hathaway Inc.6420,444
Berkshire Hathaway Inc.6420,444
Berkshire Hathaway Inc.6420,444
Berkshire Hathaway Inc.6420,444
Berkshire Hathaway Inc.6420,444
Honeywell International Inc.116,21320,333
Honeywell International Inc.116,21320,333
DOCUSIGN INC401,16120,265
DOCUSIGN INC401,16120,265
DOCUSIGN INC401,16120,265
DOCUSIGN INC401,16120,265
DOCUSIGN INC401,16120,265
DOCUSIGN INC401,16120,265
iShares FTSE EPRA/NAREIT Asia Index Fund190,47420,066
Alibaba Group Holding Limited109,38020,057
Alibaba Group Holding Limited109,38020,057
DOCUSIGN INC386,65420,043
DOCUSIGN INC386,65420,043
Amgen Inc.108,19019,961
Amgen Inc.108,19019,961
Amgen Inc.108,19019,961
Amgen Inc.108,19019,961
Amgen Inc.108,19019,961
Amgen Inc.108,19019,961
Amgen Inc.102,36719,810
Amgen Inc.102,36719,810
Amgen Inc.102,36719,810
Amgen Inc.102,36719,810
Amgen Inc.102,36719,810
Amgen Inc.102,36719,810
Amgen Inc.102,36719,810
DowDuPont Inc.371,30019,785
DowDuPont Inc.371,30019,785
Costco Wholesale Corporation119,16019,578
CVS Corporation310,31019,577
CVS Corporation310,31019,577
CVS Corporation310,31019,577
CVS Corporation310,31019,577
CVS Corporation310,31019,577
Abbott Laboratories233,14419,507
Abbott Laboratories233,14419,507
Abbott Laboratories233,14419,507
Abbott Laboratories233,14419,507
Abbott Laboratories233,14419,507
Abbott Laboratories233,14419,507
Abbott Laboratories233,14419,507
Abbott Laboratories243,88219,483
Abbott Laboratories243,88219,483
Abbott Laboratories243,88219,483
Abbott Laboratories243,88219,483
Abbott Laboratories243,88219,483
Berkshire Hathaway Inc.6219,334
Berkshire Hathaway Inc.6219,334
Berkshire Hathaway Inc.6219,334
Berkshire Hathaway Inc.6219,334
Berkshire Hathaway Inc.6219,334
Berkshire Hathaway Inc.6219,334
Berkshire Hathaway Inc.6219,334
Honeywell International Inc.121,21519,285
Abbott Laboratories227,78719,166
Abbott Laboratories227,78719,166
Abbott Laboratories227,78719,166
Abbott Laboratories227,78719,166
Abbott Laboratories227,78719,166
Abbott Laboratories227,78719,166
Berkshire Hathaway Inc.6319,052
Berkshire Hathaway Inc.6319,052
Berkshire Hathaway Inc.6319,052
Caterpillar152,10018,979
Duke Energy Corporation195,91518,781
Duke Energy Corporation195,91518,781
Duke Energy Corporation195,91518,781
Duke Energy Corporation195,91518,781
Bowl America, Inc.486,32618,696
Comcast Corporation412,75618,604
Comcast Corporation412,75618,604
Comcast Corporation412,75618,604
Comcast Corporation412,75618,604
Bank of America Corporation730,26318,543
Gilead Sciences226,27218,346
Berkshire Hathaway Inc.6118,225
Berkshire Hathaway Inc.6118,225
IBO (Listing Market - NYSE Amex Network B F)215,61418,208
Merck & Company281,42618,025
Vanguard Natural Resources, LLC338,63917,849
FS Bancorp2,870,19717,365
FS Bancorp2,870,19717,365
iShares Trust iShares MSCI Emerging Markets Latin America Inde386,71617,329
Pepsico155,65017,323
Honeywell International Inc.121,90617,281
Duke Energy Corporation192,08817,276
Duke Energy Corporation192,08817,276
DowDuPont Inc.247,87917,190
Duke Energy Corporation194,85317,189
Duke Energy Corporation194,85317,189
Duke Energy Corporation194,85317,189
Duke Energy Corporation194,85317,189
Duke Energy Corporation194,85317,189
Duke Energy Corporation194,85317,189
PIMCO Income Strategy Fund294,94817,145
FS Bancorp2,858,34917,036
FS Bancorp2,858,34917,036
FS Bancorp2,858,34917,036
FS Bancorp2,858,34917,036
FS Bancorp2,858,34917,036
FS Bancorp2,858,34917,036
Amgen Inc.90,83116,936
CVS Corporation309,92216,900
CVS Corporation309,92216,900
CVS Corporation309,92216,900
CVS Corporation309,92216,900
CVS Corporation309,92216,900
CVS Corporation309,92216,900
Berkshire Hathaway Inc.6016,496
Deere & Company97,74816,487
Deere & Company97,74816,487
Deere & Company97,74816,487
Deere & Company97,74816,487
Realty Income Corporation286,58216,389
Deere & Company100,66816,093
Deere & Company100,66816,093
Dominion Resources198,36716,075
Dominion Resources198,36716,075
Dominion Resources198,36716,075
Dominion Resources198,36716,075
Deere & Company95,90215,889
Deere & Company95,90215,889
Deere & Company95,90215,889
Deere & Company95,90215,889
Deere & Company95,90215,889
Deere & Company95,90215,889
Amgen Inc.93,28215,874
Amgen Inc.93,28215,874
Vanguard STAR Funds Vanguard Total International Stock ETF289,02815,819
Intertainment Media, Inc.181,91015,636
Adobe Systems Incorporated52,59115,576
Adobe Systems Incorporated52,59115,576
Adobe Systems Incorporated52,59115,576
Adobe Systems Incorporated52,59115,576
Adobe Systems Incorporated52,59115,576
Adobe Systems Incorporated52,59115,576
General Electric Co1,535,77415,341
Comcast Corporation361,92815,319
Comcast Corporation361,92815,319
Comcast Corporation361,92815,319
Comcast Corporation361,92815,319
Comcast Corporation361,92815,319
Comcast Corporation361,92815,319
Wal-Mart Stores195,30415,275
Comcast Corporation377,59315,125
Comcast Corporation377,59315,125
Select Asset Inc.182,63514,926
Southern Company (The)302,64614,861
FS Bancorp2,525,29314,722
FS Bancorp2,525,29314,722
FS Bancorp2,525,29314,722
Sector 5, Inc.248,48214,685
General Mills282,28414,584
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF275,84114,559
Dominion Resources187,61514,495
Dominion Resources187,61514,495
Dominion Resources187,61514,495
Dominion Resources187,61514,495
Dominion Resources187,61514,495
Dominion Resources187,61514,495
Goldman Sachs Group108,11214,309
Automatic Data Processing87,17913,993
Automatic Data Processing87,17913,993
Automatic Data Processing87,17913,993
ENERGY TRANSFER PARTNERS345,01813,968
Consumer Portfolio Services256,25113,833
Global X Funds Global X NASDAQ 500 ETF747,56813,829
Global X Funds Global X NASDAQ 500 ETF747,56813,829
Global X Funds Global X NASDAQ 500 ETF747,56813,829
General Electric Co1,312,78513,808
General Electric Co1,312,78513,808
General Electric Co1,312,78513,808
General Electric Co1,312,78513,808
Schindler Holding AG294,93113,803
Automatic Data Processing83,02113,746
Automatic Data Processing83,02113,746
Automatic Data Processing83,02113,746
Automatic Data Processing83,02113,746
Automatic Data Processing83,02113,746
Automatic Data Processing83,02113,746
Kimberly-Clark Corporation116,52013,702
Adobe Systems Incorporated49,40113,649
Adobe Systems Incorporated49,40113,649
Adobe Systems Incorporated49,40113,649
Adobe Systems Incorporated49,40113,649
Adobe Systems Incorporated49,40113,649
Adobe Systems Incorporated49,40113,649
Adobe Systems Incorporated49,40113,649
CVS Corporation248,28613,382
CVS Corporation248,28613,382
Arbutus Biopharma1,768,89113,349
Alibaba Group Holding Limited76,77813,278
Goldman Sachs Group180,82913,238
Goldman Sachs Group180,82913,238
Goldman Sachs Group180,82913,238
Gilead Sciences202,13913,136
Clorox Company (The)81,65413,096
Clorox Company (The)81,65413,096
Adobe Systems Incorporated48,72813,003
Adobe Systems Incorporated48,72813,003
Adobe Systems Incorporated48,72813,003
Adobe Systems Incorporated48,72813,003
Adobe Systems Incorporated48,72813,003
General Mills245,86112,956
General Mills245,86112,956
General Mills245,86112,956
General Mills245,86112,956
Automatic Data Processing79,51112,834
Automatic Data Processing79,51112,834
Automatic Data Processing79,51112,834
Automatic Data Processing79,51112,834
Automatic Data Processing79,51112,834
Automatic Data Processing79,51112,834
Automatic Data Processing79,51112,834
Bristol-Myers Squibb Company200,65412,799
Deere & Company101,58912,773
First Trust Exchange-Traded Fund II First Trust BICK Index Fun658,43112,761
First Trust Exchange-Traded Fund II First Trust BICK Index Fun658,43112,761
First Trust Exchange-Traded Fund II First Trust BICK Index Fun658,43112,761
First Trust Exchange-Traded Fund II First Trust BICK Index Fun658,43112,761
First Trust Exchange-Traded Fund II First Trust BICK Index Fun658,43112,761
Bristol-Myers Squibb Company251,28812,741
Bristol-Myers Squibb Company251,28812,741
Bristol-Myers Squibb Company251,28812,741
Bristol-Myers Squibb Company251,28812,741
Bristol-Myers Squibb Company251,28812,741
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu232,88212,477
CNP Assurances SA454,95412,464
United States Cellular Corporation63,59612,458
Fidelity Bancorp353,88912,454
US-Dadi Fertilizer Ind International Inc.206,76912,414
Nike238,58112,364
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund111,51612,364
Bristol-Myers Squibb Company258,67212,336
Bristol-Myers Squibb Company258,67212,336
Inca One Gold Corporation98,85912,334
First Trust Strategic High Income Fund II343,20512,289
Goldman Sachs Group172,10212,260
Industrial Services of America171,86312,203
Global X Funds Global X NASDAQ 500 ETF688,09712,183
Bristol-Myers Squibb Company192,04212,111
CNP Assurances SA399,83812,066
CNP Assurances SA399,83812,066
CNP Assurances SA399,83812,066
CNP Assurances SA399,83812,066
CNP Assurances SA399,83812,066
Gilead Sciences177,71512,014
Gilead Sciences177,71512,014
Gilead Sciences177,71512,014
Gilead Sciences177,71512,014
Fidelity Nasdaq Composite Index Tracking Stock38,20111,997
Fidelity Nasdaq Composite Index Tracking Stock38,20111,997
Fidelity Nasdaq Composite Index Tracking Stock38,20111,997
American Electric Power Company126,45711,849
American Electric Power Company126,45711,849
American Electric Power Company126,45711,849
American Electric Power Company126,45711,849
American Electric Power Company126,45711,849
American Electric Power Company126,45711,849
American Electric Power Company126,45711,849
Dominion Resources154,57111,818
Dominion Resources154,57111,818
U.S. Stem Cell, Inc.193,14211,764
NVIDIA Corporation65,68811,744
Global X Funds Global X NASDAQ 500 ETF593,62511,736
CVS Corporation143,80711,689
CNP Assurances SA380,06011,667
CNP Assurances SA380,06011,667
Fidelity Nasdaq Composite Index Tracking Stock38,42011,648
Fidelity Nasdaq Composite Index Tracking Stock38,42011,648
Fidelity Nasdaq Composite Index Tracking Stock36,96111,643
Fidelity Nasdaq Composite Index Tracking Stock36,96111,643
Fidelity Nasdaq Composite Index Tracking Stock36,96111,643
Fidelity Nasdaq Composite Index Tracking Stock36,96111,643
Fidelity Nasdaq Composite Index Tracking Stock36,96111,643
Fidelity Nasdaq Composite Index Tracking Stock36,96111,643
FVI Fondo Valores Inmobiliarios380,47011,593
FVI Fondo Valores Inmobiliarios380,47011,593
FVI Fondo Valores Inmobiliarios380,47011,593
FVI Fondo Valores Inmobiliarios380,47011,593
FVI Fondo Valores Inmobiliarios380,47011,593
American Tower Corporation (REIT)52,11711,522
American Tower Corporation (REIT)52,11711,522
American Tower Corporation (REIT)52,11711,522
American Tower Corporation (REIT)52,11711,522
American Tower Corporation (REIT)52,11711,522
American Tower Corporation (REIT)52,11711,522
American Tower Corporation (REIT)52,11711,522
Vector Group Ltd.557,80111,418
ETERNITY HEALTHCARE INC.808,88511,390
ETERNITY HEALTHCARE INC.808,88511,390
ETERNITY HEALTHCARE INC.808,88511,390
ETERNITY HEALTHCARE INC.808,88511,390
ETERNITY HEALTHCARE INC.808,88511,390
ETERNITY HEALTHCARE INC.808,88511,390
ConocoPhillips169,89911,353
ConocoPhillips169,89911,353
First Trust NASDAQ-100 Ex-Technology Sector Index Fund128,59111,257
Bristol-Myers Squibb Company246,50611,211
Bristol-Myers Squibb Company246,50611,211
Bristol-Myers Squibb Company246,50611,211
Bristol-Myers Squibb Company246,50611,211
Bristol-Myers Squibb Company246,50611,211
Bristol-Myers Squibb Company246,50611,211
Clorox Company (The)73,02311,174
Clorox Company (The)73,02311,174
Clorox Company (The)73,02311,174
Clorox Company (The)73,02311,174
Clorox Company (The)73,02311,174
Clorox Company (The)73,02311,174
Citigroup Inc.159,31311,173
Citigroup Inc.159,31311,173
Citigroup Inc.159,31311,173
Citigroup Inc.159,31311,173
Citigroup Inc.159,31311,173
Citigroup Inc.159,31311,173
iShares104,86011,169
American Electric Power Company126,36811,128
American Electric Power Company126,36811,128
American Electric Power Company126,36811,128
American Electric Power Company126,36811,128
American Electric Power Company126,36811,128
American Electric Power Company126,36811,128
Clorox Company (The)73,05911,095
Clorox Company (The)73,05911,095
Clorox Company (The)73,05911,095
Clorox Company (The)73,05911,095
CNP Assurances SA384,47511,007
CNP Assurances SA384,47511,007
CNP Assurances SA384,47511,007
CNP Assurances SA384,47511,007
CNP Assurances SA384,47511,007
CNP Assurances SA384,47511,007
iShares NASDAQ Biotechnology Index Fund32,90310,976
Abbott Laboratories183,43210,970
Abbott Laboratories183,43210,970
Emerson Electric Company158,89910,946
Emerson Electric Company158,89910,946
Eli Lilly and Company127,74310,936
General Electric Capital Corporation909,32610,919
ETERNITY HEALTHCARE INC.834,23310,911
ETERNITY HEALTHCARE INC.834,23310,911
ETERNITY HEALTHCARE INC.834,23310,911
CNP Assurances SA372,81010,890
U.S. Bancorp203,21210,890
Standard Parking Corporation33,30710,870
Abbott Laboratories202,84710,829
ETERNITY HEALTHCARE INC.700,51810,772
ETERNITY HEALTHCARE INC.700,51810,772
First Trust Exchange-Traded Fund II First Trust BICK Index Fun561,67010,705
First Trust Exchange-Traded Fund II First Trust BICK Index Fun561,67010,705
PowerShares Global Steel Portfolio712,13410,703
Citigroup Inc.154,90010,700
Citigroup Inc.154,90010,700
Citigroup Inc.154,90010,700
Citigroup Inc.154,90010,700
Citigroup Inc.154,90010,700
iShares FTSE EPRA/NAREIT Europe Index Fund96,84010,669
Emerson Electric Company159,04510,633
Emerson Electric Company159,04510,633
Emerson Electric Company159,04510,633
Consolidated Graphics112,35010,614
Consolidated Graphics112,35010,614
Consolidated Graphics112,35010,614
Consolidated Graphics112,35010,614
Blackstone GSO Long Short Credit Income Fund372,28510,605
Blackstone GSO Long Short Credit Income Fund372,28510,605
Blackstone GSO Long Short Credit Income Fund372,28510,605
Blackstone GSO Long Short Credit Income Fund372,28510,605
Blackstone GSO Long Short Credit Income Fund372,28510,605
General Electric Capital Corporation1,032,86010,547
General Electric Capital Corporation1,032,86010,547
General Electric Capital Corporation1,032,86010,547
General Electric Capital Corporation1,032,86010,547
American Tower Corporation (REIT)51,64410,531
American Tower Corporation (REIT)51,64410,531
American Tower Corporation (REIT)51,64410,531
American Tower Corporation (REIT)51,64410,531
American Tower Corporation (REIT)51,64410,531
American Tower Corporation (REIT)51,64410,531
The Blackstone Group L.P.324,87410,375
The Blackstone Group L.P.324,87410,375
Annaly Capital Management Inc1,178,53810,373
Annaly Capital Management Inc1,178,53810,373
Annaly Capital Management Inc1,178,53810,373
Annaly Capital Management Inc1,178,53810,373
Annaly Capital Management Inc1,178,53810,373
Annaly Capital Management Inc1,178,53810,373
Annaly Capital Management Inc1,178,53810,373
Union Pacific Corporation89,18710,341
United Technologies Corporation88,78210,324
Fiduciary/Claymore MLP Opportunity Fund797,34110,301
American Tower Corporation (REIT)70,79510,287
American Tower Corporation (REIT)70,79510,287
American Tower Corporation (REIT)52,36910,286
American Tower Corporation (REIT)52,36910,286
American Tower Corporation (REIT)52,36910,286
American Tower Corporation (REIT)52,36910,286
GSM Fund Group Inc174,28110,243
GSM Fund Group Inc174,28110,243
GSM Fund Group Inc174,28110,243
Citigroup Inc.163,41110,225
Citigroup Inc.163,41110,225
Danaher Corporation73,54810,206
Danaher Corporation73,54810,206
Danaher Corporation73,54810,206
Danaher Corporation73,54810,206
CVS Corporation164,05810,178
Fortune Brands Home & Security151,35710,174
First Trust NASDAQ-100 Ex-Technology Sector Index Fund118,14110,172
First Trust NASDAQ-100 Ex-Technology Sector Index Fund118,14110,172
First Trust NASDAQ-100 Ex-Technology Sector Index Fund118,14110,172
First Trust NASDAQ-100 Ex-Technology Sector Index Fund118,14110,172
First Trust NASDAQ-100 Ex-Technology Sector Index Fund118,14110,172
First Trust NASDAQ-100 Ex-Technology Sector Index Fund118,14110,172
Pacer International349,13410,165
Emerson Electric Company150,84210,063
Emerson Electric Company150,84210,063
Emerson Electric Company150,84210,063
Emerson Electric Company150,84210,063
Emerson Electric Company150,84210,063
Emerson Electric Company150,84210,063
American Electric Power Company119,77110,025
American Electric Power Company119,77110,025
American Electric Power Company119,77110,025
American Electric Power Company119,77110,025
FS Bancorp1,185,43710,017
BlackRock22,3189,978
First Trust Exchange-Traded Fund II First Trust BICK Index Fun490,3969,848
Selective Insurance Group185,5079,842
Fidelity National Financial253,8499,811
Danaher Corporation71,2439,790
Danaher Corporation71,2439,790
Danaher Corporation71,2439,790
Danaher Corporation71,2439,790
Danaher Corporation71,2439,790
Danaher Corporation71,2439,790
Consolidated Graphics111,4269,753
Consolidated Graphics111,4269,753
Consolidated Graphics111,4269,753
Consolidated Graphics111,4269,753
Consolidated Graphics111,4269,753
Consolidated Graphics111,4269,753
American Tower Corporation (REIT)71,1339,725
W.P. Carey Inc.144,1349,720
CoreStream Energy, Inc.168,5859,715
iShares MSCI240,1019,571
First Republic Bank159,4419,563
First Republic Bank159,4419,563
Netflix52,7559,561
Becton, Dickinson & Co.37,7829,517
Becton, Dickinson & Co.37,7829,517
Becton, Dickinson & Co.37,7829,517
Becton, Dickinson & Co.37,7829,517
Becton, Dickinson & Co.37,7829,517
Becton, Dickinson & Co.37,7829,517
Becton, Dickinson & Co.37,7829,517
ConocoPhillips155,2469,515
ConocoPhillips155,2469,515
ConocoPhillips155,2469,515
ConocoPhillips155,2469,515
ConocoPhillips155,2469,515
ConocoPhillips155,2469,515
Healthcare Trust of America319,2049,513
Eaton Vance Tax-Managed Global Diversified Equity Income Fund619,0449,484
Exelon Corporation187,9109,417
Exelon Corporation187,9109,417
Becton, Dickinson & Co.37,2419,363
Becton, Dickinson & Co.37,2419,363
Becton, Dickinson & Co.37,2419,363
Becton, Dickinson & Co.37,2419,363
Becton, Dickinson & Co.37,2419,363
Becton, Dickinson & Co.37,2419,363
BlackRock17,3649,350
BlackRock17,3649,350
First Republic Bank155,6459,346
First Republic Bank155,6459,346
First Republic Bank155,6459,346
First Republic Bank155,6459,346
First Republic Bank155,6459,346
Clorox Company (The)70,0109,306
Constellation Brands Inc44,5469,231
Constellation Brands Inc44,5469,231
Constellation Brands Inc44,5469,231
Constellation Brands Inc44,5469,231
1st Colonial Bancorp, Inc.142,8939,206
1st Colonial Bancorp, Inc.142,8939,206
Consolidated Graphics108,2509,179
Consolidated Graphics108,2509,179
Fidelity Holding Corp.254,7169,116
ConocoPhillips181,6979,084
Enterprise Products Partners L.P.314,3589,074
Enterprise Products Partners L.P.314,3589,074
Enterprise Products Partners L.P.314,3589,074
Enterprise Products Partners L.P.314,3589,074
Enterprise Products Partners L.P.314,3589,074
Enterprise Products Partners L.P.314,3589,074
GSM Fund Group Inc159,5699,069
Fidelity First Financial Corp.247,3029,053
Fidelity First Financial Corp.247,3029,053
Fidelity First Financial Corp.247,3029,053
First Trust High Income Long Short Fund187,5879,033
First Trust High Income Long Short Fund187,5879,033
First Trust High Income Long Short Fund187,5879,033
First Trust High Income Long Short Fund187,5879,033
First Trust High Income Long Short Fund187,5879,033
Enterprise Products Partners L.P.307,8268,964
Enterprise Products Partners L.P.307,8268,964
First Trust Advantaged Short Duration High Yield Bond Fund169,7708,943
Becton, Dickinson & Co.35,7458,921
Becton, Dickinson & Co.35,7458,921
Becton, Dickinson & Co.35,7458,921
Hydrodynex, Inc.174,8668,908
Schweiter Technologies AG Horgen265,7778,894
FVI Fondo Valores Inmobiliarios295,1128,890
FVI Fondo Valores Inmobiliarios295,1128,890
Capital One Financial Corp92,6658,846
Arbutus Biopharma1,765,3158,827
Arbutus Biopharma1,765,3158,827
Celgene Corporation60,4678,813
Danaher Corporation69,4678,789
Danaher Corporation69,4678,789
INFORMATION ANALYSIS INC58,4028,755
POWERSHARES DB G10 CURRENCY HARVEST FUND206,4018,744
Enbridge Inc249,0998,738
Enbridge Inc249,0998,738
Enbridge Inc249,0998,738
Enterprise Products Partners L.P.305,4888,730
Enterprise Products Partners L.P.305,4888,730
Enterprise Products Partners L.P.305,4888,730
Clorox Company (The)65,9888,693
ConocoPhillips152,1478,670
ConocoPhillips152,1478,670
ConocoPhillips152,1478,670
ConocoPhillips152,1478,670
Target Corporation146,4108,640
Citigroup Inc.127,9138,603
First Trust Senior Floating Rate Income Fund II181,9048,583
First Trust Senior Floating Rate Income Fund II181,9048,583
The Kraft Heinz Company110,0178,533
General Dynamics Corporation46,8568,521
General Dynamics Corporation46,8568,521
General Dynamics Corporation46,8568,521
General Dynamics Corporation46,8568,521
PIMCO California Municipal Income Fund83,2278,472
Federal Express Corporation46,6538,469
Federal Express Corporation46,6538,469
Dominion Resources110,1188,461
First Trust Senior Floating Rate Income Fund II179,2448,455
First Trust Senior Floating Rate Income Fund II179,2448,455
First Trust Senior Floating Rate Income Fund II179,2448,455
First Trust Senior Floating Rate Income Fund II179,2448,455
First Trust Senior Floating Rate Income Fund II179,2448,455
Enbridge Inc233,9078,443
Enbridge Inc233,9078,443
Enbridge Inc233,9078,443
Enbridge Inc233,9078,443
Enbridge Inc233,9078,443
Enbridge Inc233,9078,443
Federal Express Corporation37,0968,364
MegaFon PJSC79,8578,363
Perpetual Energy Inc.310,4038,354
Oracle Corporation172,6008,350
AGNC Investment Corp.517,4978,327
AGNC Investment Corp.517,4978,327
AGNC Investment Corp.517,4978,327
AGNC Investment Corp.517,4978,327
AGNC Investment Corp.517,4978,327
AGNC Investment Corp.517,4978,327
AGNC Investment Corp.517,4978,327
ETFS Asian Gold Trust248,8398,324
ETFS Asian Gold Trust248,8398,324
ETFS Asian Gold Trust248,8398,324
ETFS Asian Gold Trust248,8398,324
ETFS Asian Gold Trust248,8398,324
ETFS Asian Gold Trust248,8398,324
U.S. Helicopter Corp.103,4358,262
First Trust NASDAQ-100 Ex-Technology Sector Index Fund99,0278,230
First Trust NASDAQ-100 Ex-Technology Sector Index Fund99,0278,230
Allergan21,1468,208
First Trust Advantaged Short Duration High Yield Bond Fund108,2298,207
First Trust Advantaged Short Duration High Yield Bond Fund108,2298,207
Consolidated Graphics101,0968,158
Fidelity First Financial Corp.234,3628,149
Fidelity First Financial Corp.234,3628,149
Fidelity First Financial Corp.234,3628,149
Fidelity First Financial Corp.234,3628,149
Fidelity First Financial Corp.234,3628,149
Fidelity First Financial Corp.234,3628,149
Adobe Systems Incorporated37,6538,129
Adobe Systems Incorporated37,6538,129
Colony Financial676,2438,045
Colony Financial676,2438,045
Brookfield Infrastructure Partners LP186,3628,040
GlaxoSmithKline PLC200,0428,032
GlaxoSmithKline PLC200,0428,032
GlaxoSmithKline PLC200,0428,032
GlaxoSmithKline PLC200,0428,032
Federal Express Corporation54,7117,964
Federal Express Corporation54,7117,964
Federal Express Corporation54,7117,964
GlaxoSmithKline PLC189,8327,934
IL2M International Corp.53,0477,919
General Electric Capital Corporation899,7257,916
Edwards Lifesciences Corporation35,8857,889
Edwards Lifesciences Corporation35,8857,889
Edwards Lifesciences Corporation35,8857,889
Edwards Lifesciences Corporation35,8857,889
American Electric Power Company112,2387,883
Russell Breweries Inc56,0037,834
Mastercard Incorporated55,3907,820
Tesla Exploratin Services Inc.22,8967,813
The Blackstone Group L.P.174,8577,768
The Blackstone Group L.P.174,8577,768
The Blackstone Group L.P.174,8577,768
The Blackstone Group L.P.174,8577,768
The Blackstone Group L.P.174,8577,768
The Blackstone Group L.P.174,8577,768
Copart225,2477,742
Deoleo SA45,0697,741
Deoleo SA45,0697,741
Deoleo SA45,0697,741
Deoleo SA45,0697,741
Deoleo SA45,0697,741
Deoleo SA45,0697,741
Kinder Morgan393,7587,697
General Dynamics Corporation45,1367,686
ETFS Asian Gold Trust283,5557,655
ETFS Asian Gold Trust283,5557,655
ETFS Asian Gold Trust283,5557,655
ETFS Asian Gold Trust283,5557,655
DDD Group Plc.101,4807,621
DDD Group Plc.101,4807,621
DDD Group Plc.101,4807,621
DDD Group Plc.101,4807,621
DDD Group Plc.101,4807,621
DDD Group Plc.101,4807,621
DDD Group Plc.106,8647,614
DDD Group Plc.106,8647,614
DDD Group Plc.106,8647,614
DDD Group Plc.106,8647,614
Deoleo SA46,4777,604
Deoleo SA46,4777,604
BlackRock16,1817,600
BlackRock16,1817,600
BlackRock16,1817,600
BlackRock16,1817,600
BlackRock16,1817,600
BlackRock16,1817,600
QUALCOMM Incorporated146,2687,585
General Motors Company203,4547,581
Illumina20,5707,574
Illumina20,5707,574
The Blackstone Group L.P.214,8767,529
The Blackstone Group L.P.214,8767,529
American Electric Power Company109,7107,524
American Electric Power Company109,7107,524
IJJ Corp.50,4177,478
Crimson Wine Group Ltd.96,3047,471
Crimson Wine Group Ltd.96,3047,471
Crimson Wine Group Ltd.96,3047,471
Crimson Wine Group Ltd.96,3047,471
Crimson Wine Group Ltd.96,3047,471
Crimson Wine Group Ltd.96,3047,471
Italian Food & Beverage Corp41,9507,469
Hershey68,2747,450
Select Asset Inc.82,5677,436
Federal Express Corporation45,3217,432
Federal Express Corporation45,3217,432
Federal Express Corporation45,3217,432
Federal Express Corporation45,3217,432
Federal Express Corporation45,3217,432
Federal Express Corporation45,3217,432
Colony Financial629,0317,351
Colony Financial629,0317,351
Colony Financial629,0317,351
Colony Financial629,0317,351
Colony Financial629,0317,351
Colony Financial629,0317,351
Constellation Brands Inc37,3217,348
Constellation Brands Inc37,3217,348
Constellation Brands Inc37,3217,348
Constellation Brands Inc37,3217,348
Constellation Brands Inc37,3217,348
Constellation Brands Inc37,3217,348
Enbridge Inc202,4867,341
Enbridge Inc202,4867,341
Deoleo SA44,8757,339
Deoleo SA44,8757,339
Deoleo SA44,8757,339
Deoleo SA44,8757,339
Fidelity & Guaranty Life222,1587,331
American Fin Tr Inc521,6847,283
American Fin Tr Inc521,6847,283
American Fin Tr Inc521,6847,283
American Fin Tr Inc521,6847,283
American Fin Tr Inc521,6847,283
American Fin Tr Inc521,6847,283
American Fin Tr Inc521,6847,283
Royal Dutch Shell PLC120,1237,277
Constellation Brands Inc41,4557,276
Constellation Brands Inc41,4557,276
Illinois Tool Works Inc.50,0927,268
Enterprise Products Partners L.P.278,3287,256
1st Colonial Bancorp, Inc.111,0407,233
General Motors Company178,6587,229
Franklin Templeton Limited Duration Income Trust475,2597,228
Franklin Templeton Limited Duration Income Trust475,2597,228
Franklin Templeton Limited Duration Income Trust475,2597,228
Franklin Templeton Limited Duration Income Trust475,2597,228
American Express Company57,9627,178
American Express Company57,9627,178
American Express Company57,9627,178
American Express Company57,9627,178
American Express Company57,9627,178
American Express Company57,9627,178
Capital One Financial Corp84,6957,172
Worldpay Group PLC100,4177,101
Crimson Wine Group Ltd.94,4747,092
Crimson Wine Group Ltd.94,4747,092
Phillips 6677,2507,087
Vanguard Short Term Government Bond ETF143,1987,080
Pimco California Municipal Income Fund II100,2967,073
Broadcom Inc.25,6067,067
Broadcom Inc.25,6067,067
Broadcom Inc.25,6067,067
Broadcom Inc.25,6067,067
Broadcom Inc.25,6067,067
CME Group Inc.33,4117,057
CME Group Inc.33,4117,057
CME Group Inc.33,4117,057
CME Group Inc.33,4117,057
CME Group Inc.33,4117,057
Broadridge Financial Solutions64,3457,053
PIMCO Flexible Credit Income Fund111,6257,044
Neenah Paper48,1087,030
Comcast Corporation182,4797,015
ETFS Asian Gold Trust196,6927,011
ETFS Asian Gold Trust196,6927,011
Healthcare Trust of America245,0177,006
Intuitive Surgical13,2916,979
Intuitive Surgical13,2916,979
PowerShares NASDAQ Internet Portfolio62,8436,919
Nuveen Arizona Dividend Advantage Municipal Fund494,4206,912
Broadridge Financial Solutions53,9216,909
Broadridge Financial Solutions53,9216,909
Broadridge Financial Solutions53,9216,909
Broadridge Financial Solutions53,9216,909
Broadridge Financial Solutions53,9216,909
Broadridge Financial Solutions53,9216,909
Citigroup Inc.93,9916,847
American Express Company57,7316,828
American Express Company57,7316,828
American Express Company57,7316,828
American Express Company57,7316,828
American Express Company57,7316,828
American Express Company57,7316,828
American Express Company57,7316,828
General Mills131,7616,818
First Trust High Income Long Short Fund142,2216,807
First Trust High Income Long Short Fund142,2216,807
PIMCO Dynamic Income Fund271,6766,806
Illinois Tool Works Inc.45,0356,793
Illinois Tool Works Inc.45,0356,793
BlackRock15,1976,773
BlackRock15,1976,773
BlackRock15,1976,773
BlackRock15,1976,773
BlackRock15,1976,773
BlackRock15,1976,773
BlackRock15,1976,773
Deoleo SA51,2046,763
Novartis AG78,5186,741
Applied Materials121,8166,732
Applied Materials121,8166,732
Annaly Capital Management Inc736,5676,723
Annaly Capital Management Inc736,5676,723
Annaly Capital Management Inc736,5676,723
Annaly Capital Management Inc736,5676,723
Annaly Capital Management Inc736,5676,723
Annaly Capital Management Inc736,5676,723
IHI Corp40,1606,708
Broadcom Inc.23,0666,663
Broadcom Inc.23,0666,663
Broadcom Inc.23,0666,663
Broadcom Inc.23,0666,663
Broadcom Inc.23,0666,663
Broadcom Inc.23,0666,663
GlaxoSmithKline PLC163,8196,659
FVI Fondo Valores Inmobiliarios254,0096,647
Colony Financial544,9946,644
Colony Financial544,9946,644
Colony Financial544,9946,644
Colony Financial544,9946,644
Hershey49,4596,636
Hershey49,4596,636
Hershey49,4596,636
Parcelpal Technology Inc161,7906,635
Exelon Corporation137,8406,612
Exelon Corporation137,8406,612
Exelon Corporation137,8406,612
Exelon Corporation137,8406,612
Exelon Corporation137,8406,612
Exelon Corporation137,8406,612
Broadridge Financial Solutions52,6796,554
Broadridge Financial Solutions52,6796,554
Broadridge Financial Solutions52,6796,554
Broadridge Financial Solutions52,6796,554
Broadridge Financial Solutions52,6796,554
iShares Trust37,8666,549
American Express Company59,7106,545
American Express Company59,7106,545
American Express Company59,7106,545
American Express Company59,7106,545
Exelon Corporation173,4776,536
Hanesbrands Inc.265,3616,528
Fiserv70,9026,477
Fiserv70,9026,477
Fiserv70,9026,477
Fiserv70,9026,477
Fiserv70,9026,477
Healthcare Trust of America236,1146,475
Healthcare Trust of America236,1146,475
Healthcare Trust of America236,1146,475
The Blackstone Group L.P.193,7006,464
1st Colonial Bancorp, Inc.95,6676,435
1st Colonial Bancorp, Inc.95,6676,435
1st Colonial Bancorp, Inc.95,6676,435
1st Colonial Bancorp, Inc.95,6676,435
1st Colonial Bancorp, Inc.95,6676,435
1st Colonial Bancorp, Inc.95,6676,435
BlackRock14,9626,430
BlackRock14,9626,430
BlackRock14,9626,430
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio122,9886,425
Air Products and Chemicals28,9366,419
Air Products and Chemicals28,9366,419
Air Products and Chemicals28,9366,419
Air Products and Chemicals28,9366,419
Air Products and Chemicals28,9366,419
Air Products and Chemicals28,9366,419
Air Products and Chemicals28,9366,419
Dollar General Corporation40,3046,405
Dollar General Corporation40,3046,405
Dollar General Corporation40,3046,405
Dollar General Corporation40,3046,405
CME Group Inc.32,8966,400
CME Group Inc.32,8966,400
CME Group Inc.32,8966,400
CME Group Inc.32,8966,400
CME Group Inc.32,8966,400
CME Group Inc.32,8966,400
Crown Equity Holdings, Inc.49,0636,392
Crown Equity Holdings, Inc.49,0636,392
Crown Equity Holdings, Inc.49,0636,392
Crown Equity Holdings, Inc.49,0636,392
Crown Equity Holdings, Inc.49,0636,392
Crown Equity Holdings, Inc.49,0636,392
VANJIA CORP44,4366,369
Lic Housing Finance Ltd.29,8096,368
Analog Devices56,3416,363
Analog Devices56,3416,363
Analog Devices56,3416,363
Analog Devices56,3416,363
Analog Devices56,3416,363
Analog Devices56,3416,363
Air Products and Chemicals28,0076,351
Air Products and Chemicals28,0076,351
Air Products and Chemicals28,0076,351
Air Products and Chemicals28,0076,351
Air Products and Chemicals28,0076,351
Air Products and Chemicals28,0076,351
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND82,7516,340
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND82,7516,340
Broadridge Financial Solutions61,0896,336
Broadridge Financial Solutions61,0896,336
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal273,0596,324
Arbutus Biopharma1,765,4156,320
Arbutus Biopharma1,765,4156,320
Arbutus Biopharma1,765,4156,320
Crown Equity Holdings, Inc.45,4456,316
Crown Equity Holdings, Inc.45,4456,316
Crown Equity Holdings, Inc.45,4456,316
Crown Equity Holdings, Inc.45,4456,316
Accenture plc.46,7336,312
Dow 30 Premium126,8936,232
Dow 30 Premium126,8936,232
Dow 30 Premium126,8936,232
Dow 30 Premium126,8936,232
Dow 30 Premium126,8936,232
Dow 30 Premium126,8936,232
Esperance Minerals NL72,7196,215
Esperance Minerals NL72,7196,215
Esperance Minerals NL72,7196,215
The Bank of Kentucky Financial Corp.122,8986,204
The Bank of Kentucky Financial Corp.122,8986,204
The Bank of Kentucky Financial Corp.122,8986,204
Illumina19,9476,198
Pimco Corporate & Income Stategy Fund60,8666,181
Fiserv69,7646,161
Ultra Lithium Inc106,2596,157
Emerson Electric Company97,8246,152
Colony NorthStar, Inc.488,4476,135
Valero Energy Corporation79,3586,108
International Consolidated Airlines Group SA30,9336,098
Analog Devices57,2686,098
Analog Devices57,2686,098
Analog Devices57,2686,098
Analog Devices57,2686,098
Edwards Lifesciences Corporation31,8546,089
Edwards Lifesciences Corporation31,8546,089
iShares56,6366,066
Analog Devices54,2396,060
Analog Devices54,2396,060
Analog Devices54,2396,060
Analog Devices54,2396,060
Analog Devices54,2396,060
Analog Devices54,2396,060
Analog Devices54,2396,060
NoCopi Technologies, Inc.20,9936,043
First Trust Advantaged Short Duration High Yield Bond Fund76,7715,989
First Trust Advantaged Short Duration High Yield Bond Fund76,7715,989
First Trust Advantaged Short Duration High Yield Bond Fund76,7715,989
First Trust Advantaged Short Duration High Yield Bond Fund76,7715,989
First Trust Advantaged Short Duration High Yield Bond Fund76,7715,989
First Trust Advantaged Short Duration High Yield Bond Fund76,7715,989
Tyson Foods, Inc.84,9935,985
Corning Incorporated178,9955,962
Corning Incorporated178,9955,962
Corning Incorporated178,9955,962
Corning Incorporated178,9955,962
Corning Incorporated178,9955,962
Corning Incorporated178,9955,962
CenturyLink476,9905,952
CenturyLink476,9905,952
CenturyLink476,9905,952
CenturyLink476,9905,952
CenturyLink476,9905,952
Corning Incorporated178,0465,932
Corning Incorporated178,0465,932
Edwards Lifesciences Corporation31,9785,911
Edwards Lifesciences Corporation31,9785,911
Edwards Lifesciences Corporation31,9785,911
Edwards Lifesciences Corporation31,9785,911
Edwards Lifesciences Corporation31,9785,911
Edwards Lifesciences Corporation31,9785,911
Hershey51,5305,909
Main Street Capital Corporation148,4635,904
Dow 30 Premium123,8135,901
Dow 30 Premium123,8135,901
Dow 30 Premium123,8135,901
Dow 30 Premium123,8135,901
Exelon Corporation121,9975,894
Exelon Corporation121,9975,894
Exelon Corporation121,9975,894
Investec Ltd.75,7075,890
BorgWarner Inc.139,8965,872
BorgWarner Inc.139,8965,872
BorgWarner Inc.139,8965,872
BorgWarner Inc.139,8965,872
BorgWarner Inc.139,8965,872
BorgWarner Inc.139,8965,872
Guggenheim Strategic Opportunities Fund285,7255,852
Guggenheim Strategic Opportunities Fund285,7255,852
Guggenheim Strategic Opportunities Fund285,7255,852
BorgWarner Inc.158,5145,815
BorgWarner Inc.158,5145,815
BorgWarner Inc.158,5145,815
BorgWarner Inc.158,5145,815
BorgWarner Inc.158,5145,815
Crimson Wine Group Ltd.83,7955,805
Crimson Wine Group Ltd.83,7955,805
Crimson Wine Group Ltd.83,7955,805
Crimson Wine Group Ltd.83,7955,805
Crimson Wine Group Ltd.83,7955,805
Schuff International, Inc.105,0265,804
FactSet Research Systems Inc.20,2085,792
FactSet Research Systems Inc.20,2085,792
FactSet Research Systems Inc.20,2085,792
FactSet Research Systems Inc.20,2085,792
FactSet Research Systems Inc.20,2085,792
INCEPTION MINING INC.35,2145,792
FactSet Research Systems Inc.20,2085,792
AGNC Investment Corp.343,2205,772
AGNC Investment Corp.343,2205,772
AGNC Investment Corp.343,2205,772
AGNC Investment Corp.343,2205,772
AGNC Investment Corp.343,2205,772
AGNC Investment Corp.343,2205,772
First Trust Exchange-Traded Fund II First Trust ISE Global Pla311,4045,727
First Trust Exchange-Traded Fund II First Trust ISE Global Pla311,4045,727
Arkose Energy Corp.119,2285,720
Inmarsat Plc.33,2805,720
Arkose Energy Corp.119,2285,720
Arkose Energy Corp.119,2285,720
Arkose Energy Corp.119,2285,720
Arkose Energy Corp.119,2285,720
Arkose Energy Corp.119,2285,720
American Fin Tr Inc525,7535,713
American Fin Tr Inc525,7535,713
CenturyLink486,0325,713
CenturyLink486,0325,713
American Fin Tr Inc525,7535,713
CenturyLink486,0325,713
CenturyLink486,0325,713
CenturyLink486,0325,713
American Fin Tr Inc525,7535,713
American Fin Tr Inc525,7535,713
CenturyLink486,0325,713
American Fin Tr Inc525,7535,713
Sempra Energy49,9365,698
Activision Blizzard84,4525,694
Activision Blizzard84,4525,694
Applied Materials109,2715,690
FTE Networks, Inc.92,8035,687
FTE Networks, Inc.92,8035,687
FTE Networks, Inc.92,8035,687
FTE Networks, Inc.92,8035,687
FTE Networks, Inc.92,8035,687
FTE Networks, Inc.92,8035,687
General Dynamics Corporation27,6295,684
Cummins Inc.33,7805,679
Baxano Surgical, Inc.69,3495,640
Baxano Surgical, Inc.69,3495,640
Baxano Surgical, Inc.69,3495,640
Imerjn Inc.107,6975,639
Allstate Corporation (The)51,8555,635
Allstate Corporation (The)51,8555,635
Allstate Corporation (The)51,8555,635
Allstate Corporation (The)51,8555,635
Allstate Corporation (The)51,8555,635
Allstate Corporation (The)51,8555,635
Allstate Corporation (The)51,8555,635
First Trust Exchange-Traded Fund II First Trust ISE Global Pla304,1175,629
First Trust Exchange-Traded Fund II First Trust ISE Global Pla304,1175,629
First Trust Exchange-Traded Fund II First Trust ISE Global Pla304,1175,629
First Trust Exchange-Traded Fund II First Trust ISE Global Pla304,1175,629
First Trust Exchange-Traded Fund II First Trust ISE Global Pla304,1175,629
Walgreens Boots Alliance72,7205,615
AGIC Convertible & Income Fund II1,113,7645,602
AGIC Convertible & Income Fund II1,113,7645,602
AGIC Convertible & Income Fund II1,113,7645,602
AGIC Convertible & Income Fund II1,113,7645,602
AGIC Convertible & Income Fund II1,113,7645,602
AGIC Convertible & Income Fund II1,113,7645,602
AGIC Convertible & Income Fund II1,113,7645,602
General Motors Company144,1855,562
General Motors Company144,1855,562
General Motors Company144,1855,562
General Motors Company144,1855,562
Deutsche Bank Aktiengesellschaft178,2395,531
Delta Air Lines Inc. (New)95,4935,501
Delta Air Lines Inc. (New)95,4935,501
Delta Air Lines Inc. (New)95,4935,501
Delta Air Lines Inc. (New)95,4935,501
First Trust NASDAQ-100 Ex-Technology Sector Index Fund80,6275,495
International Paper Company126,4605,488
International Paper Company126,4605,488
Arkose Energy Corp.136,2905,464
Arkose Energy Corp.136,2905,464
Arkose Energy Corp.136,2905,464
Arkose Energy Corp.136,2905,464
Arkose Energy Corp.136,2905,464
Arkose Energy Corp.136,2905,464
Arkose Energy Corp.136,2905,464
VGambling Inc.40,6655,459
American Fin Tr Inc500,5305,408
American Fin Tr Inc500,5305,408
American Fin Tr Inc500,5305,408
American Fin Tr Inc500,5305,408
Aflac Incorporated97,9925,377
Aflac Incorporated97,9925,377
Aflac Incorporated97,9925,377
Aflac Incorporated97,9925,377
Aflac Incorporated97,9925,377
Aflac Incorporated97,9925,377
MetLife103,1795,360
Home Retail Group plc146,6525,359
Automatic Data Processing47,1455,347
Automatic Data Processing47,1455,347
First Trust Advantaged Short Duration High Yield Bond Fund71,2515,338
First Trust Advantaged Short Duration High Yield Bond Fund71,2515,338
Aflac Incorporated101,7695,326
Aflac Incorporated101,7695,326
Aflac Incorporated101,7695,326
Aflac Incorporated101,7695,326
Aflac Incorporated101,7695,326
Aflac Incorporated101,7695,326
Aflac Incorporated101,7695,326
Celgene Corporation59,7095,322
Crimson Wine Group Ltd.94,7115,272
FactSet Research Systems Inc.21,1585,262
FTE Networks, Inc.95,8605,262
FactSet Research Systems Inc.21,1585,262
Sherwin-Williams Company (The)14,6565,252
Weyerhaeuser Company154,3305,252
PNC Financial Services Group38,7205,214
Franklin Templeton Limited Duration Income Trust375,9525,212
Applied Materials104,3085,206
Applied Materials104,3085,206
Applied Materials104,3085,206
Applied Materials104,3085,206
Applied Materials104,3085,206
Applied Materials104,3085,206
Applied Materials104,3085,206
Lowe's Companies65,0215,205
Blackstone / GSO Strategic Credit Fund144,9765,197
Blackstone / GSO Strategic Credit Fund144,9765,197
Blackstone / GSO Strategic Credit Fund144,9765,197
Blackstone / GSO Strategic Credit Fund144,9765,197
Blackstone / GSO Strategic Credit Fund144,9765,197
Enbridge Inc124,0885,192
FIDELITY D & D BANCORP INC144,7985,168
Ares Capital Corporation287,4925,151
Ares Capital Corporation287,4925,151
Ares Capital Corporation287,4925,151
Ares Capital Corporation287,4925,151
Ares Capital Corporation287,4925,151
Ares Capital Corporation287,4925,151
DoubleLine Income Solutions Fund258,0735,144
DoubleLine Income Solutions Fund258,0735,144
Eaton Vance Tax-Managed Global Diversified Equity Income Fund350,2425,127
Eaton Vance Tax-Managed Global Diversified Equity Income Fund350,2425,127
Eaton Vance Tax-Managed Global Diversified Equity Income Fund350,2425,127
Eaton Vance Tax-Managed Global Diversified Equity Income Fund350,2425,127
Esperance Minerals NL67,6225,122
Esperance Minerals NL67,6225,122
Esperance Minerals NL67,6225,122
Esperance Minerals NL67,6225,122
Esperance Minerals NL67,6225,122
Esperance Minerals NL67,6225,122
Activision Blizzard79,3635,114
Megacable Holdings SAB DE CV59,2765,113
Ventas78,2705,097
Velocity Portfolio Group, Inc.52,2495,096
Corning Incorporated177,5405,063
Corning Incorporated177,5405,063
Corning Incorporated177,5405,063
Corning Incorporated177,5405,063
CenturyLink421,4085,054
CenturyLink421,4085,054
GSM Fund Group Inc100,8245,033
Becton, Dickinson & Co.23,2375,020
Becton, Dickinson & Co.23,2375,020
Harris Teeter Supermarkets31,0065,012
Mondelez International122,7474,995
Norfolk Souther Corporation37,7724,994
Align Technology17,5314,986
Align Technology17,5314,986
Align Technology17,5314,986
Align Technology17,5314,986
Align Technology17,5314,986
Church & Dwight Company66,1994,981
Church & Dwight Company66,1994,981
Church & Dwight Company66,1994,981
Church & Dwight Company66,1994,981
Church & Dwight Company66,1994,981
FTE Networks, Inc.83,6274,978
FTE Networks, Inc.83,6274,978
Cincinnati Financial Corporation42,4584,953
Cincinnati Financial Corporation42,4584,953
Cincinnati Financial Corporation42,4584,953
Cincinnati Financial Corporation42,4584,953
Cincinnati Financial Corporation42,4584,953
Activision Blizzard93,5264,949
Activision Blizzard93,5264,949
Activision Blizzard93,5264,949
Activision Blizzard93,5264,949
Activision Blizzard93,5264,949
Activision Blizzard93,5264,949
Activision Blizzard93,5264,949
Morgan Stanley102,0304,943
Crown Equity Holdings, Inc.38,6324,939
Crown Equity Holdings, Inc.38,6324,939
FTE Networks, Inc.80,9734,932
Arkose Energy Corp.105,2744,919
Arkose Energy Corp.105,2744,919
Arkose Energy Corp.105,2744,919
Arkose Energy Corp.105,2744,919
Arkose Energy Corp.105,2744,919
Blackstone / GSO Strategic Credit Fund137,9424,909
Blackstone / GSO Strategic Credit Fund137,9424,909
Blackstone / GSO Strategic Credit Fund137,9424,909
Blackstone / GSO Strategic Credit Fund137,9424,909
Blackstone / GSO Strategic Credit Fund137,9424,909
Blackstone / GSO Strategic Credit Fund137,9424,909
FactSet Research Systems Inc.20,1424,894
FactSet Research Systems Inc.20,1424,894
FactSet Research Systems Inc.20,1424,894
Annaly Capital Management Inc489,0344,886
Annaly Capital Management Inc489,0344,886
Annaly Capital Management Inc489,0344,886
Crimson Wine Group Ltd.90,1134,880
Ares Capital Corporation283,3494,862
Ares Capital Corporation283,3494,862
Ares Capital Corporation283,3494,862
XBiotech Inc.56,0964,856
Esperance Minerals NL68,2814,836
Esperance Minerals NL68,2814,836
Nuveen Massachusetts AMT-Free Municipal Income Fund216,0314,781
Aflac Incorporated95,4244,767
Aflac Incorporated95,4244,767
Aflac Incorporated95,4244,767
Omega Healthcare Investors149,3974,767
Aflac Incorporated95,4244,767
Aflac Incorporated95,4244,767
Align Technology17,4174,761
Align Technology17,4174,761
Align Technology17,4174,761
Align Technology17,4174,761
Align Technology17,4174,761
Align Technology17,4174,761
Delta Air Lines Inc. (New)82,9034,753
Delta Air Lines Inc. (New)82,9034,753
Delta Air Lines Inc. (New)82,9034,753
Delta Air Lines Inc. (New)82,9034,753
Delta Air Lines Inc. (New)82,9034,753
Delta Air Lines Inc. (New)82,9034,753
First Trust Senior Floating Rate Income Fund II98,5264,748
Adobe Systems Incorporated31,7784,742
PennantPark Floating Rate Capital Ltd.327,4714,742
FIRST TRUST MLP & ENERGY INCOME FUND315,4754,737
FIRST TRUST MLP & ENERGY INCOME FUND315,4754,737
FIRST TRUST MLP & ENERGY INCOME FUND315,4754,737
FIRST TRUST MLP & ENERGY INCOME FUND315,4754,737
FIRST TRUST MLP & ENERGY INCOME FUND315,4754,737
Magellan Minerals Ltd.66,5874,732
Kreisler Manufacturing Corp.234,9004,713
Baxano Surgical, Inc.53,7924,705
Baxano Surgical, Inc.53,7924,705
Baxano Surgical, Inc.53,7924,705
Baxano Surgical, Inc.53,7924,705
Baxano Surgical, Inc.53,7924,705
Baxano Surgical, Inc.53,7924,705
Baxano Surgical, Inc.53,7924,705
Allstate Corporation (The)45,9174,689
Allstate Corporation (The)45,9174,689
Allstate Corporation (The)45,9174,689
Allstate Corporation (The)45,9174,689
Allstate Corporation (The)45,9174,689
Allstate Corporation (The)45,9174,689
Russell Exchange Traded Funds Trust Russell Small Cap Contrari37,7114,681
Brookfield Real Estate Services161,2024,669
Brookfield Real Estate Services161,2024,669
Brookfield Real Estate Services161,2024,669
Brookfield Real Estate Services161,2024,669
Brookfield Real Estate Services161,2024,669
Baxano Surgical, Inc.56,7014,649
Baxano Surgical, Inc.56,7014,649
Baxano Surgical, Inc.56,7014,649
Baxano Surgical, Inc.56,7014,649
IDEXX Laboratories16,7964,649
IDEXX Laboratories16,7964,649
Baxano Surgical, Inc.56,7014,649
Baxano Surgical, Inc.56,7014,649
American Water Works37,3644,642
American Water Works37,3644,642
American Water Works37,3644,642
American Water Works37,3644,642
American Water Works37,3644,642
American Water Works37,3644,642
American Water Works37,3644,642
Vodafone Group Plc162,9004,636
INTERNATIONAL TEXTILE GROUP INC84,8394,632
PayPal Holdings, Inc.72,3104,632
Schlumberger N.V.66,3884,629
Blackstone / GSO Strategic Credit Fund133,6694,620
Blackstone / GSO Strategic Credit Fund133,6694,620
The Bank of Kentucky Financial Corp.104,4434,619
The Bank of Kentucky Financial Corp.104,4434,619
The Bank of Kentucky Financial Corp.104,4434,619
The Bank of Kentucky Financial Corp.104,4434,619
The Bank of Kentucky Financial Corp.104,4434,619
The Bank of Kentucky Financial Corp.104,4434,619
IFAN Financial, Inc.41,4164,609
Guggenheim Strategic Opportunities Fund234,4484,608
FIRST TRUST MLP & ENERGY INCOME FUND314,7014,598
FIRST TRUST MLP & ENERGY INCOME FUND314,7014,598
ExactTarget552,7794,583
ExactTarget552,7794,583
ExactTarget552,7794,583
ExactTarget552,7794,583
ExactTarget552,7794,583
ExactTarget552,7794,583
DoubleLine Income Solutions Fund229,4714,571
DoubleLine Income Solutions Fund229,4714,571
DoubleLine Income Solutions Fund229,4714,571
DoubleLine Income Solutions Fund229,4714,571
Broadridge Financial Solutions56,3894,558
Align Technology18,0354,527
Align Technology18,0354,527
Copart56,2524,518
Copart56,2524,518
Copart56,2524,518
Copart56,2524,518
Applied Materials100,3524,511
Applied Materials100,3524,511
Applied Materials100,3524,511
Applied Materials100,3524,511
Hydrocarb Energy Corporation144,0514,511
Applied Materials100,3524,511
Applied Materials100,3524,511
Automatic Data Processing41,2264,510
Material Sciences Corporation79,2564,502
CASEY CONTAINER CORP41,0864,497
Ares Capital Corporation241,2094,494
Ares Capital Corporation241,2094,494
Ares Capital Corporation241,2094,494
Ares Capital Corporation241,2094,494
Ares Capital Corporation241,2094,494
Ares Capital Corporation241,2094,494
Ares Capital Corporation241,2094,494
Booking Holdings2,1524,475
Air Products and Chemicals23,3494,466
Air Products and Chemicals23,3494,466
Air Products and Chemicals23,3494,466
Air Products and Chemicals23,3494,466
Air Products and Chemicals23,3494,466
DENTSPLY International Inc.74,3614,445
Energy Revenue America, Inc.180,2464,442
Church & Dwight Company60,7334,438
Church & Dwight Company60,7334,438
Church & Dwight Company60,7334,438
Church & Dwight Company60,7334,438
Church & Dwight Company60,7334,438
Church & Dwight Company60,7334,438
Gladstone Capital Corporation382,0694,430
Annaly Capital Management Inc443,1684,428
ExactTarget538,0684,422
ExactTarget538,0684,422
ExactTarget538,0684,422
ExactTarget538,0684,422
Allstate Corporation (The)47,0094,421
Allstate Corporation (The)47,0094,421
Allstate Corporation (The)47,0094,421
Allstate Corporation (The)47,0094,421
Allstate Corporation (The)47,0094,421
Delta Air Lines Inc. (New)84,9334,394
Delta Air Lines Inc. (New)84,9334,394
The Bank of Kentucky Financial Corp.85,2964,391
The Bank of Kentucky Financial Corp.85,2964,391
Dollar General Corporation32,4494,390
Dollar General Corporation32,4494,390
Dollar General Corporation32,4494,390
Dollar General Corporation32,4494,390
Dollar General Corporation32,4494,390
Dollar General Corporation32,4494,390
Energy Revenue America, Inc.196,4554,386
Energy Revenue America, Inc.196,4554,386
Energy Revenue America, Inc.196,4554,386
Energy Revenue America, Inc.196,4554,386
Energy Revenue America, Inc.196,4554,386
Copart58,4874,372
Copart58,4874,372
Copart58,4874,372
Copart58,4874,372
Copart58,4874,372
Copart58,4874,372
DoubleLine Income Solutions Fund218,3884,361
DoubleLine Income Solutions Fund218,3884,361
DoubleLine Income Solutions Fund218,3884,361
DoubleLine Income Solutions Fund218,3884,361
DoubleLine Income Solutions Fund218,3884,361
DoubleLine Income Solutions Fund218,3884,361
Booking Holdings2,4584,355
Booking Holdings2,4584,355
Goldman Sachs Group21,2324,353
Goldman Sachs Group21,2324,353
iShares MSCI All Country Asia ex Japan Index Fund53,4894,353
Goldman Sachs Group21,2324,353
Activision Blizzard95,1684,344
Church & Dwight Company60,9594,344
Activision Blizzard95,1684,344
Activision Blizzard95,1684,344
Church & Dwight Company60,9594,344
Activision Blizzard95,1684,344
Activision Blizzard95,1684,344
Eaton Vance Tax-Managed Global Diversified Equity Income Fund289,1714,342
Eaton Vance Tax-Managed Global Diversified Equity Income Fund289,1714,342
Eaton Vance Tax-Managed Global Diversified Equity Income Fund289,1714,342
Eaton Vance Tax-Managed Global Diversified Equity Income Fund289,1714,342
Eaton Vance Tax-Managed Global Diversified Equity Income Fund289,1714,342
Eaton Vance Tax-Managed Global Diversified Equity Income Fund289,1714,342
Danaher Corporation50,6114,341
AGNC Investment Corp.240,2754,327
AGNC Investment Corp.240,2754,327
AGNC Investment Corp.240,2754,327
AGNC Investment Corp.240,2754,327
AGNC Investment Corp.240,2754,327
First Trust Exchange-Traded Fund II First Trust ISE Global Pla225,4934,326
Prospect Capital Corporation1,176,0714,319
Stryker Corporation30,4054,319
iShares45,6584,312
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund67,8564,280
Booking Holdings2,2724,277
Booking Holdings2,2724,277
Booking Holdings2,2724,277
Booking Holdings2,2724,277
Booking Holdings2,2724,277
Booking Holdings2,2724,277
ExactTarget524,9834,274
Eaton Vance Limited Duration Income Fund337,9954,274
Eaton Vance Limited Duration Income Fund337,9954,274
Eaton Vance Limited Duration Income Fund337,9954,274
Eaton Vance Limited Duration Income Fund337,9954,274
Eaton Vance Limited Duration Income Fund337,9954,274
Eaton Vance Limited Duration Income Fund337,9954,274
ExactTarget524,9834,274
Nuveen California Dividend Advantage Municipal Fund 3251,9894,273
Monotaro Co., Ltd.35,6354,269
Arista Networks, Inc.13,5394,258
Arista Networks, Inc.13,5394,258
Arista Networks, Inc.13,5394,258
Texas Instruments Incorporated47,4634,255
American Water Works52,5084,252
Anthem United, Inc.14,7504,235
Anthem United, Inc.14,7504,235
Anthem United, Inc.14,7504,235
Eaton Vance Limited Duration Income Fund336,5154,207
Eaton Vance Limited Duration Income Fund336,5154,207
Eaton Vance Limited Duration Income Fund336,5154,207
Eaton Vance Limited Duration Income Fund336,5154,207
Cincinnati Financial Corporation40,4324,197
Cincinnati Financial Corporation40,4324,197
Cincinnati Financial Corporation40,4324,197
Cincinnati Financial Corporation40,4324,197
Cincinnati Financial Corporation40,4324,197
Cincinnati Financial Corporation40,4324,197
iShares Gold Trust340,9254,196
Fiserv32,2504,159
Canopy Growth Corporation102,9434,152
Canopy Growth Corporation102,9434,152
Canopy Growth Corporation102,9434,152
Canopy Growth Corporation102,9434,152
Canopy Growth Corporation102,9434,152
Canopy Growth Corporation102,9434,152
CME Group Inc.24,9044,132
CME Group Inc.24,9044,132
Aqua Bounty Technologies Inc92,0664,128
Aqua Bounty Technologies Inc92,0664,128
Aqua Bounty Technologies Inc92,0664,128
Aqua Bounty Technologies Inc92,0664,128
Aqua Bounty Technologies Inc92,0664,128
Aqua Bounty Technologies Inc92,0664,128
Aqua Bounty Technologies Inc92,0664,128
Reaves Utility Income Fund143,0304,125
American Water Works39,5034,116
American Water Works39,5034,116
American Water Works39,5034,116
American Water Works39,5034,116
CMG HOLDINGS GROUP, INC.4,8934,111
CMG HOLDINGS GROUP, INC.4,8934,111
CMG HOLDINGS GROUP, INC.4,8934,111
CMG HOLDINGS GROUP, INC.4,8934,111
CMG HOLDINGS GROUP, INC.4,8934,111
EEStor Corporation117,3794,106
American Water Works49,9824,105
American Water Works49,9824,105
AO Mosenergo40,2284,100
American Express Company43,9014,094
American Express Company43,9014,094
Eaton Vance Limited Duration Income Fund322,8184,083
Eaton Vance Limited Duration Income Fund322,8184,083
Medical Properties Trust310,3994,079
AGIC Convertible & Income Fund II807,1794,077
AGIC Convertible & Income Fund II807,1794,077
AGIC Convertible & Income Fund II807,1794,077
AGIC Convertible & Income Fund II807,1794,077
AGIC Convertible & Income Fund II807,1794,077
AGIC Convertible & Income Fund II807,1794,077
Brown-Forman Corporation Class B 64,8834,074
Brown-Forman Corporation Class B 64,8834,074
Brown-Forman Corporation Class B 64,8834,074
Brown-Forman Corporation Class B 64,8834,074
Brown-Forman Corporation Class B 64,8834,074
American Water Works35,1104,069
American Water Works35,1104,069
American Water Works35,1104,069
American Water Works35,1104,069
American Water Works35,1104,069
American Water Works35,1104,069
Cohen & Steers Infrastructure Fund189,9054,067
TJX Companies55,0774,061
Innovative Gaming Corporation of America32,7644,049
Innovative Gaming Corporation of America32,7644,049
Booking Holdings2,0614,046
Booking Holdings2,0614,046
Booking Holdings2,0614,046
Booking Holdings2,0614,046
Booking Holdings2,0614,046
Corning Incorporated134,6544,037
Arista Networks, Inc.16,8824,033
Arista Networks, Inc.16,8824,033
Arista Networks, Inc.16,8824,033
Arista Networks, Inc.16,8824,033
Arista Networks, Inc.16,8824,033
Arista Networks, Inc.16,8824,033
Arista Networks, Inc.16,8824,033
Eaton Vance Tax-Managed Global Diversified Equity Income Fund268,3004,029
Eaton Vance Tax-Managed Global Diversified Equity Income Fund268,3004,029
ONEOK72,6264,027
Dollar General Corporation33,7954,027
Dollar General Corporation33,7954,027
Group Ten Metals Inc.159,8344,016
Anthem United, Inc.14,1383,991
Anthem United, Inc.14,1383,991
Anthem United, Inc.14,1383,991
Anthem United, Inc.14,1383,991
Anthem United, Inc.14,1383,991
Anthem United, Inc.14,1383,991
BlackRock Maryland Municipal Bond Trust74,6883,986
BlackRock Maryland Municipal Bond Trust74,6883,986
BlackRock Maryland Municipal Bond Trust74,6883,986
BlackRock Maryland Municipal Bond Trust74,6883,986
BlackRock Maryland Municipal Bond Trust74,6883,986
BlackRock Maryland Municipal Bond Trust74,6883,986
BlackRock Maryland Municipal Bond Trust74,6883,986
Cummins Inc.25,0983,980
Cummins Inc.25,0983,980
Archer92,7063,975
Archer92,7063,975
Archer92,7063,975
Nuveen Quality Preferred Income Fund 2380,6243,962
Canopy Growth Corporation91,2193,949
Canopy Growth Corporation91,2193,949
Celgene Corporation41,8483,941
Celgene Corporation41,8483,941
Wake Forest Bancshares, Inc.62,4563,923
Goldman Sachs Group20,4033,911
Annaly Capital Management Inc320,8013,911
First Trust NASDAQ-100-Technology Sector Index Fund125,1133,894
First Trust NASDAQ-100-Technology Sector Index Fund125,1133,894
First Trust NASDAQ-100-Technology Sector Index Fund125,1133,894
First Trust NASDAQ-100-Technology Sector Index Fund125,1133,894
First Trust NASDAQ-100-Technology Sector Index Fund125,1133,894
Ecolab Inc.19,6533,892
Ecolab Inc.19,6533,892
Ecolab Inc.19,6533,892
Ecolab Inc.19,6533,892
Energy Revenue America, Inc.178,9953,891
Energy Revenue America, Inc.178,9953,891
Intertainment Media, Inc.247,0173,887
Ares Capital Corporation245,4283,884
Nuveen California Dividend Advantage Municipal Fund 2259,7103,875
Amplify Energy Corp.96,3463,873
Noble Group Ltd.65,0533,868
CMG HOLDINGS GROUP, INC.12,5503,862
Global Technlogies Corp.212,1663,857
IDEXX Laboratories17,2443,849
Gladstone Capital Corporation342,2163,843
Gladstone Capital Corporation342,2163,843
Gladstone Capital Corporation342,2163,843
Gladstone Capital Corporation342,2163,843
Smith (A.O.) Corporation64,6133,840
Sprott Resource Hldgs Inc.370,4623,837
Ares Capital Corporation241,5353,835
British American Tobacco Industries61,3363,832
Sysco Corporation71,0023,830
Anthem United, Inc.15,9263,823
Anthem United, Inc.15,9263,823
Anthem United, Inc.15,9263,823
Anthem United, Inc.15,9263,823
Anthem United, Inc.15,9263,823
Anthem United, Inc.15,9263,823
Anthem United, Inc.15,9263,823
iShares34,4273,817
ANSYS17,2423,815
ANSYS17,2423,815
ANSYS17,2423,815
ANSYS17,2423,815
ANSYS17,2423,815
ANSYS17,2423,815
ANSYS17,2423,815
Allstate Corporation (The)40,2103,812
Allstate Corporation (The)40,2103,812
Crown Equity Holdings, Inc.37,9873,798
Illinois Tool Works Inc.25,6493,798
The Bank of Kentucky Financial Corp.83,9763,797
The Bank of Kentucky Financial Corp.83,9763,797
The Bank of Kentucky Financial Corp.83,9763,797
The Bank of Kentucky Financial Corp.83,9763,797
The Bank of Kentucky Financial Corp.83,9763,797
The Bank of Kentucky Financial Corp.83,9763,797
The Bank of Kentucky Financial Corp.83,9763,797
Global Technlogies Corp.219,7843,782
Global Technlogies Corp.219,7843,782
Global Technlogies Corp.219,7843,782
Global Technlogies Corp.219,7843,782
BROADVIEW INSTITUTE INC15,5663,775
Paychex62,8523,772
ANSYS18,3573,764
ANSYS18,3573,764
ANSYS18,3573,764
ANSYS18,3573,764
ANSYS18,3573,764
ANSYS18,3573,764
Aetna Inc.23,5873,752
BlackRock Maryland Municipal Bond Trust80,0483,752
BlackRock Maryland Municipal Bond Trust80,0483,752
BlackRock Maryland Municipal Bond Trust80,0483,752
American Express Company41,4203,750
Fidelity First Financial Corp.110,7313,749
Fidelity First Financial Corp.110,7313,749
BlackRock Maryland Municipal Bond Trust75,8363,734
BlackRock Maryland Municipal Bond Trust75,8363,734
BlackRock Maryland Municipal Bond Trust75,8363,734
BlackRock Maryland Municipal Bond Trust75,8363,734
BlackRock Maryland Municipal Bond Trust75,8363,734
BlackRock Maryland Municipal Bond Trust75,8363,734
Baxano Surgical, Inc.57,4603,732
Baxano Surgical, Inc.57,4603,732
Celgene Corporation40,2853,728
Celgene Corporation40,2853,728
Celgene Corporation40,2853,728
Celgene Corporation40,2853,728
Celgene Corporation40,2853,728
Celgene Corporation40,2853,728
Allstate Corporation (The)40,5263,726
Brookfield Real Estate Services136,2993,725
Brookfield Real Estate Services136,2993,725
Brookfield Real Estate Services136,2993,725
Brookfield Real Estate Services136,2993,725
Brookfield Real Estate Services136,2993,725
Brookfield Real Estate Services136,2993,725
Activision Blizzard78,6033,718
Activision Blizzard78,6033,718
Activision Blizzard78,6033,718
Activision Blizzard78,6033,718
Activision Blizzard78,6033,718
Activision Blizzard78,6033,718
Copart61,3263,717
Copart61,3263,717
Aetna Inc.21,9183,704
Aetna Inc.21,9183,704
Intuit Inc.14,1723,694
Intuit Inc.14,1723,694
Arbutus Biopharma1,774,9153,692
Arbutus Biopharma1,774,9153,692
Arbutus Biopharma1,774,9153,692
Arbutus Biopharma1,774,9153,692
Arbutus Biopharma1,774,9153,692
Arbutus Biopharma1,774,9153,692
C&F Financial Corporation67,0943,690
International Paper Company64,5223,675
Xcel Energy Inc.77,6553,674
Apptio Inc129,2693,664
Apptio Inc129,2693,664
United Resource Holdings Group, Inc.26,3273,655
CMG HOLDINGS GROUP, INC.5,0083,654
CMG HOLDINGS GROUP, INC.5,0083,654
CMG HOLDINGS GROUP, INC.5,0083,654
CMG HOLDINGS GROUP, INC.5,0083,654
CMG HOLDINGS GROUP, INC.5,0083,654
CMG HOLDINGS GROUP, INC.5,0083,654
Carnival Plc ADS55,6223,647
First Tractor Co. Ltd.64,5493,642
Mascota Resources Corp93,3063,640
C&F Financial Corporation66,6113,637
C&F Financial Corporation66,6113,637
C&F Financial Corporation66,6113,637
C&F Financial Corporation66,6113,637
C&F Financial Corporation66,6113,637
C&F Financial Corporation66,6113,637
Applied Materials91,2593,625
Applied Materials91,2593,625
Applied Materials91,2593,625
Ares Capital Corporation219,9423,606
Canadian National Railway Company43,3843,594
Cummins Inc.20,9593,593
Cummins Inc.20,9593,593
Cummins Inc.20,9593,593
Cummins Inc.20,9593,593
Cummins Inc.20,9593,593
Carnival Plc ADS70,6773,593
Carnival Plc ADS70,6773,593
Cummins Inc.20,9593,593
Becton, Dickinson & Co.18,3173,588
Brown-Forman Corporation Class B 64,4963,584
Brown-Forman Corporation Class B 64,4963,584
Brown-Forman Corporation Class B 64,4963,584
Brown-Forman Corporation Class B 64,4963,584
Brown-Forman Corporation Class B 64,4963,584
Brown-Forman Corporation Class B 64,4963,584
American Woodmark Corporation37,2033,581
First Trust NASDAQ-100-Technology Sector Index Fund119,7933,579
First Trust NASDAQ-100-Technology Sector Index Fund119,7933,579
WisdomTree Middle East Dividend Fund96,0693,578
Aqua Bounty Technologies Inc86,9403,577
Aqua Bounty Technologies Inc86,9403,577
Aqua Bounty Technologies Inc86,9403,577
Aqua Bounty Technologies Inc86,9403,577
Aqua Bounty Technologies Inc86,9403,577
Aqua Bounty Technologies Inc86,9403,577
Scholium Group PLC86,9403,576
C&F Financial Corporation67,9693,575
priceline.com Incorporated1,9493,569
Eaton Vance Limited Duration Income Fund253,8593,562
Pacific Gas & Electric Co.52,2133,555
Global Technlogies Corp.161,4553,553
Capital One Financial Corp38,9593,549
Capital One Financial Corp38,9593,549
Capital One Financial Corp38,9593,549
Capital One Financial Corp38,9593,549
Capital One Financial Corp38,9593,549
Capital One Financial Corp38,9593,549
Anheuser-Busch Inbev SA39,9963,540
Anheuser-Busch Inbev SA39,9963,540
Anheuser-Busch Inbev SA39,9963,540
Anheuser-Busch Inbev SA39,9963,540
Anheuser-Busch Inbev SA39,9963,540
Anheuser-Busch Inbev SA39,9963,540
UBS AG161,4633,535
Amplify Energy Corp.78,2323,527
Canadian National Railway Company39,2213,525
Canadian National Railway Company39,2213,525
Canadian National Railway Company39,2213,525
Canadian National Railway Company39,2213,525
Canadian National Railway Company39,2213,525
DoubleLine Income Solutions Fund165,8703,524
Canadian National Railway Company37,7083,519
Canadian National Railway Company37,7083,519
Canadian National Railway Company37,7083,519
Canadian National Railway Company37,7083,519
Canadian National Railway Company37,7083,519
Canadian National Railway Company37,7083,519
FMB Equibanc, Inc.64,1243,513
FMB Equibanc, Inc.64,1243,513
FMB Equibanc, Inc.64,1243,513
FMB Equibanc, Inc.64,1243,513
FMB Equibanc, Inc.64,1243,513
C&F Financial Corporation66,6153,508
C&F Financial Corporation66,6153,508
Cincinnati Financial Corporation40,8233,508
C&F Financial Corporation66,6153,508
C&F Financial Corporation66,6153,508
Cincinnati Financial Corporation40,8233,508
C&F Financial Corporation66,6153,508
Canadian National Railway Company39,1453,506
Canadian National Railway Company39,1453,506
Ladenburg Thalmann Financial Services Inc1,214,7493,498
ProShares Trust ProShares UltraShort Nasdaq Biotechnology63,4103,494
Cintas Corporation14,6553,487
Cintas Corporation14,6553,487
Cintas Corporation14,6553,487
Cintas Corporation14,6553,487
Cintas Corporation14,6553,487
Cintas Corporation14,6553,487
Arista Networks, Inc.13,2653,469
Arista Networks, Inc.13,2653,469
Arista Networks, Inc.13,2653,469
Arista Networks, Inc.13,2653,469
Arista Networks, Inc.13,2653,469
Arista Networks, Inc.13,2653,469
Franklin Templeton Limited Duration Income Trust227,2823,455
ANSYS21,9943,443
ANSYS21,9943,443
DoubleLine Opportunistic Credit Fund164,5513,442
DoubleLine Opportunistic Credit Fund164,5513,442
DoubleLine Opportunistic Credit Fund164,5513,442
DoubleLine Opportunistic Credit Fund164,5513,442
DoubleLine Opportunistic Credit Fund164,5513,442
DoubleLine Opportunistic Credit Fund164,5513,442
Annaly Capital Management Inc329,8633,441
Annaly Capital Management Inc329,8633,441
First Trust145,4343,438
First Trust145,4343,438
Cigna Corporation21,1843,425
Cigna Corporation21,1843,425
Aqua Bounty Technologies Inc94,1873,422
Aqua Bounty Technologies Inc94,1873,422
Aqua Bounty Technologies Inc94,1873,422
Global Net Lease155,9493,414
American Woodmark Corporation34,6613,413
American Woodmark Corporation34,6613,413
Gladstone Capital Corporation358,5423,403
ANSYS18,5593,394
ANSYS18,5593,394
ANSYS18,5593,394
Schawk96,2893,385
Global X NASDAQ China Technology ETF328,6463,382
Chesapeake Energy Corp.1,090,1883,381
Chesapeake Energy Corp.1,090,1883,381
Fastenal Company103,3913,378
Fastenal Company103,3913,378
Eaton Corporation44,0063,378
Fastenal Company103,3913,378
C&F Financial Corporation66,6063,370
C&F Financial Corporation66,6063,370
Church & Dwight Company69,5733,368
CASEY CONTAINER CORP30,6393,363
Cohen & Steers Infrastructure Fund146,1923,362
VEREIT404,2403,357
Fastenal Company102,9493,356
Fastenal Company102,9493,356
Fastenal Company102,9493,356
Fastenal Company102,9493,356
Fastenal Company102,9493,356
Fastenal Company102,9493,356
Capital One Financial Corp36,8933,355
Capital One Financial Corp36,8933,355
Capital One Financial Corp36,8933,355
Capital One Financial Corp36,8933,355
Capital One Financial Corp36,8933,355
Delta Air Lines Inc. (New)69,2943,353
Micron Technology84,5603,328
LAS VEGAS RAILWAY EXPRESS, INC.51,8523,327
Cohen & Steers Infrastructure Fund127,4993,309
Cohen & Steers Infrastructure Fund127,4993,309
Cohen & Steers Infrastructure Fund127,4993,309
Cohen & Steers Infrastructure Fund127,4993,309
Cohen & Steers Infrastructure Fund127,4993,309
Cohen & Steers Infrastructure Fund127,4993,309
Fastenal Company51,2983,299
Fastenal Company51,2983,299
Apptio Inc178,1693,291
PSL Holdings Ltd59,0263,281
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND42,1913,272
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND42,1913,272
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND42,1913,272
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND42,1913,272
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND42,1913,272
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND42,1913,272
Campbell Soup Company69,6103,266
Campbell Soup Company69,6103,266
Campbell Soup Company69,6103,266
Campbell Soup Company69,6103,266
Chesapeake Energy Corp.759,4973,266
Campbell Soup Company69,6103,266
AGIC Convertible & Income Fund II570,7323,264
AGIC Convertible & Income Fund II570,7323,264
AGIC Convertible & Income Fund II570,7323,264
AGIC Convertible & Income Fund II570,7323,264
AGIC Convertible & Income Fund II570,7323,264
Stanley Black & Decker21,1873,254
Analog Devices37,7623,253
Roper Technologies13,3523,252
DoubleLine Opportunistic Credit Fund156,9393,251
DoubleLine Opportunistic Credit Fund156,9393,251
DoubleLine Opportunistic Credit Fund156,9393,251
DoubleLine Opportunistic Credit Fund156,9393,251
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND43,7473,238
British American Tobacco Industries56,1323,237
ISHARES IV PLC29,1763,222
Canadian National Railway Company44,0053,219
American Airlines Group67,6923,217
Brown-Forman Corporation Class B 60,8913,216
Brown-Forman Corporation Class B 60,8913,216
Eastman Chemical Company35,5173,214
Archer78,5273,210
Archer78,5273,210
Archer78,5273,210
Archer78,5273,210
Archer78,5273,210
Archer78,5273,210
Etfs Commodity Securities Ltd.80,1743,209
Etfs Commodity Securities Ltd.80,1743,209
Edwards Lifesciences Corporation29,2993,203
iSoftStone Holdings Limited94,5573,193
Advent Claymore Convertible Securities and Income Fund II217,8673,176
Advent Claymore Convertible Securities and Income Fund II217,8673,176
Advent Claymore Convertible Securities and Income Fund II217,8673,176
Advent Claymore Convertible Securities and Income Fund II217,8673,176
Advent Claymore Convertible Securities and Income Fund II217,8673,176
Advent Claymore Convertible Securities and Income Fund II217,8673,176
Advent Claymore Convertible Securities and Income Fund II217,8673,176
The Bank of Kentucky Financial Corp.59,5763,167
AmeriGas Partners70,4103,164
First Trust138,8803,160
First Trust138,8803,160
First Trust138,8803,160
First Trust138,8803,160
First Trust138,8803,160
First Trust138,8803,160
Toyota Tsusho Corp.26,4813,158
Ecolab Inc.15,9903,155
Ecolab Inc.15,9903,155
Ecolab Inc.15,9903,155
Ecolab Inc.15,9903,155
Ecolab Inc.15,9903,155
Cohen & Steers Infrastructure Fund115,8123,155
Cohen & Steers Infrastructure Fund115,8123,155
Cohen & Steers Infrastructure Fund115,8123,155
Ecolab Inc.15,9903,155
Cohen & Steers Infrastructure Fund115,8123,155
Parker-Hannifin Corporation18,0153,153
Advanced Micro Devices103,5083,151
Advanced Micro Devices103,5083,151
Advanced Micro Devices103,5083,151
Advanced Micro Devices103,5083,151
Advanced Micro Devices103,5083,151
Advanced Micro Devices103,5083,151
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 88,6683,143
RIGHTSCORP, INC.50,2143,141
Fiduciary/Claymore MLP Opportunity Fund297,3013,140
Fiduciary/Claymore MLP Opportunity Fund297,3013,140
FAMOUS DAVES OF AMERICA INC 41,3113,136
FAMOUS DAVES OF AMERICA INC 41,3113,136
CenturyLink190,7113,126
Thermo Fisher Scientific Inc16,4853,120
iShares MSCI Europe Financials Sector Index Fund25,2433,117
HPC Acquisitions, Inc.155,7373,109
DoubleLine Opportunistic Credit Fund153,7233,105
DoubleLine Opportunistic Credit Fund153,7233,105
CMG HOLDINGS GROUP, INC.9,5983,103
COLUMBIA PROPERTY TRUST, INC.142,3093,096
Advent Claymore Convertible Securities and Income Fund II205,4103,093
Advent Claymore Convertible Securities and Income Fund II205,4103,093
Advent Claymore Convertible Securities and Income Fund II205,4103,093
Advent Claymore Convertible Securities and Income Fund II205,4103,093
Advent Claymore Convertible Securities and Income Fund II205,4103,093
Advent Claymore Convertible Securities and Income Fund II205,4103,093
First Trust NASDAQ-100 Equal Weighted Index Fund48,1303,092
First Trust NASDAQ-100 Equal Weighted Index Fund48,1303,092
Anheuser-Busch Inbev SA32,5273,091
Anheuser-Busch Inbev SA32,5273,091
Anheuser-Busch Inbev SA32,5273,091
Anheuser-Busch Inbev SA32,5273,091
Anheuser-Busch Inbev SA32,5273,091
Anheuser-Busch Inbev SA32,5273,091
Anheuser-Busch Inbev SA32,5273,091
Archer75,1793,087
Archer75,1793,087
Archer75,1793,087
Archer75,1793,087
Archer75,1793,087
Archer75,1793,087
Archer75,1793,087
Prudential Financial28,9603,080
Brown-Forman Corporation Class B 56,6403,079
First Trust141,0263,076
First Trust141,0263,076
Church & Dwight Company60,8973,062
Celgene Corporation30,8373,061
Celgene Corporation30,8373,061
Celgene Corporation30,8373,061
Celgene Corporation30,8373,061
Celgene Corporation30,8373,061
Fidelity Nasdaq Composite Index Tracking Stock11,9723,055
Southwest Airlines Company54,3763,052
Direxion Shares ETF Trust73,3723,044
Direxion Shares ETF Trust73,3723,044
Direxion Shares ETF Trust73,3723,044
Direxion Shares ETF Trust73,3723,044
Esperance Minerals NL50,3223,039
Pimco High Income Fund364,8733,036
First Tractor Co. Ltd.52,4493,034
First Tractor Co. Ltd.52,4493,034
First Tractor Co. Ltd.52,4493,034
First Tractor Co. Ltd.52,4493,034
First Tractor Co. Ltd.52,4493,034
First Tractor Co. Ltd.52,4493,034
COLUMBIA PROPERTY TRUST, INC.143,6203,021
COLUMBIA PROPERTY TRUST, INC.143,6203,021
COLUMBIA PROPERTY TRUST, INC.143,6203,021
COLUMBIA PROPERTY TRUST, INC.143,6203,021
Vulcan Materials Company25,2473,020
Corteva, Inc.107,8503,017
Corteva, Inc.107,8503,017
Corteva, Inc.107,8503,017
Corteva, Inc.107,8503,017
Occidental Petroleum Corporation47,0263,017
Baxano Surgical, Inc.48,0583,014
Cintas Corporation11,2303,011
Cintas Corporation11,2303,011
Cintas Corporation11,2303,011
Cintas Corporation11,2303,011
Cintas Corporation11,2303,011
Corteva, Inc.101,8653,010
Corteva, Inc.101,8653,010
Corteva, Inc.101,8653,010
Corteva, Inc.101,8653,010
Corteva, Inc.101,8653,010
Corteva, Inc.101,8653,010
Biogen Idec Inc.12,8872,999
Biogen Idec Inc.12,8872,999
Biogen Idec Inc.12,8872,999
Biogen Idec Inc.12,8872,999
Biogen Idec Inc.12,8872,999
Biogen Idec Inc.12,8872,999
Biogen Idec Inc.12,8872,999
Commerce Bancshares50,1712,995
Commerce Bancshares50,1712,995
Commerce Bancshares50,1712,995
Commerce Bancshares50,1712,995
Commerce Bancshares50,1712,995
Commerce Bancshares50,1712,995
Biogen Idec Inc.9,5492,990
CMG HOLDINGS GROUP, INC.4,1872,982
CMG HOLDINGS GROUP, INC.4,1872,982
Index Holdings Tokyo94,3632,977
Index Holdings Tokyo94,3632,977
AGIC Convertible & Income Fund II499,9602,976
AGIC Convertible & Income Fund II499,9602,976
Advanced Micro Devices102,5482,973
Advanced Micro Devices102,5482,973
Advanced Micro Devices102,5482,973
Advanced Micro Devices102,5482,973
Advanced Micro Devices102,5482,973
Advanced Micro Devices102,5482,973
Advanced Micro Devices102,5482,973
Boston Scientific Corporation69,1202,971
Boston Scientific Corporation69,1202,971
Boston Scientific Corporation69,1202,971
Boston Scientific Corporation69,1202,971
Boston Scientific Corporation69,1202,971
Boston Scientific Corporation69,1202,971
Victory Resources Corp.66,8652,968
Power Efficiency Corp.99,6052,964
Cincinnati Financial Corporation39,9672,963
McKesson Corporation19,2712,962
Compass Minerals Intl Inc52,4272,961
Compass Minerals Intl Inc52,4272,961
Compass Minerals Intl Inc52,4272,961
Compass Minerals Intl Inc52,4272,961
Digital Realty Trust22,8052,959
Digital Realty Trust22,8052,959
Digital Realty Trust22,8052,959
Digital Realty Trust22,8052,959
Schuff International, Inc.56,4082,953
DTE Energy Company22,1562,945
DTE Energy Company22,1562,945
DTE Energy Company22,1562,945
DTE Energy Company22,1562,945
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal58,8242,937
Amex Exploration Inc.127,7972,934
Envestnet30,7702,933
Envestnet30,7702,933
PPlus Trust76,8982,916
Ulta Salon12,8832,912
Cullen/Frost Bankers31,0692,911
Cullen/Frost Bankers31,0692,911
Cullen/Frost Bankers31,0692,911
Cullen/Frost Bankers31,0692,911
Cullen/Frost Bankers31,0692,911
Cullen/Frost Bankers31,0692,911
Commerce Bancshares47,9012,905
Commerce Bancshares47,9012,905
Commerce Bancshares47,9012,905
Commerce Bancshares47,9012,905
Archer66,7332,893
Archer66,7332,893
Twitter171,2792,890
Commerce Bancshares49,1612,889
Commerce Bancshares49,1612,889
Interface66,5412,882
Cummins Inc.17,7042,879
Cummins Inc.17,7042,879
Cummins Inc.17,7042,879
Cummins Inc.17,7042,879
COLUMBIA PROPERTY TRUST, INC.138,5952,877
COLUMBIA PROPERTY TRUST, INC.138,5952,877
COLUMBIA PROPERTY TRUST, INC.138,5952,877
COLUMBIA PROPERTY TRUST, INC.138,5952,877
COLUMBIA PROPERTY TRUST, INC.138,5952,877
COLUMBIA PROPERTY TRUST, INC.138,5952,877
IShares Plc.49,5142,876
Anheuser-Busch Inbev SA34,1972,872
Anheuser-Busch Inbev SA34,1972,872
Anheuser-Busch Inbev SA34,1972,872
Anheuser-Busch Inbev SA34,1972,872
Boston Scientific Corporation70,5902,870
Boston Scientific Corporation70,5902,870
Boston Scientific Corporation70,5902,870
Boston Scientific Corporation70,5902,870
Boston Scientific Corporation70,5902,870
John Hancock Preferred Income Fund III106,3822,869
AGIC Convertible & Income Fund II458,6002,867
Campbell Soup Company71,4762,863
Campbell Soup Company71,4762,863
Campbell Soup Company71,4762,863
Campbell Soup Company71,4762,863
Campbell Soup Company71,4762,863
Campbell Soup Company71,4762,863
Fortinet37,1652,856
Fortinet37,1652,856
Fortinet37,1652,856
Fortinet37,1652,856
Biogen Idec Inc.12,0052,851
Biogen Idec Inc.12,0052,851
Biogen Idec Inc.12,0052,851
Electronic Arts Inc.29,1512,850
Electronic Arts Inc.29,1512,850
Electronic Arts Inc.29,1512,850
Electronic Arts Inc.29,1512,850
Compass Minerals Intl Inc52,3522,848
Central Fund of Canada Limited224,9012,848
Compass Minerals Intl Inc52,3522,848
Discover Financial Services36,5222,844
Discover Financial Services36,5222,844
Discover Financial Services36,5222,844
Discover Financial Services36,5222,844
Discover Financial Services36,5222,844
Discover Financial Services36,5222,844
Cigna Corporation18,0262,842
Cigna Corporation18,0262,842
Cigna Corporation18,0262,842
Cigna Corporation18,0262,842
Cigna Corporation18,0262,842
Cigna Corporation18,0262,842
Aberdeen Indonesia Fund173,1492,841
Aberdeen Indonesia Fund173,1492,841
Aberdeen Indonesia Fund173,1492,841
Aberdeen Indonesia Fund173,1492,841
Aberdeen Indonesia Fund173,1492,841
FIRST FIXTURES, INC.130,5112,839
Compass Minerals Intl Inc51,1842,829
Compass Minerals Intl Inc51,1842,829
Compass Minerals Intl Inc51,1842,829
Compass Minerals Intl Inc51,1842,829
Compass Minerals Intl Inc51,1842,829
Compass Minerals Intl Inc51,1842,829
Canopy Growth Corporation123,0332,821
Canopy Growth Corporation123,0332,821
Canopy Growth Corporation123,0332,821
Canopy Growth Corporation123,0332,821
Canopy Growth Corporation123,0332,821
DTE Energy Company22,0562,820
DTE Energy Company22,0562,820
DTE Energy Company22,0562,820
DTE Energy Company22,0562,820
DTE Energy Company22,0562,820
DTE Energy Company22,0562,820
Blackrock MuniVest Fund II256,0462,819
Blackrock MuniVest Fund II256,0462,819
Blackrock MuniVest Fund II256,0462,819
Blackrock MuniVest Fund II256,0462,819
Blackrock MuniVest Fund II256,0462,819
Biogen Idec Inc.12,0282,817
Biogen Idec Inc.12,0282,817
Biogen Idec Inc.12,0282,817
Biogen Idec Inc.12,0282,817
Biogen Idec Inc.12,0282,817
Biogen Idec Inc.12,0282,817
Nuveen Core Equity Alpha Fund181,2402,816
Campbell Soup Company73,7522,811
Campbell Soup Company73,7522,811
COLUMBIA PROPERTY TRUST, INC.124,4732,804
COLUMBIA PROPERTY TRUST, INC.124,4732,804
Amplify Energy Corp.77,6912,801
Amplify Energy Corp.77,6912,801
Amplify Energy Corp.77,6912,801
Amplify Energy Corp.77,6912,801
Amplify Energy Corp.77,6912,801
Amplify Energy Corp.77,6912,801
iShares II plc.21,0452,796
Janus Capital Group68,4282,795
Align Technology14,9982,794
Cullen/Frost Bankers31,5572,794
Cullen/Frost Bankers31,5572,794
Cullen/Frost Bankers31,5572,794
Cullen/Frost Bankers31,5572,794
Cintas Corporation13,7642,793
Cintas Corporation13,7642,793
Arista Networks, Inc.10,9312,791
Arista Networks, Inc.10,9312,791
Rockwell Diamonds, Inc.15,6382,787
Public Service Enterprise Group Incorporated60,1352,783
Hormel Foods Corporation62,2502,783
CB Scientific Inc.19,3872,771
Woodward35,6182,765
Analog Devices30,2702,748
Analog Devices30,2702,748
Gartner16,9992,737
Cullen/Frost Bankers28,2172,737
Gartner16,9992,737
Cullen/Frost Bankers28,2172,737
Gartner16,9992,737
Gartner16,9992,737
Amplify Energy Corp.77,2282,735
Amplify Energy Corp.77,2282,735
Amplify Energy Corp.77,2282,735
Amplify Energy Corp.77,2282,735
Amplify Energy Corp.77,2282,735
Amplify Energy Corp.77,2282,735
Amplify Energy Corp.77,2282,735
Alliance Capital Management Holding L.P.93,1202,734
Alliance Capital Management Holding L.P.93,1202,734
Alliance Capital Management Holding L.P.93,1202,734
Alliance Capital Management Holding L.P.93,1202,734
Alliance Capital Management Holding L.P.93,1202,734
Alliance Capital Management Holding L.P.93,1202,734
Alliance Capital Management Holding L.P.93,1202,734
Blackrock Enhanced Equity Dividend Trust292,7982,732
Blackrock Enhanced Equity Dividend Trust292,7982,732
Blackrock Enhanced Equity Dividend Trust292,7982,732
Blackrock Enhanced Equity Dividend Trust292,7982,732
Blackrock Enhanced Equity Dividend Trust292,7982,732
Lincoln Electric Holdings29,6272,726
Envestnet29,2342,722
Envestnet29,2342,722
Envestnet29,2342,722
Envestnet29,2342,722
Envestnet29,2342,722
Envestnet29,2342,722
Digital Realty Trust22,8782,721
Digital Realty Trust22,8782,721
W.W. Grainger8,7842,717
Ecolab Inc.15,3572,714
Ecolab Inc.15,3572,714
Alliance Capital Management Holding L.P.100,8582,709
Alliance Capital Management Holding L.P.100,8582,709
Arbutus Biopharma1,774,9152,707
Arbutus Biopharma1,774,9152,707
Arbutus Biopharma1,774,9152,707
Arbutus Biopharma1,774,9152,707
Arbutus Biopharma1,774,9152,707
Arbutus Biopharma1,774,9152,707
Arbutus Biopharma1,774,9152,707
Alliance Capital Management Holding L.P.90,8442,700
Alliance Capital Management Holding L.P.90,8442,700
Alliance Capital Management Holding L.P.90,8442,700
Alliance Capital Management Holding L.P.90,8442,700
Alliance Capital Management Holding L.P.90,8442,700
Alliance Capital Management Holding L.P.90,8442,700
DTE Energy Company21,5852,693
Chesapeake Energy Corp.1,381,1562,693
DTE Energy Company21,5852,693
Chesapeake Energy Corp.1,381,1562,693
Chesapeake Energy Corp.1,381,1562,693
Chesapeake Energy Corp.1,381,1562,693
Chesapeake Energy Corp.1,381,1562,693
Chesapeake Energy Corp.1,381,1562,693
FIRST FIXTURES, INC.116,9942,692
FIRST FIXTURES, INC.116,9942,692
FIRST FIXTURES, INC.116,9942,692
FIRST FIXTURES, INC.116,9942,692
FIRST FIXTURES, INC.116,9942,692
FIRST FIXTURES, INC.116,9942,692
LPBP Inc132,2842,689
Blackstone / GSO Strategic Credit Fund85,4652,685
TIER REIT INC139,1172,684
POWERSHARES DB US DOLLAR INDEX BEARISH FUND173,5382,673
Ameren Illinois Company33,2242,660
Ameren Illinois Company33,2242,660
Ameren Illinois Company33,2242,660
Ameren Illinois Company33,2242,660
Ameren Illinois Company33,2242,660
Ameren Illinois Company33,2242,660
Ameren Illinois Company33,2242,660
Discover Financial Services32,7132,653
Discover Financial Services32,7132,653
Discover Financial Services32,7132,653
Discover Financial Services32,7132,653
ANSYS21,5942,650
AvalonBay Communities12,2902,647
AvalonBay Communities12,2902,647
AvalonBay Communities12,2902,647
AvalonBay Communities12,2902,647
AvalonBay Communities12,2902,647
AvalonBay Communities12,2902,647
AvalonBay Communities12,2902,647
Gartner17,4352,646
Yum! Brands35,9202,645
Apache Corporation57,3762,628
ONYX Pharmaceuticals12,1932,626
Akamai Technologies28,7042,623
Akamai Technologies28,7042,623
Akamai Technologies28,7042,623
PIMCO Income Strategy Fund II245,1302,623
Akamai Technologies28,7042,623
Akamai Technologies28,7042,623
Akamai Technologies28,7042,623
Akamai Technologies28,7042,623
Nuveen Credit Strategies Income Fund308,4392,619
Blackrock MuniVest Fund II237,5782,611
Blackrock MuniVest Fund II237,5782,611
Blackrock MuniVest Fund II237,5782,611
Blackrock MuniVest Fund II237,5782,611
Blackrock MuniVest Fund II237,5782,611
Blackrock MuniVest Fund II237,5782,611
Lamprell14,1132,610
Cohen & Steers Infrastructure Fund106,2382,605
Cohen & Steers Infrastructure Fund106,2382,605
Hannon Armstrong Sustainable Infrastructure Capital, Inc.106,7962,603
Torchmark Corporation32,4392,599
Adriana Resources, Inc.15,7152,599
Adriana Resources, Inc.15,7152,599
Adriana Resources, Inc.15,7152,599
Nearmap Ltd.51,6592,598
Campbell Soup Company59,6842,585
STARWOOD PROPERTY TRUST119,0102,583
ALLIANCEBERNSTEIN L.P.197,6232,578
INVESCO MORTGAGE CAPITAL INC150,5382,577
iShares S&P Global Clean Energy Index Fund18,0872,575
Unilever NV43,5872,574
Digital Realty Trust21,8492,574
Digital Realty Trust21,8492,574
Digital Realty Trust21,8492,574
Digital Realty Trust21,8492,574
Digital Realty Trust21,8492,574
Digital Realty Trust21,8492,574
First Trust NASDAQ ABA Community Bank Index Fund65,7352,573
First Trust NASDAQ ABA Community Bank Index Fund65,7352,573
First Trust NASDAQ ABA Community Bank Index Fund65,7352,573
First Trust NASDAQ ABA Community Bank Index Fund65,7352,573
First Trust NASDAQ ABA Community Bank Index Fund65,7352,573
Nucor Corporation45,9082,572
Advanced Micro Devices100,5952,569
Advanced Micro Devices100,5952,569
Advanced Micro Devices100,5952,569
Advanced Micro Devices100,5952,569
Advanced Micro Devices100,5952,569
Moody's Corporation18,4012,562
FTS International, Inc.37,1822,560
FTS International, Inc.37,1822,560
FTS International, Inc.37,1822,560
FTS International, Inc.37,1822,560
FTS International, Inc.37,1822,560
FactSet Research Systems Inc.14,1822,554
Fiduciary/Claymore MLP Opportunity Fund263,5442,549
Fiduciary/Claymore MLP Opportunity Fund263,5442,549
Fiduciary/Claymore MLP Opportunity Fund263,5442,549
Fiduciary/Claymore MLP Opportunity Fund263,5442,549
Sabra Healthcare REIT116,1682,549
Fiduciary/Claymore MLP Opportunity Fund263,5442,549
Fiduciary/Claymore MLP Opportunity Fund263,5442,549
Harris Teeter Supermarkets13,4722,548
Harris Teeter Supermarkets13,4722,548
Harris Teeter Supermarkets13,4722,548
Water Technologies International,Inc.89,3992,547
Astrazeneca PLC57,0942,545
Astrazeneca PLC57,0942,545
Astrazeneca PLC57,0942,545
Astrazeneca PLC57,0942,545
Astrazeneca PLC57,0942,545
Astrazeneca PLC57,0942,545
Astrazeneca PLC57,0942,545
Albero Corp.27,4012,539
Albero Corp.27,4012,539
Kresta Holdings Ltd.44,6542,533
Piedmont Office Realty Trust125,5152,530
Hormel Foods Corporation62,2872,529
Hormel Foods Corporation62,2872,529
First Trust NASDAQ ABA Community Bank Index Fund65,4652,516
First Trust NASDAQ ABA Community Bank Index Fund65,4652,516
DoubleLine Opportunistic Credit Fund104,6692,516
ABB Ltd124,9182,501
ABB Ltd124,9182,501
ABB Ltd124,9182,501
ABB Ltd124,9182,501
ABB Ltd124,9182,501
ABB Ltd124,9182,501
HCP78,3702,500
HCP78,3702,500
HCP78,3702,500
ABB Ltd126,7212,492
ABB Ltd126,7212,492
ABB Ltd126,7212,492
ABB Ltd126,7212,492
ABB Ltd126,7212,492
ABB Ltd126,7212,492
ABB Ltd126,7212,492
Brookfield Real Estate Services103,4202,483
Alliance Capital Management Holding L.P.85,7782,479
Alliance Capital Management Holding L.P.85,7782,479
Alliance Capital Management Holding L.P.85,7782,479
Alliance Capital Management Holding L.P.85,7782,479
Alliance Capital Management Holding L.P.85,7782,479
Brookfield Real Estate Services102,3192,476
Brookfield Real Estate Services102,3192,476
Envestnet25,5302,468
Fundthatcompany24,0602,466
Blackrock MuniVest Fund II227,7112,463
Blackrock MuniVest Fund II227,7112,463
Illumina12,3612,462
ABB Ltd130,0172,462
ABB Ltd130,0172,462
ABB Ltd130,0172,462
ABB Ltd130,0172,462
ABB Ltd130,0172,462
Cohn & Steers Inc100,0162,461
Cohn & Steers Inc100,0162,461
Cohn & Steers Inc100,0162,461
Cohn & Steers Inc100,0162,461
State Street Corporation25,6962,455
Equinix4,2552,455
Equinix4,2552,455
Equinix4,2552,455
Cigna Corporation16,1702,454
Cigna Corporation16,1702,454
Cigna Corporation16,1702,454
Cigna Corporation16,1702,454
Cigna Corporation16,1702,454
Biogen Idec Inc.8,9622,453
Biogen Idec Inc.8,9622,453
Aqua Bounty Technologies Inc73,7592,448
Digital Realty Trust20,5462,430
HCP77,6422,429
Ashford Hospitality Trust Inc511,1632,428
Ashford Hospitality Trust Inc511,1632,428
Ashford Hospitality Trust Inc511,1632,428
Brookfield Real Estate Services90,1432,423
Fortinet28,8592,420
Etfs Commodity Securities Ltd.60,7992,419
Etfs Commodity Securities Ltd.60,7992,419
Etfs Commodity Securities Ltd.60,7992,419
Etfs Commodity Securities Ltd.60,7992,419
Etfs Commodity Securities Ltd.60,7992,419
Etfs Commodity Securities Ltd.60,7992,419
Xenia Hotels & Resorts114,8012,417
Guggenheim Equal Weight Enhanced Equity Income Fund165,8432,413
Multi-Strategy Growth & Income Fund79,1372,408
Multi-Strategy Growth & Income Fund79,1372,408
Eaton Vance Enhance Equity Income Fund184,4552,405
Eaton Vance Enhance Equity Income Fund184,4552,405
Eaton Vance Enhance Equity Income Fund184,4552,405
Eaton Vance Enhance Equity Income Fund184,4552,405
FTS International, Inc.35,9312,402
FTS International, Inc.35,9312,402
INVESCO MORTGAGE CAPITAL INC148,8432,400
INVESCO MORTGAGE CAPITAL INC148,8432,400
Trans-Pacific Aerospace Company, Inc.48,4272,394
Indofood Agri Resources Ltd.24,9932,394
Cohn & Steers Inc110,6392,392
Cohn & Steers Inc110,6392,392
Cohn & Steers Inc110,6392,392
Cohn & Steers Inc110,6392,392
Cohn & Steers Inc110,6392,392
Cohn & Steers Inc110,6392,392
Albero Corp.17,5392,389
Cohen & Steers Quality Income Realty Fund Inc150,5162,386
Cohen & Steers Quality Income Realty Fund Inc150,5162,386
Cohen & Steers Quality Income Realty Fund Inc150,5162,386
Cohen & Steers Quality Income Realty Fund Inc150,5162,386
FTS International, Inc.35,3022,384
BlackRock Multi-Sector Income Trust138,6812,380
BlackRock Multi-Sector Income Trust138,6812,380
BlackRock Multi-Sector Income Trust138,6812,380
BlackRock Multi-Sector Income Trust138,6812,380
BlackRock Multi-Sector Income Trust138,6812,380
AmeriGas Partners59,5092,379
AmeriGas Partners59,5092,379
Sanofi49,0602,377
J.M. Smucker Company (The)22,5932,370
Alaska Power & Telephone Co.38,2702,370
Alaska Power & Telephone Co.38,2702,370
Nuveen Short Duration Credit Opportunities Fund136,1012,366
AvalonBay Communities11,6662,363
AvalonBay Communities11,6662,363
AvalonBay Communities11,6662,363
AvalonBay Communities11,6662,363
AvalonBay Communities11,6662,363
AvalonBay Communities11,6662,363
Carnival Plc ADS36,5292,359
Blackrock Enhanced Equity Dividend Trust259,5212,356
Blackrock Enhanced Equity Dividend Trust259,5212,356
Blackrock Enhanced Equity Dividend Trust259,5212,356
Blackrock Enhanced Equity Dividend Trust259,5212,356
Blackrock Enhanced Equity Dividend Trust259,5212,356
Blackrock Enhanced Equity Dividend Trust259,5212,356
W.W. Grainger8,7702,351
W.W. Grainger8,7702,351
W.W. Grainger8,7702,351
Loews Corporation49,1012,350
All Marketing Solutions Inc.29,1552,345
All Marketing Solutions Inc.29,1552,345
All Marketing Solutions Inc.29,1552,345
All Marketing Solutions Inc.29,1552,345
All Marketing Solutions Inc.29,1552,345
Direxion Shares ETF Trust50,0072,338
Direxion Shares ETF Trust50,0072,338
Direxion Shares ETF Trust50,0072,338
Direxion Shares ETF Trust50,0072,338
Duff & Phelps Corporation156,5302,338
Duff & Phelps Corporation156,5302,338
Direxion Shares ETF Trust50,0072,338
Direxion Shares ETF Trust50,0072,338
China Mobile (Hong Kong) Ltd.50,9792,332
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal122,7612,330
Eaton Vance Risk-Managed Diversified Equity Income Fund251,3132,323
Eaton Vance Risk-Managed Diversified Equity Income Fund251,3132,323
Eaton Vance Risk-Managed Diversified Equity Income Fund251,3132,323
Eaton Vance Risk-Managed Diversified Equity Income Fund251,3132,323
Ross Stores35,9142,319
China Mobile (Hong Kong) Ltd.45,7372,313
Entergy Corporation19,6862,311
Advent Claymore Convertible Securities and Income Fund II156,4042,311
Entergy Corporation19,6862,311
Advent Claymore Convertible Securities and Income Fund II156,4042,311
Advent Claymore Convertible Securities and Income Fund II156,4042,311
Advent Claymore Convertible Securities and Income Fund II156,4042,311
Entergy Corporation19,6862,311
Advent Claymore Convertible Securities and Income Fund II156,4042,311
Eaton Vance Enhance Equity Income Fund176,2982,307
Eaton Vance Enhance Equity Income Fund176,2982,307
Eaton Vance Enhance Equity Income Fund176,2982,307
Eaton Vance Enhance Equity Income Fund176,2982,307
Eaton Vance Enhance Equity Income Fund176,2982,307
Eaton Vance Enhance Equity Income Fund176,2982,307
Evergy, Inc.34,6472,306
Evergy, Inc.34,6472,306
Fastenal Company50,5592,306
Discover Financial Services32,2092,306
Evergy, Inc.34,6472,306
Discover Financial Services32,2092,306
Hannon Armstrong Sustainable Infrastructure Capital, Inc.99,1012,304
Hannon Armstrong Sustainable Infrastructure Capital, Inc.99,1012,304
Hannon Armstrong Sustainable Infrastructure Capital, Inc.99,1012,304
Boston Scientific Corporation59,7622,301
Boston Scientific Corporation59,7622,301
Blackrock MuniYield California Fund148,8162,299
Sensient Technologies Corporation29,8722,298
Two Harbors Investments Corp227,6462,294
iShares MSCI ACWI ex US Index Fund47,4192,293
All Marketing Solutions Inc.29,9012,292
All Marketing Solutions Inc.29,9012,292
All Marketing Solutions Inc.29,9012,292
All Marketing Solutions Inc.29,9012,292
All Marketing Solutions Inc.29,9012,292
All Marketing Solutions Inc.29,9012,292
All Marketing Solutions Inc.29,9012,292
Capital One Financial Corp28,4152,291
Capital One Financial Corp28,4152,291
Evolva Holding AG93,1162,288
Evolva Holding AG93,1162,288
Evolva Holding AG93,1162,288
Evolva Holding AG93,1162,288
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND90,6842,280
Envestnet30,7072,280
Envestnet30,7072,280
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND90,6842,280
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND90,6842,280
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND90,6842,280
Envestnet30,7072,280
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND90,6842,280
Envestnet30,7072,280
Eaton Vance Risk-Managed Diversified Equity Income Fund242,1732,277
Eaton Vance Risk-Managed Diversified Equity Income Fund242,1732,277
Eaton Vance Risk-Managed Diversified Equity Income Fund242,1732,277
Eaton Vance Risk-Managed Diversified Equity Income Fund242,1732,277
Eaton Vance Risk-Managed Diversified Equity Income Fund242,1732,277
Eaton Vance Risk-Managed Diversified Equity Income Fund242,1732,277
Global X Funds Global X NASDAQ 500 ETF154,8942,269
Astrazeneca PLC54,9382,268
Astrazeneca PLC54,9382,268
Astrazeneca PLC54,9382,268
Astrazeneca PLC54,9382,268
Astrazeneca PLC54,9382,268
Astrazeneca PLC54,9382,268
BlackRock Multi-Sector Income Trust129,0922,252
BlackRock Multi-Sector Income Trust129,0922,252
BlackRock Multi-Sector Income Trust129,0922,252
BlackRock Multi-Sector Income Trust129,0922,252
BlackRock Multi-Sector Income Trust129,0922,252
BlackRock Multi-Sector Income Trust129,0922,252
Heico Corporation17,9572,248
Heico Corporation17,9572,248
Heico Corporation17,9572,248
Freeport-McMoran Copper & Gold159,5352,245
Adriana Resources, Inc.19,1262,238
Adriana Resources, Inc.19,1262,238
Adriana Resources, Inc.19,1262,238
Adriana Resources, Inc.19,1262,238
Adriana Resources, Inc.19,1262,238
Adriana Resources, Inc.19,1262,238
PIMCO Municipal Income Fund III177,3202,237
National Grid Transco Plc35,5882,232
Aqua Bounty Technologies Inc65,7892,227
Aqua Bounty Technologies Inc65,7892,227
CIGNA High Income Shares13,2672,220
Tekla Healthcare Opportunities Fund96,2642,215
Anthem United, Inc.10,0762,214
Anthem United, Inc.10,0762,214
Etfs Commodity Securities Ltd.59,0602,209
Etfs Commodity Securities Ltd.59,0602,209
Etfs Commodity Securities Ltd.59,0602,209
Etfs Commodity Securities Ltd.59,0602,209
Ferrum Americas Mining, Inc.71,5282,205
Ferrum Americas Mining, Inc.51,5702,201
Ferrum Americas Mining, Inc.51,5702,201
Ferrum Americas Mining, Inc.51,5702,201
Ferrum Americas Mining, Inc.51,5702,201
Anheuser-Busch Inbev SA18,4432,201
Ferrum Americas Mining, Inc.51,5702,201
ALLIANCEBERNSTEIN L.P.185,0182,200
ALLIANCEBERNSTEIN L.P.185,0182,200
Calamos Strategic Total Return Fund172,1762,191
Calamos Strategic Total Return Fund172,1762,191
Calamos Strategic Total Return Fund172,1762,191
Calamos Strategic Total Return Fund172,1762,191
Calamos Strategic Total Return Fund172,1762,191
Fortive Corp26,0462,186
All Marketing Solutions Inc.29,1682,184
All Marketing Solutions Inc.29,1682,184
All Marketing Solutions Inc.29,1682,184
All Marketing Solutions Inc.29,1682,184
All Marketing Solutions Inc.29,1682,184
All Marketing Solutions Inc.29,1682,184
Flaherty & Crumrine/Claymore Total Return Fund Inc87,1612,180
Flaherty & Crumrine/Claymore Total Return Fund Inc87,1612,180
Flaherty & Crumrine/Claymore Total Return Fund Inc87,1612,180
Flaherty & Crumrine/Claymore Total Return Fund Inc87,1612,180
Flaherty & Crumrine/Claymore Total Return Fund Inc87,1612,180
Align Technology12,0602,179
Align Technology12,0602,179
Align Technology12,0602,179
Align Technology12,0602,179
Align Technology12,0602,179
Align Technology12,0602,179
Express Scripts Holding Company34,4222,179
Align Technology12,0602,179
Eaton Vance Risk-Managed Diversified Equity Income Fund237,0452,178
Eaton Vance Risk-Managed Diversified Equity Income Fund237,0452,178
Crimson Exploration Inc.22,3062,176
Crimson Exploration Inc.22,3062,176
Crimson Exploration Inc.22,3062,176
Crimson Exploration Inc.22,3062,176
Crimson Exploration Inc.22,3062,176
Crimson Exploration Inc.22,3062,176
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol79,4592,174
Salesforce.com Inc23,2282,171
Crimson Exploration Inc.21,6702,171
Crimson Exploration Inc.21,6702,171
Wheaton Precious Metals113,6102,170
Duff & Phelps Corporation136,4422,169
Duff & Phelps Corporation136,4422,169
Duff & Phelps Corporation136,4422,169
Duff & Phelps Corporation136,4422,169
AMP Ltd.14,9052,166
AMP Ltd.14,9052,166
AMP Ltd.14,9052,166
AMP Ltd.14,9052,166
AMP Ltd.14,9052,166
AMP Ltd.14,9052,166
Islet Holdings, Inc.19,3042,164
Ballroom Dance Fitness Inc29,6642,160
Ballroom Dance Fitness Inc29,6642,160
Ballroom Dance Fitness Inc29,6642,160
Ballroom Dance Fitness Inc29,6642,160
Ballroom Dance Fitness Inc29,6642,160
Ballroom Dance Fitness Inc29,6642,160
Ballroom Dance Fitness Inc29,6642,160
M&T Bank Corporation13,3892,156
Harris Teeter Supermarkets16,3052,152
Blackrock Enhanced Equity Dividend Trust242,9142,150
Blackrock Enhanced Equity Dividend Trust242,9142,150
Blackrock Corporate High Yield Fund V Inc186,1962,149
Blackrock Corporate High Yield Fund V Inc186,1962,149
Blackrock Corporate High Yield Fund V Inc186,1962,149
Blackrock Corporate High Yield Fund V Inc186,1962,149
Blackrock Corporate High Yield Fund V Inc186,1962,149
Chesapeake Energy Corp.710,9882,147
Adriana Resources, Inc.9,6152,145
Adriana Resources, Inc.9,6152,145
Pimco Income Opportunity Fund81,3342,143
Amphenol Corporation22,2472,142
Amphenol Corporation22,2472,142
Amphenol Corporation22,2472,142
Amphenol Corporation22,2472,142
Amphenol Corporation22,2472,142
Amphenol Corporation22,2472,142
Amphenol Corporation22,2472,142
Entergy Corporation20,8102,137
Entergy Corporation20,8102,137
Entergy Corporation20,8102,137
Entergy Corporation20,8102,137
Entergy Corporation20,8102,137
Entergy Corporation20,8102,137
NGL ENERGY PARTNERS LP184,6872,133
Edison International27,5782,129
AMP Ltd.14,4372,124
AMP Ltd.14,4372,124
AMP Ltd.14,4372,124
AMP Ltd.14,4372,124
AMP Ltd.14,4372,124
AMP Ltd.14,4372,124
AMP Ltd.14,4372,124
Cohn & Steers Inc103,0412,123
Cohn & Steers Inc103,0412,123
Amphenol Corporation22,0292,121
Amphenol Corporation22,0292,121
Amphenol Corporation22,0292,121
Amphenol Corporation22,0292,121
Amphenol Corporation22,0292,121
Amphenol Corporation22,0292,121
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund140,3482,118
BlackRock Maryland Municipal Bond Trust40,7742,113
HCP76,2162,113
BlackRock Maryland Municipal Bond Trust40,7742,113
Freeport-McMoran Copper & Gold181,7172,108
Freeport-McMoran Copper & Gold181,7172,108
Freeport-McMoran Copper & Gold181,7172,108
Freeport-McMoran Copper & Gold181,7172,108
Duff & Phelps Corporation137,6372,107
Duff & Phelps Corporation137,6372,107
Duff & Phelps Corporation137,6372,107
Duff & Phelps Corporation137,6372,107
Duff & Phelps Corporation137,6372,107
Duff & Phelps Corporation137,6372,107
Cincinnati Financial Corporation27,4172,099
Fortive Corp25,5822,096
Fortive Corp25,5822,096
Chimera Investment Corporation107,1112,096
Chimera Investment Corporation107,1112,096
Chimera Investment Corporation107,1112,096
Chimera Investment Corporation107,1112,096
Fortive Corp25,5822,096
Fortive Corp25,5822,096
Chimera Investment Corporation107,1112,096
Williams Creek Gold Ltd.53,8502,095
B Communications Ltd.47,1822,094
B Communications Ltd.47,1822,094
B Communications Ltd.47,1822,094
Astrazeneca PLC51,6362,090
Astrazeneca PLC51,6362,090
Astrazeneca PLC51,6362,090
Equinix4,1412,089
Equinix4,1412,089
Equinix4,1412,089
Equinix4,1412,089
Equinix4,1412,089
Equinix4,1412,089
Marriott International18,8942,083
HPC Acquisitions, Inc.106,4452,077
Brookfield Renewable Energy Partners L.P.61,7172,069
Cohen & Steers Dividend Majors Fund20,5592,068
Brown & Brown57,3142,066
Brown & Brown57,3142,066
Brown & Brown57,3142,066
Brown & Brown57,3142,066
Brown & Brown57,3142,066
HPC Acquisitions, Inc.98,8892,062
HPC Acquisitions, Inc.98,8892,062
HPC Acquisitions, Inc.98,8892,062
ISC8 Inc.18,3282,061
Bespoke Tricyles, Inc.141,7642,052
Crimson Exploration Inc.22,4932,051
Crimson Exploration Inc.22,4932,051
Crimson Exploration Inc.22,4932,051
Crimson Exploration Inc.22,4932,051
Crimson Exploration Inc.22,4932,051
Stark Naked Bobbers16,7152,048
Freeport-McMoran Copper & Gold158,9702,048
Apollo Tactical Income Fund Inc.135,1102,047
Apollo Tactical Income Fund Inc.135,1102,047
Apollo Tactical Income Fund Inc.135,1102,047
Apollo Tactical Income Fund Inc.135,1102,047
Apollo Tactical Income Fund Inc.135,1102,047
Apollo Tactical Income Fund Inc.135,1102,047
Apollo Tactical Income Fund Inc.135,1102,047
Amphenol Corporation21,4802,041
Amphenol Corporation21,4802,041
Amphenol Corporation21,4802,041
Amphenol Corporation21,4802,041
Wells Fargo Advantage Multi-Sector Income Fund151,9032,039
Hanesbrands Inc.118,4742,035
Hanesbrands Inc.118,4742,035
Hanesbrands Inc.118,4742,035
Adriana Resources, Inc.19,7842,033
Adriana Resources, Inc.19,7842,033
Adriana Resources, Inc.19,7842,033
Adriana Resources, Inc.19,7842,033
Adriana Resources, Inc.19,7842,033
Adriana Resources, Inc.19,7842,033
Adriana Resources, Inc.19,7842,033
Mohawk Industries8,2072,031
Arbor EnTech Corp.154,5522,026
Arbor EnTech Corp.154,5522,026
Arbor EnTech Corp.154,5522,026
Arbor EnTech Corp.154,5522,026
Arbor EnTech Corp.154,5522,026
Arbor EnTech Corp.154,5522,026
Arbor EnTech Corp.154,5522,026
Carnival Plc ADS43,4672,023
Carnival Plc ADS43,4672,023
Carnival Plc ADS43,4672,023
Carnival Plc ADS43,4672,023
Carnival Plc ADS43,4672,023
Carnival Plc ADS43,4672,023
Hannon Armstrong Sustainable Infrastructure Capital, Inc.78,8012,021
AvalonBay Communities10,0472,017
AvalonBay Communities10,0472,017
AvalonBay Communities10,0472,017
ServisFirst Bancshares, Inc.51,1522,014
Medley Capital Corporation337,0822,012
Invesco Van Kampen Advantage Municipal Income Trust II182,8872,012
Invesco Van Kampen Advantage Municipal Income Trust II182,8872,012
Deutsche Bank Aktiengesellschaft63,5332,011
Deutsche Bank Aktiengesellschaft63,5332,011
Deutsche Bank Aktiengesellschaft63,5332,011
Deutsche Bank Aktiengesellschaft63,5332,011
Deutsche Bank Aktiengesellschaft63,5332,011
Deutsche Bank Aktiengesellschaft63,5332,011
BlackRock Multi-Sector Income Trust121,1522,010
BlackRock Multi-Sector Income Trust121,1522,010
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND81,1942,009
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND81,1942,009
Pacific Booker Minerals Inc.29,3982,005
Inchcape PLC39,5321,996
Blackrock MuniYield New Jersey Quality Fund139,7721,991
Blackrock MuniYield New Jersey Quality Fund139,7721,991
Blackrock MuniYield New Jersey Quality Fund139,7721,991
Blackrock MuniYield New Jersey Quality Fund139,7721,991
Blackrock MuniYield New Jersey Quality Fund139,7721,991
StoneCastle Financial Corp.96,2811,987
BlackRock Credit Allocation Income Trust I159,7571,982
BlackRock Credit Allocation Income Trust I159,7571,982
BlackRock Credit Allocation Income Trust I159,7571,982
Electronic Arts Inc.19,5661,981
Electronic Arts Inc.19,5661,981
Electronic Arts Inc.19,5661,981
Electronic Arts Inc.19,5661,981
Electronic Arts Inc.19,5661,981
Electronic Arts Inc.19,5661,981
Aflac Incorporated45,3801,979
Aflac Incorporated45,3801,979
Opko Health Inc288,4361,979
ETERNITY HEALTHCARE INC.113,7301,977
Constellation Brands Inc9,9091,976
Eaton Vance Enhance Equity Income Fund151,6861,975
Eaton Vance Enhance Equity Income Fund151,6861,975
Prudential Global Short Duration High Yield Fund, Inc.132,1091,972
First Tractor Co. Ltd.34,1541,971
First Tractor Co. Ltd.34,1541,971
Extra Space Storage Inc16,8271,966
Extra Space Storage Inc16,8271,966
Extra Space Storage Inc16,8271,966
Eaton Vance Senior Income Trust297,0761,966
Ohio State Bancshares, Inc.64,8201,961
Halliburton Company42,6561,961
Blackrock Enhanced Equity Dividend Trust227,9531,954
Blackrock Corporate High Yield Fund V Inc166,9361,952
Blackrock Corporate High Yield Fund V Inc166,9361,952
Blackrock Corporate High Yield Fund V Inc166,9361,952
Blackrock Corporate High Yield Fund V Inc166,9361,952
Blackrock Corporate High Yield Fund V Inc166,9361,952
Blackrock Corporate High Yield Fund V Inc166,9361,952
Autodesk11,8931,951
Autodesk11,8931,951
Autodesk11,8931,951
Autodesk11,8931,951
Autodesk11,8931,951
Autodesk11,8931,951
Blackrock Enhanced Equity Dividend Trust178,7001,950
Nordstrom41,3621,950
Bank Of Montreal29,8161,949
Bank Of Montreal29,8161,949
Bank Of Montreal29,8161,949
Bank Of Montreal29,8161,949
Bank Of Montreal29,8161,949
Bank Of Montreal29,8161,949
Johnson Electric Holdings Ltd.48,2931,946
iShares II plc.51,9191,942
Cronos Group, Inc.121,5511,942
Cronos Group, Inc.121,5511,942
Cronos Group, Inc.121,5511,942
Cronos Group, Inc.121,5511,942
Cronos Group, Inc.121,5511,942
Cronos Group, Inc.121,5511,942
Marathon Petroleum Corporation34,6071,940
CorEnergy Infrastructure Trust41,0501,938
CorEnergy Infrastructure Trust41,0501,938
CorEnergy Infrastructure Trust41,0501,938
Entergy Corporation25,3791,938
CorEnergy Infrastructure Trust41,0501,938
CorEnergy Infrastructure Trust70,1351,935
Jack Henry & Associates13,9241,934
Calamos Strategic Total Return Fund151,2581,933
Calamos Strategic Total Return Fund151,2581,933
Calamos Strategic Total Return Fund151,2581,933
Calamos Strategic Total Return Fund151,2581,933
Calamos Strategic Total Return Fund151,2581,933
Calamos Strategic Total Return Fund151,2581,933
Carmax Mining Corp.27,6511,930
Carmax Mining Corp.27,6511,930
Flaherty & Crumrine Preferred Income Opportunity Fund Inc97,9581,928
Flaherty & Crumrine Preferred Income Opportunity Fund Inc97,9581,928
Flaherty & Crumrine Preferred Income Opportunity Fund Inc97,9581,928
Flaherty & Crumrine Preferred Income Opportunity Fund Inc97,9581,928
Flaherty & Crumrine Preferred Income Opportunity Fund Inc97,9581,928
Arconic75,6861,927
Arconic75,6861,927
Arconic75,6861,927
Arconic75,6861,927
Arconic75,6861,927
Arconic75,6861,927
AGNC Investment Corp.88,8021,926
Brown & Brown57,4631,925
Brown & Brown57,4631,925
Brown & Brown57,4631,925
Brown & Brown57,4631,925
Brown & Brown57,4631,925
Brown & Brown57,4631,925
National Retail Properties46,1261,924
Microchip Technology Incorporated21,3911,923
Crimson Exploration Inc.18,4551,922
Intuitive Surgical1,8381,921
All Marketing Solutions Inc.28,6991,918
All Marketing Solutions Inc.28,6991,918
Pimco Corporate & Income Opportunity Fund113,9621,912
Blackrock MuniYield New Jersey Quality Fund132,8521,911
Blackrock MuniYield New Jersey Quality Fund132,8521,911
Webster Ltd.36,3791,911
Blackrock MuniYield New Jersey Quality Fund132,8521,911
Blackrock MuniYield New Jersey Quality Fund132,8521,911
Blackrock MuniYield New Jersey Quality Fund132,8521,911
Blackrock MuniYield New Jersey Quality Fund132,8521,911
Evolva Holding AG86,0951,905
CenturyLink100,5491,904
Evergy, Inc.31,6361,903
Evergy, Inc.31,6361,903
Evergy, Inc.31,6361,903
Evergy, Inc.31,6361,903
Evergy, Inc.31,6361,903
Evergy, Inc.31,6361,903
Deutsche Bank Aktiengesellschaft58,7121,900
Deutsche Bank Aktiengesellschaft58,7121,900
Deutsche Bank Aktiengesellschaft58,7121,900
Deutsche Bank Aktiengesellschaft58,7121,900
Discovery Communications71,2381,897
Discovery Communications71,2381,897
Discovery Communications71,2381,897
Discovery Communications71,2381,897
Genuine Parts Company18,2991,896
Genuine Parts Company18,2991,896
Genuine Parts Company18,2991,896
Blackrock Corporate High Yield Fund V Inc172,0261,896
Genuine Parts Company18,2991,896
Archer44,5041,893
Cognizant Technology Solutions Corporation29,6491,892
Cognizant Technology Solutions Corporation29,6491,892
Cognizant Technology Solutions Corporation29,6491,892
Cognizant Technology Solutions Corporation29,6491,892
Cognizant Technology Solutions Corporation29,6491,892
Cognizant Technology Solutions Corporation29,6491,892
International Hi-Tech Industries Inc.13,0501,891
International Hi-Tech Industries Inc.13,0501,891
New York Community Bancorp Inc146,6871,891
Saratoga Investment Corp87,8551,891
Global Net Lease96,1571,888
Global Net Lease96,1571,888
Global Net Lease96,1571,888
Global Net Lease96,1571,888
Domino's Pizza Inc9,4601,879
Gartner15,0821,877
Aberdeen New Dawn Investment Trust Plc.151,6011,874
Aberdeen New Dawn Investment Trust Plc.151,6011,874
Aberdeen New Dawn Investment Trust Plc.151,6011,874
Aberdeen New Dawn Investment Trust Plc.151,6011,874
Aberdeen New Dawn Investment Trust Plc.151,6011,874
Aberdeen New Dawn Investment Trust Plc.151,6011,874
Western Asset High Income Fund II Inc.147,6641,869
Bank Of Montreal27,7931,864
Bank Of Montreal27,7931,864
Bank Of Montreal27,7931,864
Bank Of Montreal27,7931,864
Bank Of Montreal27,7931,864
Bank Of Montreal27,7931,864
Bank Of Montreal27,7931,864
Cornerstone Strategic Value Fund160,0721,863
Cornerstone Strategic Value Fund160,0721,863
Cornerstone Strategic Value Fund160,0721,863
Cornerstone Strategic Value Fund160,0721,863
Cornerstone Strategic Value Fund160,0721,863
Cornerstone Strategic Value Fund160,0721,863
PowerShares DB US Dollar Index Bullish Fund76,9761,860
Compass Minerals Intl Inc28,5461,859
Estee Lauder Companies17,1801,853
TPG Specialty Lending, Inc.88,2891,851
Electronic Arts Inc.18,2481,847
Electronic Arts Inc.18,2481,847
T. Rowe Price Group20,3491,846
Global Net Lease97,5551,843
Anheuser-Busch Inbev SA16,7381,839
Anheuser-Busch Inbev SA16,7381,839
Arconic70,6601,837
Arconic70,6601,837
Arconic70,6601,837
Arconic70,6601,837
Arconic70,6601,837
Arconic70,6601,837
Arconic70,6601,837
Invesco Van Kampen California Value Municipal Income Trust144,7171,834
Cornerstone Strategic Value Fund161,4441,834
Cornerstone Strategic Value Fund161,4441,834
Invesco Van Kampen California Value Municipal Income Trust144,7171,834
Cornerstone Strategic Value Fund161,4441,834
Cornerstone Strategic Value Fund161,4441,834
iBrands Corp.43,9071,831
Deutsche Bank Aktiengesellschaft58,6281,831
Pacific Sunwear of California, Inc.104,9851,831
Deutsche Bank Aktiengesellschaft58,6281,831
American Campus Communities Inc38,0331,828
American Campus Communities Inc38,0331,828
American Campus Communities Inc38,0331,828
American Campus Communities Inc38,0331,828
American Campus Communities Inc38,0331,828
American Campus Communities Inc38,0331,828
American Campus Communities Inc38,0331,828
ALLIANCEBERNSTEIN L.P.157,0791,820
ALLIANCEBERNSTEIN L.P.157,0791,820
ALLIANCEBERNSTEIN L.P.157,0791,820
ALLIANCEBERNSTEIN L.P.157,0791,820
Hanesbrands Inc.101,6291,820
ALLIANCEBERNSTEIN L.P.157,0791,820
Fiduciary/Claymore MLP Opportunity Fund205,3741,819
Fiduciary/Claymore MLP Opportunity Fund205,3741,819
Blackstone / GSO Strategic Credit Fund58,4621,817
Santeon Group Inc53,2951,817
CIGNA High Income Shares9,7111,816
Yum China Holdings, Inc.45,3871,815
Subsea 7 SA ADR 17,1141,813
Time Warner Inc.17,6341,811
Chimera Investment Corporation95,8921,810
Chimera Investment Corporation95,8921,810
Chimera Investment Corporation95,8921,810
Chimera Investment Corporation95,8921,810
Chimera Investment Corporation95,8921,810
Chimera Investment Corporation95,8921,810
Blackrock Corporate High Yield Fund V Inc165,4501,809
V.F. Corporation28,3411,806
Ameren Illinois Company24,5301,803
Ameren Illinois Company24,5301,803
American International Group29,3321,803
Ameren Illinois Company24,5301,803
Ameren Illinois Company24,5301,803
Ameren Illinois Company24,0071,802
Ameren Illinois Company24,0071,802
Ameren Illinois Company24,0071,802
Ameren Illinois Company24,0071,802
Ameren Illinois Company24,0071,802
Ameren Illinois Company24,0071,802
Ashford Inc32,4411,801
Ashford Inc32,4411,801
Ashford Inc32,4411,801
Flaherty & Crumrine/Claymore Total Return Fund Inc75,7451,800
Exelixis83,8201,798
Exelixis83,8201,798
Exelixis83,8201,798
Humet-PBC North America, Inc.6,7541,798
Exelixis83,8201,798
Exelixis83,8201,798
Exelixis83,8201,798
Flaherty & Crumrine Preferred Income Opportunity Fund Inc96,1211,795
Calamos Strategic Total Return Fund144,9221,794
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG41,7121,794
Calamos Strategic Total Return Fund144,9221,794
Group Ten Metals Inc.70,7561,792
Hawaiian Electric Industries53,6621,790
Barclays Bank PLC88,9621,788
The Cash Store Financial Services Inc.31,7591,787
Cognizant Technology Solutions Corporation24,6021,785
Cognizant Technology Solutions Corporation24,6021,785
Edison International23,6471,784
Edison International23,6471,784
Edison International23,6471,784
Edison International23,6471,784
Rockwell Collins13,5941,780
HCA Holdings13,1901,779
BioTelemetry, Inc.28,4621,779
Entergy Corporation18,6091,779
BioTelemetry, Inc.28,4621,779
HCA Holdings13,1901,779
BioTelemetry, Inc.28,4621,779
HCA Holdings13,1901,779
Entergy Corporation18,6091,779
ChemoCentryx21,6741,777
TotalFinaElf33,2021,777
ChemoCentryx21,6741,777
ChemoCentryx21,6741,777
ChemoCentryx21,6741,777
ChemoCentryx21,6741,777
ChemoCentryx21,6741,777
Hilton Worldwide Holdings Inc.18,1051,775
Hilton Worldwide Holdings Inc.18,1051,775
Cohn & Steers Inc83,6161,772
Discovery Communications57,7251,771
Discovery Communications57,7251,771
Discovery Communications57,7251,771
Discovery Communications57,7251,771
Discovery Communications57,7251,771
Discovery Communications57,7251,771
PPG Industries16,2501,770
Aberdeen New Dawn Investment Trust Plc.145,9321,768
Aurora Cannabis Inc.225,9551,768
Aberdeen New Dawn Investment Trust Plc.145,9321,768
Aurora Cannabis Inc.225,9551,768
Aurora Cannabis Inc.225,9551,768
Aurora Cannabis Inc.225,9551,768
Aurora Cannabis Inc.225,9551,768
Aberdeen New Dawn Investment Trust Plc.145,9321,768
Aberdeen New Dawn Investment Trust Plc.145,9321,768
Aurora Cannabis Inc.225,9551,768
Aberdeen New Dawn Investment Trust Plc.145,9321,768
Targa Resources37,2951,765
Socket Mobile, Inc.31,6731,763
Nuveen Arizona Premium Income Municipal Fund123,5971,753
Brown & Brown58,7831,751
Brown & Brown58,7831,751
Genuine Parts Company15,5861,746
Cornerstone Strategic Value Fund143,2731,745
Cornerstone Strategic Value Fund143,2731,745
Evolva Holding AG73,1041,741
Evolva Holding AG73,1041,741
Evolva Holding AG73,1041,741
The Weir Group80,6571,741
Evolva Holding AG73,1041,741
Evolva Holding AG73,1041,741
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal57,3211,741
Evolva Holding AG73,1041,741
Praxair12,4211,740
CorEnergy Infrastructure Trust43,8691,739
CorEnergy Infrastructure Trust43,8691,739
CorEnergy Infrastructure Trust43,8691,739
CorEnergy Infrastructure Trust43,8691,739
CorEnergy Infrastructure Trust43,8691,739
CorEnergy Infrastructure Trust43,8691,739
Evergy, Inc.29,9791,738
Evergy, Inc.29,9791,738
CASEY CONTAINER CORP11,0741,735
CASEY CONTAINER CORP11,0741,735
CASEY CONTAINER CORP11,0741,735
CASEY CONTAINER CORP11,0741,735
CASEY CONTAINER CORP11,0741,735
CASEY CONTAINER CORP11,0741,735
American International Group31,9231,732
American International Group31,9231,732
First Tractor Co. Ltd.37,5191,728
STMicroelectronics N.V.88,9341,727
Cornerstone Strategic Value Fund116,5711,727
American Campus Communities Inc37,3281,726
American Campus Communities Inc37,3281,726
American Campus Communities Inc37,3281,726
American Campus Communities Inc37,3281,726
American Campus Communities Inc37,3281,726
American Campus Communities Inc37,3281,726
Blackrock Corporate High Yield Fund V Inc151,9901,725
Blackrock Corporate High Yield Fund V Inc151,9901,725
Dover Corporation17,3171,723
BlackRock 2022 Global Income Opportunity Trust145,8451,723
BlackRock 2022 Global Income Opportunity Trust145,8451,723
BlackRock 2022 Global Income Opportunity Trust145,8451,723
Dover Corporation17,3171,723
Dover Corporation17,3171,723
BlackRock 2022 Global Income Opportunity Trust145,8451,723
BlackRock 2022 Global Income Opportunity Trust145,8451,723
Dover Corporation17,3171,723
Air Products and Chemicals10,8571,721
Air Products and Chemicals10,8571,721
B Communications Ltd.37,8431,719
B Communications Ltd.37,8431,719
B Communications Ltd.37,8431,719
B Communications Ltd.37,8431,719
Royal Caribbean Cruises Ltd.14,4991,719
B Communications Ltd.37,8431,719
B Communications Ltd.37,8431,719
Alliant Energy Corporation31,8411,717
Alliant Energy Corporation31,8411,717
Alliant Energy Corporation31,8411,717
Alliant Energy Corporation31,8411,717
Alliant Energy Corporation31,8411,717
Alliant Energy Corporation31,8411,717
Alliant Energy Corporation31,8411,717
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Chimera Investment Corporation91,4611,715
Chimera Investment Corporation91,4611,715
AvalonBay Communities9,6071,715
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Aberdeen New Dawn Investment Trust Plc.137,7011,715
Senior Housing Properties Trust87,5311,712
Fortive Corp24,0921,705
Alliant Energy Corporation40,9801,703
Novo Nordisk A/S35,3691,703
Blackrock MuniYield New Jersey Quality Fund121,3561,702
Tortoise Energy Infrastructure Corporation58,9041,702
Blackrock MuniYield New Jersey Quality Fund121,3561,702
Square59,1121,701
Euronet Worldwide17,9341,700
Equinix3,7451,699
Equinix3,7451,699
Owens Corning Inc21,9611,699
Ashford Hospitality Trust Inc509,5251,686
Ashford Hospitality Trust Inc509,5251,686
Ashford Hospitality Trust Inc509,5251,686
Ashford Hospitality Trust Inc509,5251,686
Ashford Hospitality Trust Inc509,5251,686
Ashford Hospitality Trust Inc509,5251,686
Ashford Hospitality Trust Inc509,5251,686
All Marketing Solutions Inc.26,2401,685
Apollo Tactical Income Fund Inc.113,9961,681
Apollo Tactical Income Fund Inc.113,9961,681
Apollo Tactical Income Fund Inc.113,9961,681
Apollo Tactical Income Fund Inc.113,9961,681
Apollo Tactical Income Fund Inc.113,9961,681
Apollo Tactical Income Fund Inc.113,9961,681
Charles Schwab Corporation38,3261,678
CME Group Inc.10,3921,677
Blackrock Corporate High Yield Fund V Inc144,3281,675
Euronet Worldwide9,9351,672
Euronet Worldwide9,9351,672
Euronet Worldwide9,9351,672
Euronet Worldwide9,9351,672
Euronet Worldwide9,9351,672
Euronet Worldwide9,9351,672
TRIMOL GROUP INC25,4551,669
TRIMOL GROUP INC25,4551,669
TRIMOL GROUP INC25,4551,669
The RMR Group51,7551,669
TRIMOL GROUP INC25,4551,669
TRIMOL GROUP INC25,4551,669
CACI International7,2011,665
CACI International7,2011,665
CACI International7,2011,665
Labor Smart, Inc.11,0301,665
CACI International7,2011,665
CACI International7,2011,665
Progressive Corporation (The)34,2221,664
Aberdeen Asia-Pacific Income Fund Inc322,1881,662
Cohn & Steers Inc88,7761,659
Ferrum Americas Mining, Inc.39,8661,657
Diamond Bancshares, Inc.17,9091,656
Best Buy Co.23,2861,654
Best Buy Co.23,2861,654
Best Buy Co.23,2861,654
Gabelli Dividend76,2851,653
Gabelli Dividend76,2851,653
Gabelli Dividend76,2851,653
Gabelli Dividend76,2851,653
Regeneron Pharmaceuticals3,6891,651
American States Water Company18,3211,646
Firstrand Limited16,4481,646
Firstrand Limited16,4481,646
American States Water Company18,3211,646
American States Water Company18,3211,646
American States Water Company18,3211,646
American States Water Company18,3211,646
American States Water Company18,3211,646
American States Water Company18,3211,646
Autodesk11,1481,645
Autodesk11,1481,645
Autodesk11,1481,645
Autodesk11,1481,645
Autodesk11,1481,645
Autodesk11,1481,645
Autodesk11,1481,645
Eaton Vance Senior Income Trust267,2521,644
Eaton Vance Senior Income Trust267,2521,644
LyondellBasell Industries NV16,5631,641
Centenera Mng Corp.30,7801,640
Centenera Mng Corp.30,7801,640
Astrazeneca PLC46,8521,638
Astrazeneca PLC46,8521,638
Western Asset Emerging Markets Income Fund18,9451,635
Seagate Technology.49,1931,633
Aflac Incorporated20,0001,631
UAN Power Corp.98,9151,628
Invesco Quality Municipal Income Trust130,3211,618
Invesco Quality Municipal Income Trust130,3211,618
Carlisle Companies Incorporated11,5151,617
Carlisle Companies Incorporated11,5151,617
Carlisle Companies Incorporated11,5151,617
Alaska Power & Telephone Co.21,1921,617
Carlisle Companies Incorporated11,5151,617
IntercontinentalExchange18,7961,617
Carlisle Companies Incorporated11,5151,617
IntercontinentalExchange18,7961,617
Heico Corporation17,5971,617
Carlisle Companies Incorporated11,5151,617
Schoeller Bleckmann Oilfield Equipment AG44,5991,617
AmeriGas Partners46,3331,616
AmeriGas Partners46,3331,616
AmeriGas Partners46,3331,616
AmeriGas Partners46,3331,616
AmeriGas Partners46,3331,616
AmeriGas Partners46,3331,616
Nuveen Dividend Advantage Municipal Fund147,0891,615
Blackrock MuniYield California Fund121,2211,615
Nuveen Senior Income Fund241,0481,615
Blackrock MuniYield California Fund121,2211,615
Fifth Third Bancorp57,7311,613
Fifth Third Bancorp57,7311,613
Fifth Third Bancorp57,7311,613
Fifth Third Bancorp57,7311,613
Fifth Third Bancorp57,7311,613
Fifth Third Bancorp57,7311,613
AMP Ltd.12,5081,610
AMP Ltd.12,5081,610
Cerner Corporation23,6241,610
AMP Ltd.12,5081,610
Cerner Corporation23,6241,610
AMP Ltd.12,5081,610
Cerner Corporation23,6241,610
Cerner Corporation23,6241,610
Cerner Corporation23,6241,610
Nuveen Dividend Advantage Municipal Fund 3104,6871,610
Cronos Group, Inc.87,3371,610
Cronos Group, Inc.87,3371,610
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol63,6321,609
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol63,6321,609
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol63,6321,609
iShares II plc.30,6661,609
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol63,6321,609
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol63,6321,609
Apollo Senior Floating Rate Fund Inc.98,7191,607
Apollo Senior Floating Rate Fund Inc.98,7191,607
Apollo Senior Floating Rate Fund Inc.98,7191,607
BlackRock 2022 Global Income Opportunity Trust138,6811,601
BlackRock 2022 Global Income Opportunity Trust138,6811,601
BlackRock 2022 Global Income Opportunity Trust138,6811,601
BlackRock 2022 Global Income Opportunity Trust138,6811,601
BlackRock 2022 Global Income Opportunity Trust138,6811,601
BlackRock 2022 Global Income Opportunity Trust138,6811,601
Franklin Resources45,9271,600
Franklin Resources45,9271,600
Franklin Resources45,9271,600
Franklin Resources45,9271,600
American Housing Income Trust, Inc.17,3901,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
American Housing Income Trust, Inc.17,3901,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
American Housing Income Trust, Inc.17,3901,597
American Housing Income Trust, Inc.17,3901,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
American Housing Income Trust, Inc.17,3901,597
American Housing Income Trust, Inc.17,3901,597
American Housing Income Trust, Inc.17,3901,597
Apollo Senior Floating Rate Fund Inc.94,1211,597
Autodesk10,2011,592
Autodesk10,2011,592
Autodesk10,2011,592
D.R. Horton30,1681,589
Firstrand Limited16,4331,589
D.R. Horton30,1681,589
Firstrand Limited16,4331,589
D.R. Horton30,1681,589
D.R. Horton30,1681,589
Cousins Properties Incorporated43,6701,581
Cousins Properties Incorporated43,6701,581
Cousins Properties Incorporated43,6701,581
Cousins Properties Incorporated43,6701,581
Cousins Properties Incorporated43,6701,581
Cousins Properties Incorporated43,6701,581
AvalonBay Communities9,6041,579
AvalonBay Communities9,6041,579
Shoprite Holdings Ltd.13,5401,577
AMP Ltd.10,6601,575
AMP Ltd.10,6601,575
Apollo Tactical Income Fund Inc.107,1601,574
Apollo Tactical Income Fund Inc.107,1601,574
Marathon Oil Corporation115,9321,574
Apollo Tactical Income Fund Inc.107,1601,574
Pioneer Exploration, Inc.10,6491,573
Arconic82,1711,572
Arconic82,1711,572
Arconic82,1711,572
Alliance Capital Management Holding L.P.64,6081,570
Blackrock California Municipal 2018 Term Trust106,8431,570
Blackrock California Municipal 2018 Term Trust106,8431,570
iShares MSCI ACWI Index Fund22,7911,568
Canada Strategic Metals, Inc.54,0981,566
Alliant Energy Corporation38,2681,564
Alliant Energy Corporation38,2681,564
DCP Holding CO45,1321,564
Anthem United, Inc.8,2191,561
Firstrand Limited15,9621,560
Arkansas Casino, Corp.30,1261,560
Firstrand Limited15,9621,560
Arkansas Casino, Corp.30,1261,560
Firstrand Limited15,9621,560
Firstrand Limited15,9621,560
Arkansas Casino, Corp.30,1261,560
Firstrand Limited15,9621,560
Arkansas Casino, Corp.30,1261,560
Arkansas Casino, Corp.30,1261,560
Firstrand Limited15,9621,560
Neogenomics Inc.139,8921,557
Cintas Corporation9,2111,556
Graco Inc.31,3601,556
Cerner Corporation21,1341,555
Carnival Plc ADS35,6141,555
Carnival Plc ADS35,6141,555
Cerner Corporation21,1341,555
Cerner Corporation21,1341,555
Cerner Corporation21,1341,555
United States Oil Fund, LP149,1181,555
Cerner Corporation21,1341,555
Carnival Plc ADS35,6141,555
Carnival Plc ADS35,6141,555
Cerner Corporation21,1341,555
Carnival Plc ADS35,6141,555
AGNC Investment Corp.82,0781,552
AGNC Investment Corp.82,0781,552
Intuit Inc.10,9021,551
Balsam Ventures, Inc.104,4251,550
Balsam Ventures, Inc.104,4251,550
Balsam Ventures, Inc.104,4251,550
Balsam Ventures, Inc.104,4251,550
Cedar Fair24,2201,546
Brighthouse Financial, Inc.30,1431,546
Cornerstone Bancshares140,4581,544
Cornerstone Bancshares140,4581,544
Cornerstone Bancshares140,4581,544
Cornerstone Bancshares140,4581,544
Etfs Commodity Securities Ltd.48,9451,543
Discover Financial Services23,8361,539
Alliant Energy Corporation31,2631,534
Alliant Energy Corporation31,2631,534
TRIMOL GROUP INC22,3991,534
Alliant Energy Corporation31,2631,534
Alliant Energy Corporation31,2631,534
TRIMOL GROUP INC22,3991,534
Alliant Energy Corporation31,2631,534
Alliant Energy Corporation31,2631,534
Cognizant Technology Solutions Corporation25,6651,530
Cognizant Technology Solutions Corporation25,6651,530
Cognizant Technology Solutions Corporation25,6651,530
Cognizant Technology Solutions Corporation25,6651,530
Graco Inc.30,4221,529
ChemoCentryx17,9311,529
Graco Inc.30,4221,529
Graco Inc.30,4221,529
ChemoCentryx17,9311,529
ALLIANCEBERNSTEIN L.P.127,4211,527
ALLIANCEBERNSTEIN L.P.127,4211,527
ALLIANCEBERNSTEIN L.P.127,4211,527
ALLIANCEBERNSTEIN L.P.127,4211,527
ALLIANCEBERNSTEIN L.P.127,4211,527
ALLIANCEBERNSTEIN L.P.127,4211,527
ALLIANCEBERNSTEIN L.P.127,4211,527
Extra Space Storage Inc14,3701,525
Extra Space Storage Inc14,3701,525
Extra Space Storage Inc14,3701,525
Extra Space Storage Inc14,3701,525
Extra Space Storage Inc14,3701,525
Extra Space Storage Inc14,3701,525
Farmland Partners Inc.168,6771,525
BlackRock Maryland Municipal Bond Trust32,4771,524
HCA Holdings11,5891,523
Centenera Mng Corp.29,6351,520
Centenera Mng Corp.29,6351,520
Centenera Mng Corp.29,6351,520
Centenera Mng Corp.29,6351,520
Centenera Mng Corp.29,6351,520
Centenera Mng Corp.29,6351,520
Invesco Municipal Premium Income Trust124,5391,517
Dreyfus Municipal Income130,6481,517
Dreyfus Municipal Income130,6481,517
Exelixis63,5101,517
Exelixis63,5101,517
Invesco Municipal Premium Income Trust124,5391,517
Dover Corporation15,1201,514
TRIMOL GROUP INC22,2301,514
TRIMOL GROUP INC22,2301,514
TRIMOL GROUP INC22,2301,514
Dover Corporation15,1201,514
TRIMOL GROUP INC22,2301,514
TRIMOL GROUP INC22,2301,514
Dover Corporation15,1201,514
Dover Corporation15,1201,514
TRIMOL GROUP INC22,2301,514
Dover Corporation15,1201,514
Dover Corporation15,1201,514
Aberdeen Asia-Pacific Income Fund Inc319,3021,513
Aberdeen Asia-Pacific Income Fund Inc319,3021,513
Flaherty & Crumrine Preferred Income Opportunity Fund Inc70,6871,512
Ashford Hospitality Trust Inc508,9761,511
Ashford Hospitality Trust Inc508,9761,511
Ashford Hospitality Trust Inc508,9761,511
Government Properties Income Trust80,4921,511
Ashford Hospitality Trust Inc508,9761,511
Ashford Hospitality Trust Inc508,9761,511
PSM HOLDINGS INC46,9451,511
Ashford Hospitality Trust Inc508,9761,511
PIMCO Commercial Mortgage Securities Trust28,9351,510
Darden Restaurants12,3891,509
Darden Restaurants12,3891,509
Darden Restaurants12,3891,509
Darden Restaurants12,3891,509
Darden Restaurants12,3891,509
Darden Restaurants12,3891,509
BLACKROCK LTD DURATION INCOME TRUST96,4611,507
BLACKROCK LTD DURATION INCOME TRUST96,4611,507
BLACKROCK LTD DURATION INCOME TRUST96,4611,507
BLACKROCK LTD DURATION INCOME TRUST96,4611,507
BLACKROCK LTD DURATION INCOME TRUST96,4611,507
Fidelity National Information Services12,6581,506
Fidelity National Information Services12,6581,506
Fidelity National Information Services12,6581,506
Blackrock Corporate High Yield Fund III42,9931,506
Fidelity National Information Services12,6581,506
Fidelity National Information Services12,6581,506
Fidelity National Information Services12,6581,506
Apollo Tactical Income Fund Inc.95,8691,505
Apollo Tactical Income Fund Inc.95,8691,505
Alliant Energy Corporation31,7791,499
Alliant Energy Corporation31,7791,499
Huntington Bancshares Incorporated107,3771,499
Alliant Energy Corporation31,7791,499
Alliant Energy Corporation31,7791,499
Alliant Energy Corporation31,7791,499
BLACKROCK LTD DURATION INCOME TRUST92,9451,497
TE Connectivity Ltd.17,9971,496
CACI International7,2911,495
CACI International7,2911,495
CACI International7,2911,495
CACI International7,2911,495
CACI International7,2911,495
CACI International7,2911,495
Hartford Retirement Network Corp.35,2661,495
Sierra Bancorp55,0551,494
Aurora Cannabis Inc.164,8021,493
Aurora Cannabis Inc.164,8021,493
Aurora Cannabis Inc.164,8021,493
Huntington Bancshares Incorporated117,5731,491
Blackrock MuniYield New Jersey Quality Fund107,8121,489
Blackrock MuniYield New Jersey Quality Fund107,8121,489
CITIZENS FINANCIAL GROUP INC/RI41,9241,485
CITIZENS FINANCIAL GROUP INC/RI41,9241,485
CITIZENS FINANCIAL GROUP INC/RI41,9241,485
CITIZENS FINANCIAL GROUP INC/RI41,9241,485
CITIZENS FINANCIAL GROUP INC/RI41,9241,485
CITIZENS FINANCIAL GROUP INC/RI41,9241,485
TRIMOL GROUP INC21,3661,484
TRIMOL GROUP INC21,3661,484
TRIMOL GROUP INC21,3661,484
TRIMOL GROUP INC21,3661,484
TRIMOL GROUP INC21,3661,484
TRIMOL GROUP INC21,3661,484
TRIMOL GROUP INC21,3661,484
Cohen & Steers Select Preferred and Income Fund55,4271,483
Albero Corp.18,0741,483
Albero Corp.18,0741,483
Cohen & Steers Select Preferred and Income Fund55,4271,483
Albero Corp.18,0741,483
Albero Corp.18,0741,483
Albero Corp.18,0741,483
B Communications Ltd.30,5931,482
B Communications Ltd.30,5931,482
B Communications Ltd.30,5931,482
B Communications Ltd.30,5931,482
B Communications Ltd.30,5931,482
B Communications Ltd.30,5931,482
B Communications Ltd.30,5931,482
AutoZone1,3641,479
AutoZone1,3641,479
AutoZone1,3641,479
AutoZone1,3641,479
AutoZone1,3641,479
AutoZone1,3641,479
AutoZone1,3641,479
Hasbro15,1181,478
Hexcel Corporation18,2791,478
Hexcel Corporation18,2791,478
Cohen & Steers Quality Income Realty Fund Inc107,7231,475
CASEY CONTAINER CORP11,4621,475
Cohen & Steers Quality Income Realty Fund Inc107,7231,475
CASEY CONTAINER CORP11,4621,475
Cohen & Steers Quality Income Realty Fund Inc107,7231,475
Cohen & Steers Quality Income Realty Fund Inc107,7231,475
Cohen & Steers Quality Income Realty Fund Inc107,7231,475
Cohen & Steers Quality Income Realty Fund Inc107,7231,475
Infineon Technologies AG 8,2691,475
Thor Industries11,7301,474
McCormick & Company14,4471,474
Exantas Capital Corp.129,5411,473
Exantas Capital Corp.129,5411,473
Exantas Capital Corp.129,5411,473
Karelia Tobacco Co Inc23,6151,473
Cousins Properties Incorporated39,1781,472
Cousins Properties Incorporated39,1781,472
Cousins Properties Incorporated39,1781,472
Cousins Properties Incorporated39,1781,472
Nuveen California Investment Quality Municipal Fund93,1931,470
Evolution Technology Resources Inc.85,3751,469
Apollo Senior Floating Rate Fund Inc.88,8301,468
Apollo Senior Floating Rate Fund Inc.88,8301,468
Apollo Senior Floating Rate Fund Inc.88,8301,468
Apollo Senior Floating Rate Fund Inc.88,8301,468
Apollo Senior Floating Rate Fund Inc.88,8301,468
Apollo Senior Floating Rate Fund Inc.88,8301,468
Agnico Eagle Mines27,3081,464
Agnico Eagle Mines27,3081,464
Agnico Eagle Mines27,3081,464
Agnico Eagle Mines27,3081,464
ConAgra Foods43,4191,464
Agnico Eagle Mines27,3081,464
Agnico Eagle Mines27,3081,464
Agnico Eagle Mines27,3081,464
Apollo Tactical Income Fund Inc.90,1931,462
AutoZone1,3291,461
AutoZone1,3291,461
AutoZone1,3291,461
AutoZone1,3291,461
AutoZone1,3291,461
AutoZone1,3291,461
Evolva Holding AG65,4331,459
Evolva Holding AG65,4331,459
DTE Energy Company13,5981,458
Adriana Resources, Inc.5,8931,458
American Campus Communities Inc30,5461,454
American Campus Communities Inc30,5461,454
IAC/InterActiveCorp6,6921,454
American Campus Communities Inc30,5461,454
American Campus Communities Inc30,5461,454
IAC/InterActiveCorp6,6921,454
Gemini Group Global Corp.43,4621,454
Apollo Global Management48,2251,452
Exantas Capital Corp.128,2421,451
Exantas Capital Corp.128,2421,451
Exantas Capital Corp.128,2421,451
Exantas Capital Corp.128,2421,451
Exantas Capital Corp.128,2421,451
Exantas Capital Corp.128,2421,451
CITIZENS FINANCIAL GROUP INC/RI44,2421,451
CITIZENS FINANCIAL GROUP INC/RI44,2421,451
Cohen & Steers Select Preferred and Income Fund51,4841,450
Cohen & Steers Select Preferred and Income Fund51,4841,450
Cohen & Steers Select Preferred and Income Fund51,4841,450
Xylem Inc.23,1421,450
Cohen & Steers Select Preferred and Income Fund51,4841,450
Cohen & Steers Select Preferred and Income Fund51,4841,450
Cohen & Steers Select Preferred and Income Fund51,4841,450
C.R. Bard4,5181,448
Genuine Parts Company15,1331,447
Arista Networks, Inc.7,6321,447
ALLIANCEBERNSTEIN L.P.122,7791,446
ALLIANCEBERNSTEIN L.P.122,7791,446
ALLIANCEBERNSTEIN L.P.122,7791,446
ALLIANCEBERNSTEIN L.P.122,7791,446
ALLIANCEBERNSTEIN L.P.122,7791,446
ALLIANCEBERNSTEIN L.P.122,7791,446
AmeriGas Partners46,8101,444
Arbor EnTech Corp.119,0891,444
Arbor EnTech Corp.119,0891,444
Arbor EnTech Corp.119,0891,444
AmeriGas Partners46,8101,444
AmeriGas Partners46,8101,444
Arbor EnTech Corp.119,0891,444
Forest City Realty Trust, Inc.56,5651,444
Arbor EnTech Corp.119,0891,444
AmeriGas Partners46,8101,444
Arbor EnTech Corp.119,0891,444
First American Minnesota Municipal Income Fund II24,4541,443
First American Minnesota Municipal Income Fund II24,4541,443
Mid-America Apartment Communities13,4901,442
Fidelity National Information Services10,8681,442
Fidelity National Information Services10,8681,442
Carlisle Companies Incorporated9,9001,441
Carlisle Companies Incorporated9,9001,441
Carlisle Companies Incorporated9,9001,441
Carlisle Companies Incorporated9,9001,441
Carlisle Companies Incorporated9,9001,441
Blackrock Municipal 2020 Term Trust95,4001,440
Blackrock Municipal 2020 Term Trust95,4001,440
Blackrock Municipal 2020 Term Trust95,4001,440
Blackrock Municipal 2020 Term Trust95,4001,440
Blackrock Municipal 2020 Term Trust95,4001,440
CBRE Group30,4571,438
Gabelli Dividend67,5081,437
Blackrock Municipal 2020 Term Trust95,4001,436
Blackrock Municipal 2020 Term Trust95,4001,436
Blackrock Municipal 2020 Term Trust95,4001,436
Blackrock Municipal 2020 Term Trust95,4001,436
Blackrock Municipal 2020 Term Trust95,4001,436
Blackrock Municipal 2020 Term Trust95,4001,436
Westar Energy28,8801,436
FlexShopper, Inc.62,2211,433
Euronet Worldwide9,7941,433
FlexShopper, Inc.62,2211,433
Euronet Worldwide9,7941,433
FlexShopper, Inc.62,2211,433
Carlisle Companies Incorporated11,5651,433
Euronet Worldwide9,7941,433
Carlisle Companies Incorporated11,5651,433
Columbia Seligman Premium Technology Growth Fund69,5401,433
FlexShopper, Inc.62,2211,433
Columbia Seligman Premium Technology Growth Fund69,5401,433
Cypress Semiconductor Corporation64,3501,432
Cypress Semiconductor Corporation64,3501,432
Cypress Semiconductor Corporation64,3501,432
Cypress Semiconductor Corporation64,3501,432
Cypress Semiconductor Corporation64,3501,432
Cypress Semiconductor Corporation64,3501,432
Qorvo20,2351,430
Barclays PLC183,5361,428
Williams Companies47,4741,427
Wright Express Corporation21,5591,426
Wright Express Corporation21,5591,426
Wright Express Corporation21,5591,426
BLACKROCK LTD DURATION INCOME TRUST95,1231,426
BLACKROCK LTD DURATION INCOME TRUST95,1231,426
Wright Express Corporation21,5591,426
BLACKROCK LTD DURATION INCOME TRUST95,1231,426
BLACKROCK LTD DURATION INCOME TRUST95,1231,426
Wright Express Corporation21,5591,426
Wright Express Corporation21,5591,426
BLACKROCK LTD DURATION INCOME TRUST95,1231,426
BLACKROCK LTD DURATION INCOME TRUST95,1231,426
Aberdeen Indonesia Fund104,8531,425
Aberdeen Indonesia Fund104,8531,425
Aberdeen Indonesia Fund104,8531,425
Aberdeen Indonesia Fund104,8531,425
Cheniere Energy26,6661,425
Aberdeen Indonesia Fund104,8531,425
Aberdeen Indonesia Fund104,8531,425
Aberdeen Indonesia Fund104,8531,425
Carmax Mining Corp.16,3811,424
Carmax Mining Corp.16,3811,424
Carmax Mining Corp.16,3811,424
Calamos Dynamic Convertible & Income Fund70,5891,424
Carmax Mining Corp.16,3811,424
Calamos Dynamic Convertible & Income Fund70,5891,424
Calamos Dynamic Convertible & Income Fund70,5891,424
Calamos Dynamic Convertible & Income Fund70,5891,424
Carmax Mining Corp.16,3811,424
Calamos Dynamic Convertible & Income Fund70,5891,424
Carmax Mining Corp.16,3811,424
Discovery Communications51,7811,422
Amplify Energy Corp.29,0361,422
Amplify Energy Corp.29,0361,422
Discovery Communications51,7811,422
Amplify Energy Corp.29,0361,422
Amplify Energy Corp.29,0361,422
CorEnergy Infrastructure Trust38,6671,421
CorEnergy Infrastructure Trust38,6671,421
Zimmer Holdings12,1081,418
Intellisense Solutions Inc.9,6701,416
Blackstone GSO Senior Floating Rate Term Fund83,6731,415
Blackstone GSO Senior Floating Rate Term Fund83,6731,415
Blackstone GSO Senior Floating Rate Term Fund83,6731,415
Blackstone GSO Senior Floating Rate Term Fund83,6731,415
Blackstone GSO Senior Floating Rate Term Fund83,6731,415
Suncor Energy Inc.40,3601,414
American Housing Income Trust, Inc.17,0201,412
American Housing Income Trust, Inc.17,0201,412
American Housing Income Trust, Inc.17,0201,412
Eaton Vance Enhance Equity Income Fund94,5111,412
FlexShopper, Inc.61,0801,412
American Housing Income Trust, Inc.17,0201,412
Balsam Ventures, Inc.93,9641,411
British American Tobacco Industries33,8331,408
British American Tobacco Industries33,8331,408
Columbia Seligman Premium Technology Growth Fund65,9281,407
Columbia Seligman Premium Technology Growth Fund65,9281,407
Columbia Seligman Premium Technology Growth Fund65,9281,407
Columbia Seligman Premium Technology Growth Fund65,9281,407
Columbia Seligman Premium Technology Growth Fund65,9281,407
Columbia Seligman Premium Technology Growth Fund65,9281,407
Humet-PBC North America, Inc.5,3171,406
UA Multimedia, Inc.93,2731,406
Humet-PBC North America, Inc.5,3171,406
Heritage Financial Corporation46,5641,404
Bespoke Tricyles, Inc.262,9411,403
Bespoke Tricyles, Inc.262,9411,403
Bespoke Tricyles, Inc.262,9411,403
Greenbrier Companies45,6741,402
ConAgra Foods45,7341,402
ConAgra Foods45,7341,402
ConAgra Foods45,7341,402
Greenbrier Companies45,6741,402
Greenbrier Companies45,6741,402
ConAgra Foods45,7341,402
AmerisourceBergen Corporation (Holding Co)16,9201,401
Edison International20,7831,400
Edison International20,7831,400
Edison International20,7831,400
Edison International20,7831,400
Edison International20,7831,400
Edison International20,7831,400
Crestwood Equity Partners LP39,7811,399
Crestwood Equity Partners LP39,7811,399
Greenbrier Companies29,0331,398
Crestwood Equity Partners LP39,0131,396
Crestwood Equity Partners LP39,0131,396
Crestwood Equity Partners LP39,0131,396
Crestwood Equity Partners LP39,0131,396
Crestwood Equity Partners LP39,0131,396
Crestwood Equity Partners LP39,0131,396
Fidelity National Information Services12,3381,395
Fidelity National Information Services12,3381,395
Huntington Bancshares Incorporated100,8241,394
Huntington Bancshares Incorporated100,8241,394
Erie Indemnity Company5,4741,393
Erie Indemnity Company5,4741,393
Erie Indemnity Company5,4741,393
Erie Indemnity Company5,4741,393
Erie Indemnity Company5,4741,393
Erie Indemnity Company5,4741,393
British American Tobacco Industries37,7821,391
Darden Restaurants11,4611,391
British American Tobacco Industries37,7821,391
British American Tobacco Industries37,7821,391
Darden Restaurants11,4611,391
British American Tobacco Industries37,7821,391
British American Tobacco Industries37,7821,391
Fair Isaac Corp4,4211,389
Eaton Vance Senior Income Trust222,9301,389
Eaton Vance Senior Income Trust222,9301,389
Fair Isaac Corp4,4211,389
Fair Isaac Corp4,4211,389
Eaton Vance Senior Income Trust222,9301,389
Fair Isaac Corp4,4211,389
Eaton Vance Senior Income Trust222,9301,389
Fair Isaac Corp4,4211,389
Eaton Vance Senior Income Trust222,9301,389
Eaton Vance Senior Income Trust222,9301,389
Fair Isaac Corp4,4211,389
Best Buy Co.20,1361,386
Best Buy Co.20,1361,386
Best Buy Co.20,1361,386
Best Buy Co.20,1361,386
American Housing Income Trust, Inc.15,2471,386
American Housing Income Trust, Inc.15,2471,386
American Housing Income Trust, Inc.15,2471,386
American Housing Income Trust, Inc.15,2471,386
American Housing Income Trust, Inc.15,2471,386
Best Buy Co.20,1361,386
Best Buy Co.20,1361,386
American Housing Income Trust, Inc.15,2471,386
Best Buy Co.20,1361,386
Genworth Financial Inc360,0241,382
The Carlyle Group L.P.54,0331,381
The Carlyle Group L.P.54,0331,381
The Carlyle Group L.P.54,0331,381
The Carlyle Group L.P.54,0331,381
The Carlyle Group L.P.54,0331,381
IntercontinentalExchange20,0691,379
Best Buy Co.19,7221,377
Best Buy Co.19,7221,377
American States Water Company18,3861,377
American States Water Company18,3861,377
American States Water Company18,3861,377
American States Water Company18,3861,377
Best Buy Co.19,7221,377
Best Buy Co.19,7221,377
American States Water Company18,3861,377
Best Buy Co.19,7221,377
American States Water Company18,3861,377
Best Buy Co.19,7221,377
Genworth Financial Inc372,4241,375
Genworth Financial Inc372,4241,375
Genworth Financial Inc372,4241,375
Genworth Financial Inc372,4241,375
Arbor EnTech Corp.105,9101,374
AMP Ltd.9,2581,374
Arbor EnTech Corp.105,9101,374
Arbor EnTech Corp.105,9101,374
Entertainment Arts Research, Inc.17,8901,372
Entertainment Arts Research, Inc.17,8901,372
Entertainment Arts Research, Inc.17,8901,372
Entertainment Arts Research, Inc.17,8901,372
Keysight Technologies, Inc.32,9301,371
BlackRock 2022 Global Income Opportunity Trust125,3061,369
BlackRock 2022 Global Income Opportunity Trust125,3061,369
Bespoke Tricyles, Inc.247,6891,364
Bespoke Tricyles, Inc.247,6891,364
Bespoke Tricyles, Inc.247,6891,364
Bespoke Tricyles, Inc.247,6891,364
Bespoke Tricyles, Inc.247,6891,364
Bespoke Tricyles, Inc.247,6891,364
Bespoke Tricyles, Inc.247,6891,364
Cognizant Technology Solutions Corporation18,7861,363
Firstrand Limited13,0231,361
Street Capital Group30,1331,359
Independence Holding Company117,2981,357
Independence Holding Company117,2981,357
Jack Henry & Associates13,1841,355
Euronet Worldwide12,4491,355
The AES Corporation74,9961,355
The AES Corporation74,9961,355
Euronet Worldwide12,4491,355
The AES Corporation74,9961,355
The AES Corporation74,9961,355
The AES Corporation74,9961,355
Check Point Software Technologies Ltd.11,8701,352
Teva Pharmaceutical Industries Ltd.76,0801,352
BLACKROCK LTD DURATION INCOME TRUST91,8911,351
BLACKROCK LTD DURATION INCOME TRUST91,8911,351
China Mobile (Hong Kong) Ltd.26,5541,351
China Mobile (Hong Kong) Ltd.26,5541,351
BLACKROCK LTD DURATION INCOME TRUST91,8911,351
Blackrock MuniYield New Jersey Quality Fund92,9621,350
Barclays Africa Group Ltd72,0681,350
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol53,8401,350
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol53,8401,350
Heritage Financial Corporation45,1741,348
Heritage Financial Corporation45,1741,348
Heritage Financial Corporation45,1741,348
Prudential Short Duration High Yield Fund88,1981,346
ABB Ltd56,6361,344
Insperity10,9931,344
Insperity10,9931,344
ABB Ltd56,6361,344
Andeavor13,0041,343
Wynn Resorts9,0031,342
Kite Realty Group Trust66,3491,342
PIMCO New York Municipal Income Fund III137,6541,339
NVR4691,339
H&E Equipment Services45,7851,337
LKQ Corporation37,1601,336
Avery Dennison Corporation12,5901,336
Avery Dennison Corporation12,5901,336
Dollar General Corporation16,4941,336
Exantas Capital Corp.125,4071,334
Cognizant Technology Solutions Corporation16,6071,334
Blackrock MuniVest Fund II132,7971,334
Exantas Capital Corp.125,4071,334
Blackrock MuniVest Fund II132,7971,334
Cerner Corporation23,2631,332
Cerner Corporation23,2631,332
FMB Equibanc, Inc.24,6321,327
Chatham Lodging Trust (REIT)73,1011,327
Chatham Lodging Trust (REIT)73,1011,327
Chatham Lodging Trust (REIT)73,1011,327
Chatham Lodging Trust (REIT)73,1011,327
Chatham Lodging Trust (REIT)73,1011,327
FMB Equibanc, Inc.24,6321,327
Motorola Solutions15,5951,323
Pembina Pipeline Corp.37,6451,321
Cornerstone Bancshares116,5621,320
Cornerstone Bancshares116,5621,320
Cornerstone Bancshares116,5621,320
Cornerstone Bancshares116,5621,320
Cornerstone Bancshares116,5621,320
Cornerstone Bancshares116,5621,320
eBay Inc.33,8971,319
eBay Inc.33,8971,319
eBay Inc.33,8971,319
eBay Inc.33,8971,319
Guggenheim Credit Allocation Fund63,1901,317
Guggenheim Credit Allocation Fund63,1901,317
Guggenheim Credit Allocation Fund63,1901,317
Evolution Technology Resources Inc.81,8671,316
Evolution Technology Resources Inc.81,8671,316
ExactTarget140,9401,316
Evolution Technology Resources Inc.81,8671,316
Evolution Technology Resources Inc.81,8671,316
Evolution Technology Resources Inc.81,8671,316
Evolution Technology Resources Inc.81,8671,316
Calamos Convertible Opportunities and Income Fund125,2301,315
Calamos Convertible Opportunities and Income Fund125,2301,315
Calamos Convertible Opportunities and Income Fund125,2301,315
Calamos Convertible Opportunities and Income Fund125,2301,315
Calamos Convertible Opportunities and Income Fund125,2301,315
Calamos Convertible Opportunities and Income Fund125,2301,315
Resource Capital Corp.121,9181,315
Calamos Convertible Opportunities and Income Fund126,3021,314
Calamos Convertible Opportunities and Income Fund126,3021,314
Calamos Convertible Opportunities and Income Fund126,3021,314
Halliburton Company44,7931,314
Calamos Convertible Opportunities and Income Fund126,3021,314
Calamos Convertible Opportunities and Income Fund126,3021,314
Expedition Mining Inc11,0271,313
Hexcel Corporation22,8701,313
Expedition Mining Inc11,0271,313
Fifth Third Bancorp47,9111,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
Fifth Third Bancorp47,9111,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
PHYSICAL PROPERTY HOLDINGS, INC.9,2481,312
PetMed Express39,5741,311
Domino's Pizza Inc4,7391,310
Domino's Pizza Inc4,7391,310
Domino's Pizza Inc4,7391,310
Domino's Pizza Inc4,7391,310
Domino's Pizza Inc4,7391,310
Domino's Pizza Inc4,7391,310
Farmland Partners Inc.187,0001,307
Farmland Partners Inc.187,0001,307
Blackstone GSO Senior Floating Rate Term Fund77,4321,307
Farmland Partners Inc.187,0001,307
Farmland Partners Inc.187,0001,307
Farmland Partners Inc.187,0001,307
Blackstone GSO Senior Floating Rate Term Fund77,4321,307
Blackstone GSO Senior Floating Rate Term Fund77,4321,307
Blackstone GSO Senior Floating Rate Term Fund77,4321,307
Blackstone GSO Senior Floating Rate Term Fund77,4321,307
Blackstone GSO Senior Floating Rate Term Fund77,4321,307
Farmland Partners Inc.187,0001,307
First American Minnesota Municipal Income Fund II24,2711,305
First American Minnesota Municipal Income Fund II24,2711,305
First American Minnesota Municipal Income Fund II24,2711,305
Cedar Fair20,3621,305
First American Minnesota Municipal Income Fund II24,2711,305
First American Minnesota Municipal Income Fund II24,2711,305
First American Minnesota Municipal Income Fund II24,2711,305
ChemoCentryx15,3111,299
ChemoCentryx15,3111,299
CDW Corp10,5351,299
CDW Corp10,5351,299
CDW Corp10,5351,299
ChemoCentryx15,3111,299
ChemoCentryx15,3111,299
ChemoCentryx15,3111,299
CDW Corp10,5351,299
CDW Corp10,5351,299
National-Oilwell Varco36,3391,298
Calamos Convertible Opportunities and Income Fund127,9781,298
Calamos Convertible Opportunities and Income Fund127,9781,298
Akamai Technologies16,2051,297
Akamai Technologies16,2051,297
Akamai Technologies16,2051,297
Akamai Technologies16,2051,297
Alexandria Real Estate Equities8,4201,297
Alexandria Real Estate Equities8,4201,297
Alexandria Real Estate Equities8,4201,297
Alexandria Real Estate Equities8,4201,297
Akamai Technologies16,2051,297
Alexandria Real Estate Equities8,4201,297
Alexandria Real Estate Equities8,4201,297
Akamai Technologies16,2051,297
Alexandria Real Estate Equities8,4201,297
Aberdeen New Dawn Investment Trust Plc.94,1371,296
Aberdeen New Dawn Investment Trust Plc.94,1371,296
Aberdeen Indonesia Fund109,0431,295
Greenbrier Companies40,2031,295
Aberdeen Indonesia Fund109,0431,295
Aberdeen Indonesia Fund109,0431,295
Aberdeen Indonesia Fund109,0431,295
Aberdeen Indonesia Fund109,0431,295
Aberdeen Indonesia Fund109,0431,295
ABB Ltd52,2461,294
Enbridge Energy80,9431,293
CH Energy Group23,2621,290
CH Energy Group23,2621,290
Air Products and Chemicals8,5151,289
Aberdeen Asia-Pacific Income Fund Inc304,6201,288
Aberdeen Asia-Pacific Income Fund Inc304,6201,288
Fifth Street Finance Corp.235,4271,288
Aberdeen Asia-Pacific Income Fund Inc304,6201,288
Aberdeen Asia-Pacific Income Fund Inc304,6201,288
Aberdeen Asia-Pacific Income Fund Inc304,6201,288
Eaton Vance Risk-Managed Diversified Equity Income Fund136,3461,286
eBay Inc.34,5831,285
eBay Inc.34,5831,285
Alaska Power & Telephone Co.20,0631,282
Alaska Power & Telephone Co.20,0631,282
Alaska Power & Telephone Co.20,0631,282
Alaska Power & Telephone Co.20,0631,282
Alaska Power & Telephone Co.20,0631,282
Alaska Power & Telephone Co.20,0631,282
Nuveen S&P 500 Dynamic Overwrite Fund84,5311,281
Retail Properties of America97,1831,277
Apollo Global Management43,0701,276
Apollo Global Management43,0701,276
Guggenheim Credit Allocation Fund63,2341,276
AmerisourceBergen Corporation (Holding Co)14,9331,274
AmerisourceBergen Corporation (Holding Co)14,9331,274
AmerisourceBergen Corporation (Holding Co)14,9331,274
AmerisourceBergen Corporation (Holding Co)14,9331,274
AmerisourceBergen Corporation (Holding Co)14,9331,274
AmerisourceBergen Corporation (Holding Co)14,9331,274
CBRE Group33,6241,273
Zayo Group Holdings, Inc.36,9291,272
First American Minnesota Municipal Income Fund II24,4941,272
First American Minnesota Municipal Income Fund II24,4941,272
British American Tobacco Industries36,5521,270
British American Tobacco Industries36,5521,270
British American Tobacco Industries36,5521,270
British American Tobacco Industries36,5521,270
British American Tobacco Industries36,5521,270
British American Tobacco Industries36,5521,270
MercadoLibre4,9041,269
Atmos Energy Corporation11,1291,268
Atmos Energy Corporation11,1291,268
Atmos Energy Corporation11,1291,268
Atmos Energy Corporation11,1291,268
Atmos Energy Corporation11,1291,268
Atmos Energy Corporation11,1291,268
Atmos Energy Corporation11,1291,268
Ballroom Dance Fitness Inc18,1141,267
Ballroom Dance Fitness Inc18,1141,267
Ballroom Dance Fitness Inc18,1141,267
Ballroom Dance Fitness Inc18,1141,267
Ballroom Dance Fitness Inc18,1141,267
Ballroom Dance Fitness Inc18,1141,267
Hartford Retirement Network Corp.30,5001,266
Hartford Retirement Network Corp.30,5001,266
Hartford Retirement Network Corp.30,5001,266
Akamai Technologies17,6081,265
Akamai Technologies17,6081,265
Akamai Technologies17,6081,265
Akamai Technologies17,6081,265
Akamai Technologies17,6081,265
China Mobile (Hong Kong) Ltd.28,2641,263
China Mobile (Hong Kong) Ltd.28,2641,263
China Mobile (Hong Kong) Ltd.28,2641,263
China Mobile (Hong Kong) Ltd.28,2641,263
China Mobile (Hong Kong) Ltd.28,2641,263
Blackrock Enhanced Equity Dividend Trust131,9721,263
China Mobile (Hong Kong) Ltd.28,2641,263
Blackrock Enhanced Equity Dividend Trust131,9721,263
Iren SPA8,1281,262
Extra Space Storage Inc12,3791,262
Extra Space Storage Inc12,3791,262
ConAgra Foods45,4991,262
ConAgra Foods45,4991,262
Edison International20,3491,261
Edison International20,3491,261
Dun & Bradstreet Corporation (The)10,8241,260
Hartford Financial Services Group23,8791,259
The NASDAQ OMX Group16,2261,259
Halliburton Company55,3081,259
Halliburton Company55,3081,259
Halliburton Company55,3081,259
Fifth Third Bancorp49,7941,257
Fifth Third Bancorp49,7941,257
Principal Real Estate Income Fund19,7631,256
PAA Natural Gas Storage59,2591,256
Evolution Technology Resources Inc.76,2151,254
Evolution Technology Resources Inc.76,2151,254
Hexcel Corporation18,1211,254
Evolution Technology Resources Inc.76,2151,254
Evolution Technology Resources Inc.76,2151,254
Nuveen AMT-Free Municipal Income Fund89,1131,253
Cadence Design Systems19,7291,253
Cadence Design Systems19,7291,253
Aurora Cannabis Inc.285,2771,252
Aurora Cannabis Inc.285,2771,252
Aurora Cannabis Inc.285,2771,252
Aurora Cannabis Inc.285,2771,252
Aurora Cannabis Inc.285,2771,252
Aurora Cannabis Inc.285,2771,252
Aurora Cannabis Inc.285,2771,252
Hewlett Packard Enterprise Co80,7921,251
Hilton Worldwide Holdings Inc.15,0811,250
Ramtron International Corporation24,2851,248
THEDIRECTORY.COM, INC.14,8141,248
CH Energy Group19,4751,247
CH Energy Group19,4751,247
CH Energy Group19,4751,247
CH Energy Group19,4751,247
CH Energy Group19,4751,247
DCP Holding CO37,7261,246
Blackstone GSO Senior Floating Rate Term Fund75,9001,246
Blackstone GSO Senior Floating Rate Term Fund75,9001,246
DCP Holding CO37,7261,246
BlackRock Municipal Income Trust II84,9601,243
BlackRock Municipal Income Trust II84,9601,243
JPMorgan Chase Bank NA44,0401,243
BlackRock Municipal Income Trust II84,9601,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
Cheniere Energy Partners LP Holdings, LLC27,3221,243
BlackRock Municipal Income Trust II84,9601,243
Cheniere Energy Partners LP Holdings, LLC27,3221,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
BlackRock Municipal Income Trust II84,9601,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
Cheniere Energy Partners LP Holdings, LLC27,3221,243
Avery Dennison Corporation12,6351,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
BlackRock Municipal Income Trust II84,9601,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
Cheniere Energy Partners LP Holdings, LLC27,3221,243
Aberdeen Asia-Pacific Income Fund Inc296,8691,243
Cheniere Energy Partners LP Holdings, LLC27,3221,243
China Mobile (Hong Kong) Ltd.29,9751,242
China Mobile (Hong Kong) Ltd.29,9751,242
China Mobile (Hong Kong) Ltd.29,9751,242
China Mobile (Hong Kong) Ltd.29,9751,242
China Mobile (Hong Kong) Ltd.29,9751,242
CASEY CONTAINER CORP7,6961,240
CASEY CONTAINER CORP7,6961,240
CASEY CONTAINER CORP7,6961,240
CASEY CONTAINER CORP7,6961,240
Hartford Financial Services Group22,2231,239
Hartford Financial Services Group22,2231,239
Hartford Financial Services Group22,2231,239
Paycom Software16,4951,236
Leucadia National Corporation48,9371,236
GGX Gold Corp.95,1091,235
Pimco Municipal Income Fund II90,3361,235
Bespoke Tricyles, Inc.91,8321,235
Bespoke Tricyles, Inc.91,8321,235
Fair Isaac Corp4,0611,234
Fair Isaac Corp4,0611,234
Invesco Value Municipal Income Trust81,1061,234
BLACKROCK LTD DURATION INCOME TRUST81,8041,234
Invesco Value Municipal Income Trust81,1061,234
BLACKROCK LTD DURATION INCOME TRUST81,8041,234
Fair Isaac Corp4,0611,234
Cornerstone Bancshares84,2521,233
Aareal Bank AG26,4071,231
Nuveen High Income November 2021 Target Term Fund121,6881,231
CH Energy Group21,2511,230
Darden Restaurants10,4051,230
Cheniere Energy17,9701,230
CH Energy Group21,2511,230
CH Energy Group21,2511,230
CH Energy Group21,2511,230
Cheniere Energy17,9701,230
Cheniere Energy17,9701,230
CH Energy Group21,2511,230
Darden Restaurants10,4051,230
Darden Restaurants10,4051,230
Darden Restaurants10,4051,230
Cheniere Energy17,9701,230
Cheniere Energy17,9701,230
Cheniere Energy17,9701,230
CH Energy Group21,2511,230
Cedar Fair21,0531,229
Cedar Fair21,0531,229
Cedar Fair21,0531,229
Cedar Fair21,0531,229
Cedar Fair21,0531,229
Farmland Partners Inc.183,9141,228
Farmland Partners Inc.183,9141,228
Farmland Partners Inc.183,9141,228
Guardant Health, Inc.14,1481,226
Guardant Health, Inc.14,1481,226
Brookfield Property Partners LP52,5441,226
Guardant Health, Inc.14,1481,226
eBay Inc.30,7571,225
eBay Inc.30,7571,225
eBay Inc.30,7571,225
eBay Inc.30,7571,225
eBay Inc.30,7571,225
eBay Inc.30,7571,225
Hasbro11,5541,224
Hasbro11,5541,224
Hasbro11,5541,224
Crimson Exploration Inc.12,3911,223
Agnico Eagle Mines24,1361,215
Agnico Eagle Mines24,1361,215
Agnico Eagle Mines24,1361,215
Agnico Eagle Mines24,1361,215
Agnico Eagle Mines24,1361,215
Buckeye Technologies21,3181,215
Agnico Eagle Mines24,1361,215
First Trust Specialty Finance and Financial Opportunities Fund195,8071,214
Independence Holding Company112,3981,213
CBRE Group22,8381,211
CBRE Group22,8381,211
CBRE Group22,8381,211
CBRE Group22,8381,211
CBRE Group22,8381,211
CBRE Group23,5421,211
CBRE Group23,5421,211
CBRE Group23,5421,211
CBRE Group23,5421,211
CBRE Group23,5421,211
CBRE Group23,5421,211
Domino's Pizza Inc4,7321,210
Calamos Global Dynamic Income Fund133,8611,210
Domino's Pizza Inc4,7321,210
Blackrock Floating Rate Income Strategies Fund Inc96,7081,209
Helmerich & Payne21,7431,209
Blackrock Floating Rate Income Strategies Fund Inc96,7081,209
Centenera Mng Corp.27,9051,206
Centenera Mng Corp.27,9051,206
Centenera Mng Corp.27,9051,206
Centenera Mng Corp.27,9051,206
Centenera Mng Corp.27,9051,206
Ironclad Performance Wear Corp30,9521,204
Columbia Seligman Premium Technology Growth Fund57,0101,204
Columbia Seligman Premium Technology Growth Fund57,0101,204
Columbia Seligman Premium Technology Growth Fund57,0101,204
Columbia Seligman Premium Technology Growth Fund57,0101,204
Blackrock MuniHoldings Fund II79,7361,203
Blackrock MuniHoldings Fund II79,7361,203
Blackrock MuniHoldings Fund II79,7361,203
Blackrock MuniHoldings Fund II79,7361,203
Blackrock MuniHoldings Fund II79,7361,203
Blackrock MuniHoldings Fund II79,7361,203
Blackrock MuniHoldings Fund II79,7361,202
Blackrock MuniHoldings Fund II79,7361,202
Blackrock MuniHoldings Fund II79,7361,202
Blackrock MuniHoldings Fund II79,7361,202
Blackrock MuniHoldings Fund II79,7361,202
The AES Corporation71,6201,201
The AES Corporation71,6201,201
The AES Corporation71,6201,201
The AES Corporation71,6201,201
The AES Corporation71,6201,201
The AES Corporation71,6201,201
Arthur J. Gallagher & Co.13,6911,199
Arthur J. Gallagher & Co.13,6911,199
Arthur J. Gallagher & Co.13,6911,199
Arthur J. Gallagher & Co.13,6911,199
Carmax Mining Corp.13,5951,196
Carmax Mining Corp.13,5951,196
Carmax Mining Corp.13,5951,196
American States Water Company16,8151,196
Carmax Mining Corp.13,5951,196
American States Water Company16,8151,196
American States Water Company16,8151,196
American States Water Company16,8151,196
Carmax Mining Corp.13,5951,196
Bespoke Tricyles, Inc.228,4681,195
Bespoke Tricyles, Inc.228,4681,195
Bespoke Tricyles, Inc.228,4681,195
CACI International6,5651,195
CACI International6,5651,195
Bespoke Tricyles, Inc.228,4681,195
Bespoke Tricyles, Inc.228,4681,195
Bespoke Tricyles, Inc.228,4681,195
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Ares Dynamic Credit Allocation Fund, Inc.80,0921,194
Cardinal Health18,9871,190
AmerisourceBergen Corporation (Holding Co)15,0011,190
AmerisourceBergen Corporation (Holding Co)15,0011,190
Chesapeake Energy Corp.844,1161,190
Chesapeake Energy Corp.844,1161,190
Chesapeake Energy Corp.844,1161,190
Chesapeake Energy Corp.844,1161,190
Chesapeake Energy Corp.844,1161,190
AmerisourceBergen Corporation (Holding Co)15,0011,190
AmerisourceBergen Corporation (Holding Co)15,0011,190
PBF Energy43,0761,189
CBRE Group23,9931,187
Liberty Global6,2971,187
CBRE Group23,9931,187
Wright Express Corporation16,4111,185
Wright Express Corporation16,4111,185
Wright Express Corporation16,4111,185
Wright Express Corporation16,4111,185
Nuveen Floating Rate Income Fund101,1951,185
Wright Express Corporation16,4111,185
Wright Express Corporation16,4111,185
Wright Express Corporation16,4111,185
Blackrock MuniYield Investment QualityFund85,5441,184
Cornerstone Bancshares98,7561,184
Cornerstone Bancshares98,7561,184
Blackrock MuniYield Investment QualityFund85,5441,184
Blackrock MuniYield Investment QualityFund85,5441,184
Blackrock MuniYield Investment QualityFund85,5441,184
Blackrock MuniYield Investment QualityFund85,5441,184
Blackrock MuniYield Fund79,4541,183
Blackrock MuniYield Fund79,4541,183
Aberdeen Asia-Pacific Income Fund Inc282,7671,183
Aberdeen Asia-Pacific Income Fund Inc282,7671,183
Aberdeen Asia-Pacific Income Fund Inc282,7671,183
Aberdeen Asia-Pacific Income Fund Inc282,7671,183
Blackrock MuniYield Fund79,4541,183
Blackrock MuniYield Fund79,4541,183
Aberdeen Asia-Pacific Income Fund Inc282,7671,183
Blackrock MuniYield Fund79,4541,183
Aberdeen Asia-Pacific Income Fund Inc282,7671,183
Cohen & Steers Quality Income Realty Fund Inc83,3061,181
TRIMOL GROUP INC17,3781,179
Athenex, Inc.69,3071,179
Hormel Foods Corporation36,6921,179
Athenex, Inc.69,3071,179
Dunkin' Brands Group14,8401,178
Dunkin' Brands Group14,8401,178
Dunkin' Brands Group14,8401,178
Wisdom International Corp.16,9531,178
Dunkin' Brands Group14,8401,178
Allete15,2151,176
Western Asset Global Partners Income Fund64,4941,176
Alaska Power & Telephone Co.18,1051,175
Alaska Power & Telephone Co.18,1051,175
Alaska Power & Telephone Co.18,1051,175
Alaska Power & Telephone Co.18,1051,175
Alaska Power & Telephone Co.18,1051,175
Alaska Power & Telephone Co.18,1051,175
Alaska Power & Telephone Co.18,1051,175
Arkose Energy Corp.48,7931,174
Arkose Energy Corp.48,7931,174
Arkose Energy Corp.48,7931,174
Arkose Energy Corp.48,7931,174
Arkose Energy Corp.48,7931,174
Arkose Energy Corp.48,7931,174
Arkose Energy Corp.48,7931,174
John Hancock Preferred Income Fund III69,1561,173
John Hancock Preferred Income Fund III69,1561,173
John Hancock Preferred Income Fund III69,1561,173
Carmax Mining Corp.15,4751,173
Hawaiian Electric Industries26,9131,172
Cerner Corporation20,1771,172
Hawaiian Electric Industries26,9131,172
Hawaiian Electric Industries26,9131,172
Adient Ltd13,9461,172
Global Payments Inc.7,2941,170
Global Payments Inc.7,2941,170
AmerisourceBergen Corporation (Holding Co)13,6251,170
Guardant Health, Inc.15,2521,170
AmerisourceBergen Corporation (Holding Co)13,6251,170
Global Payments Inc.7,2941,170
Global Payments Inc.7,2941,170
Ares Dynamic Credit Allocation Fund, Inc.77,2761,169
Ares Dynamic Credit Allocation Fund, Inc.77,2761,169
Ares Dynamic Credit Allocation Fund, Inc.77,2761,169
Ares Dynamic Credit Allocation Fund, Inc.77,2761,169
Ares Dynamic Credit Allocation Fund, Inc.77,2761,169
Ares Dynamic Credit Allocation Fund, Inc.77,2761,169
CDW Corp10,5531,168
CDW Corp10,5531,168
Hercules Technology Growth Capital90,5611,168
CDW Corp10,5531,168
CDW Corp10,5531,168
CDW Corp10,5531,168
CDW Corp10,5531,168
Invesco Municipal Premium Income Trust89,6551,167
American Airlines Group22,4711,166
American Airlines Group22,4711,166
Cheniere Energy16,9571,165
Cheniere Energy16,9571,165
Covanta Holding Corporation78,4171,165
John Hancock Preferred Income Fund III69,9151,164
Avenue Income Credit Strategies Fund78,9071,164
Highlands Bankshares, Inc.82,2211,163
CH Energy Group25,6951,163
IAC/InterActiveCorp5,4691,163
Blackrock MuniHoldings Fund II78,6111,163
Blackrock MuniHoldings Fund II78,6111,163
Chimera Investment Corporation66,7021,162
Expeditors International of Washington19,4031,161
BlackRock Municipal Income Trust II77,6601,160
Evolution Technology Resources Inc.74,5721,160
BlackRock Municipal Income Trust II77,6601,160
BlackRock Municipal Income Trust II77,6601,160
Evolution Technology Resources Inc.74,5721,160
BlackRock Municipal Income Trust II77,6601,160
BlackRock Municipal Income Trust II77,6601,160
ChemoCentryx12,3871,160
Blackrock MuniYield Fund80,6391,159
Blackrock MuniYield Fund80,6391,159
Blackrock MuniYield Fund80,6391,159
Blackrock MuniYield Fund80,6391,159
Cerner Corporation16,2221,159
Blackrock MuniYield Fund80,6391,159
Blackrock MuniYield Fund80,6391,159
Calamos Convertible and High Income Fund104,9371,158
Calamos Convertible and High Income Fund104,9371,158
Calamos Convertible and High Income Fund104,9371,158
Calamos Convertible and High Income Fund104,9371,158
Calamos Convertible and High Income Fund104,9371,158
Calamos Convertible and High Income Fund104,9371,158
Cathay Pacific Airways, Ltd.33,3181,157
Cathay Pacific Airways, Ltd.33,3181,157
Cathay Pacific Airways, Ltd.33,3181,157
Cathay Pacific Airways, Ltd.33,3181,157
Cathay Pacific Airways, Ltd.33,3181,157
First Trust Specialty Finance and Financial Opportunities Fund185,7091,153
Smart & Final Stores, Inc.7,7341,153
First Trust Specialty Finance and Financial Opportunities Fund185,7091,153
First Trust Specialty Finance and Financial Opportunities Fund185,7091,153
First Trust Specialty Finance and Financial Opportunities Fund185,7091,153
First Trust Specialty Finance and Financial Opportunities Fund185,7091,153
First Trust Specialty Finance and Financial Opportunities Fund185,7091,153
Astrazeneca PLC33,9831,152
Heritage Financial Corporation39,0341,151
Ally Financial Inc34,6751,149
Ally Financial Inc34,6751,149
Ally Financial Inc34,6751,149
Ally Financial Inc34,6751,149
East West Petroleum Corp.23,9211,149
East West Petroleum Corp.23,9211,149
Ally Financial Inc34,6751,149
Ally Financial Inc34,6751,149
Nuveen Real Estate Fund103,0381,149
Ally Financial Inc34,6751,149
Cardinal Health24,3521,148
Cardinal Health24,3521,148
Cardinal Health24,3521,148
Cardinal Health24,3521,148
Cardinal Health24,3521,148
Cardinal Health24,3521,148
Calamos Convertible and High Income Fund105,2101,141
Calamos Convertible and High Income Fund105,2101,141
Dover Corporation12,1081,138
Cypress Semiconductor Corporation48,7821,138
Cypress Semiconductor Corporation48,7821,138
Dover Corporation12,1081,138
Cypress Semiconductor Corporation48,7821,138
Cypress Semiconductor Corporation48,7821,138
Cheniere Energy18,0361,137
Cheniere Energy18,0361,137
Cheniere Energy18,0361,137
Cheniere Energy18,0361,137
Cheniere Energy18,0361,137
John Hancock Tax Advantaged Dividend Income Fund44,7111,136
BlackRock Credit Allocation Income Trust I89,6191,136
John Hancock Tax Advantaged Dividend Income Fund44,7111,136
Humet-PBC North America, Inc.4,6621,136
BlackRock Credit Allocation Income Trust I89,6191,136
John Hancock Tax Advantaged Dividend Income Fund44,7111,136
Allete13,8031,135
Allete13,8031,135
Allete13,8031,135
Allete13,8031,135
Allete13,8031,135
Boston Scientific Corporation41,8941,135
Level 3 Communications21,2601,134
Indianapolis Power & Light Co.34,5081,133
CASEY CONTAINER CORP7,0311,133
Concho Resources Inc.10,8541,130
Concho Resources Inc.10,8541,130
AutoZone1,1041,130
AutoZone1,1041,130
AutoZone1,1041,130
Concho Resources Inc.10,8541,130
Concho Resources Inc.10,8541,130
Concho Resources Inc.10,8541,130
Concho Resources Inc.10,8541,130
Pattern Energy Group46,8221,129
Toro Company (The)18,1521,126
Fifth Third Bancorp40,2541,126
Host Marriott Financial Trust59,9471,124
SEI Investments Company18,3881,123
Cardinal Health23,5131,121
Cardinal Health23,5131,121
BlackRock Credit Allocation Income Trust I82,1931,120
BlackRock Credit Allocation Income Trust I82,1931,120
BlackRock Credit Allocation Income Trust I82,1931,120
Ultrack Systems, Inc.9,9231,120
BlackRock Credit Allocation Income Trust I82,1931,120
BlackRock Credit Allocation Income Trust I82,1931,120
Cheniere Energy Partners LP Holdings, LLC26,4991,118
Cheniere Energy Partners LP Holdings, LLC26,4991,118
Cheniere Energy Partners LP Holdings, LLC26,4991,118
Cheniere Energy Partners LP Holdings, LLC26,4991,118
Cheniere Energy Partners LP Holdings, LLC26,4991,118
Cheniere Energy Partners LP Holdings, LLC26,4991,118
Blackrock MuniYield California Fund77,6671,117
Blackrock MuniYield California Fund77,6671,117
Blackrock MuniYield California Fund77,6671,117
Blackrock MuniYield California Fund77,6671,117
Blackrock MuniYield California Fund77,6671,117
East West Petroleum Corp.23,8461,116
East West Petroleum Corp.23,8461,116
AcuityAds Hldgs Inc.6,5231,116
Exchange Bank (Santa Rosa, CA)35,1171,116
East West Petroleum Corp.23,8461,116
Exchange Bank (Santa Rosa, CA)35,1171,116
East West Petroleum Corp.23,8461,116
East West Petroleum Corp.23,8461,116
East West Petroleum Corp.23,8461,116
Cadence Design Systems15,7381,115
1st Colonial Bancorp, Inc.23,2451,115
Cadence Design Systems15,7381,115
Cadence Design Systems15,7381,115
Cadence Design Systems15,7381,115
Cadence Design Systems15,7381,115
Cadence Design Systems15,7381,115
Jacobs Engineering Group Inc.19,1241,114
Braemar Seascope Group Plc.91,2101,114
Braemar Seascope Group Plc.91,2101,114
Brown Forman Corporation18,6281,113
Brown Forman Corporation18,6281,113
Brown Forman Corporation18,6281,113
Brown Forman Corporation18,6281,113
Brown Forman Corporation18,6281,113
Barclays Africa Group Ltd95,3081,112
Barclays Africa Group Ltd95,3081,112
Barclays Africa Group Ltd95,3081,112
Barclays Africa Group Ltd95,3081,112
Fair Isaac Corp4,0941,112
Fair Isaac Corp4,0941,112
Barclays Africa Group Ltd95,3081,112
Barclays Africa Group Ltd95,3081,112
Exchange Bank (Santa Rosa, CA)34,2221,110
Alaska Power & Telephone Co.19,6801,110
Exchange Bank (Santa Rosa, CA)34,2221,110
Alaska Power & Telephone Co.19,6801,110
Alaska Power & Telephone Co.19,6801,110
Ecolab Inc.8,6191,110
Alaska Power & Telephone Co.19,6801,110
Exchange Bank (Santa Rosa, CA)34,2221,110
Exchange Bank (Santa Rosa, CA)34,2221,110
Exchange Bank (Santa Rosa, CA)34,2221,110
Alaska Power & Telephone Co.19,6801,110
Exchange Bank (Santa Rosa, CA)34,2221,110
Tupras Turkiye Petrol Rafinerileri AS17,9291,109
Royal Kpn N.V.14,3181,108
PVH Corp.8,7881,108
Blackrock MuniYield California Fund77,9041,106
Blackrock MuniYield California Fund77,9041,106
Blackrock MuniYield California Fund77,9041,106
Blackrock MuniYield California Fund77,9041,106
Blackrock MuniYield California Fund77,9041,106
John Hancock Tax Advantaged Dividend Income Fund44,5891,106
Blackrock MuniYield California Fund77,9041,106
BlackRock 2022 Global Income Opportunity Trust104,1791,105
Invesco Municipal Income Opportunities Trust144,2661,105
Invesco Municipal Income Opportunities Trust144,2661,105
Genworth Financial Inc286,6451,104
CAM Group, Inc.21,4221,103
Concho Resources Inc.10,0071,100
Concho Resources Inc.10,0071,100
Chatham Lodging Trust (REIT)58,3441,099
Chatham Lodging Trust (REIT)58,3441,099
Chatham Lodging Trust (REIT)58,3441,099
Chatham Lodging Trust (REIT)58,3441,099
Chatham Lodging Trust (REIT)58,3441,099
Chatham Lodging Trust (REIT)58,3441,099
ConAgra Foods41,3871,098
ConAgra Foods41,3871,098
ConAgra Foods41,3871,098
Cheniere Energy Partners LP Holdings, LLC26,1781,098
ConAgra Foods41,3871,098
ConAgra Foods41,3871,098
Cheniere Energy Partners LP Holdings, LLC26,1781,098
ConAgra Foods41,3871,098
Hilltop Holdings Inc.42,0731,094
Oaktree Capital Group23,2381,093
Anadarko Petroleum Corporation15,1331,090
Anadarko Petroleum Corporation15,1331,090
Anadarko Petroleum Corporation15,1331,090
Anadarko Petroleum Corporation15,1331,090
Anadarko Petroleum Corporation15,1331,090
Anadarko Petroleum Corporation15,1331,090
Calamos Convertible and High Income Fund98,9041,087
Calamos Convertible and High Income Fund98,9041,087
BHP Billiton Limited22,0241,087
Calamos Convertible and High Income Fund98,9041,087
BHP Billiton Limited22,0241,087
Calamos Convertible and High Income Fund98,9041,087
BHP Billiton Limited22,0241,087
Calamos Convertible and High Income Fund98,9041,087
BHP Billiton Limited22,0241,087
Dassault Aviation11,7771,087
BHP Billiton Limited22,0241,087
BHP Billiton Limited22,0241,087
BHP Billiton Limited22,0241,087
NetApp24,7081,085
EQT Corporation16,6031,084
IGM Financial Inc.43,8951,084
Cedar Fair20,5821,083
Cedar Fair20,5821,083
Blackrock MuniYield Fund77,6241,082
Blackrock MuniYield Fund77,6241,082
Templeton Global Income Fund93,5461,081
Blackrock Municipal 2020 Term Trust71,9001,080
Blackrock Municipal 2020 Term Trust71,9001,080
Blackrock Municipal 2020 Term Trust71,9001,080
Adams Express Company (The)68,1511,079
BT Group plc84,4651,079
BT Group plc84,4651,079
BT Group plc84,4651,079
Adams Express Company (The)68,1511,079
BT Group plc84,4651,079
BT Group plc84,4651,079
BT Group plc84,4651,079
Adams Express Company (The)68,1511,079
Adams Express Company (The)68,1511,079
Adams Express Company (The)68,1511,079
Adams Express Company (The)68,1511,079
Adams Express Company (The)68,1511,079
Apollo Global Management31,4211,078
Apollo Global Management31,4211,078
Apollo Global Management31,4211,078
Apollo Global Management31,4211,078
Hawaiian Telcom Holdco, Inc.8,2851,078
Apollo Global Management31,4211,078
Apollo Global Management31,4211,078
Exchange Income Corporation28,1781,078
Hawaiian Telcom Holdco, Inc.8,2851,078
Hawaiian Telcom Holdco, Inc.8,2851,078
Arkose Energy Corp.31,2381,077
Arkose Energy Corp.31,2381,077
BlackRock Kelso Capital Corporation179,7811,077
BlackRock Kelso Capital Corporation179,7811,077
Arkose Energy Corp.31,2381,077
Arkose Energy Corp.31,2381,077
Arkose Energy Corp.31,2381,077
Arkose Energy Corp.31,2381,077
BlackRock Kelso Capital Corporation179,7811,077
Ares Dynamic Credit Allocation Fund, Inc.66,3091,076
Ares Dynamic Credit Allocation Fund, Inc.66,3091,076
Comerica Incorporated14,0811,074
Calamos Convertible Opportunities and Income Fund96,7171,074
Exelixis60,6381,073
Exelixis60,6381,073
Exelixis60,6381,073
FAMOUS DAVES OF AMERICA INC 14,1231,073
FAMOUS DAVES OF AMERICA INC 14,1231,073
FAMOUS DAVES OF AMERICA INC 14,1231,073
FAMOUS DAVES OF AMERICA INC 14,1231,073
FAMOUS DAVES OF AMERICA INC 14,1231,073
Hawaiian Electric Industries26,3151,073
FAMOUS DAVES OF AMERICA INC 14,1231,073
Cadence Design Systems16,2121,071
Boston Scientific Corporation36,7651,071
Cadence Design Systems16,2121,071
Cadence Design Systems16,2121,071
Penumbra Inc11,8641,071
Cadence Design Systems16,2121,071
Cadence Design Systems16,2121,071
Victory Square Technologies Inc27,2491,071
Barclays Africa Group Ltd40,3651,070
Barclays Africa Group Ltd40,3651,070
Barclays Africa Group Ltd40,3651,070
Barclays Africa Group Ltd40,3651,070
Barclays Africa Group Ltd40,3651,070
Barclays Africa Group Ltd40,3651,070
Barclays Africa Group Ltd40,3651,070
Cypress Semiconductor Corporation71,5341,068
Cypress Semiconductor Corporation71,5341,068
Alexandria Real Estate Equities7,4871,067
Alexandria Real Estate Equities7,4871,067
Alexandria Real Estate Equities7,4871,067
Alexandria Real Estate Equities7,4871,067
Alexandria Real Estate Equities7,4871,067
Gramercy Capital Corp35,2251,066
Hercules Technology Growth Capital84,0411,064
MICRO IMAGING TECHNOLOGY, INC.14,6821,060
Lattice Inc.37,3421,060
Versum Materials, Inc.27,2921,059
First Trust Energy Income and Growth Fund73,6621,057
CBRE Clarion Global Real Estate Income Fund140,6461,056
BlackRock Kelso Capital Corporation174,9691,056
BlackRock Kelso Capital Corporation174,9691,056
CBRE Clarion Global Real Estate Income Fund140,6461,056
BlackRock Kelso Capital Corporation174,9691,056
CBRE Clarion Global Real Estate Income Fund140,6461,056
CBRE Clarion Global Real Estate Income Fund140,6461,056
CBRE Clarion Global Real Estate Income Fund140,6461,056
BlackRock Kelso Capital Corporation174,9691,056
BlackRock Kelso Capital Corporation174,9691,056
CBRE Clarion Global Real Estate Income Fund140,6461,056
BlackRock Kelso Capital Corporation174,9691,056
DCP Holding CO35,9701,055
DCP Holding CO35,9701,055
Arkansas Casino, Corp.20,2661,055
Arkansas Casino, Corp.20,2661,055
Arkansas Casino, Corp.20,2661,055
Arkansas Casino, Corp.20,2661,055
Arkansas Casino, Corp.20,2661,055
Arkansas Casino, Corp.20,2661,055
DCP Holding CO35,9701,055
Hewlett Packard Enterprise Co70,2781,055
DCP Holding CO35,9701,055
Hewlett Packard Enterprise Co70,2781,055
DCP Holding CO35,9701,055
DCP Holding CO35,9701,055
CBRE Clarion Global Real Estate Income Fund141,0271,053
Avangrid, Inc.20,9521,053
IDEXX Laboratories6,7741,053
Avangrid, Inc.20,9521,053
Avangrid, Inc.20,9521,053
CBRE Clarion Global Real Estate Income Fund141,0271,053
CoreSite Realty Corporation9,4071,053
PennantPark Investment Corporation140,2231,053
Blackstone GSO Long Short Credit Income Fund109,3211,051
Blackstone GSO Long Short Credit Income Fund109,3211,051
CBRE Clarion Global Real Estate Income Fund133,1481,051
Blackstone GSO Long Short Credit Income Fund109,3211,051
Blackstone GSO Long Short Credit Income Fund109,3211,051
Blackstone GSO Long Short Credit Income Fund109,3211,051
Blackstone GSO Long Short Credit Income Fund109,3211,051
Dex One Corporation7,0411,051
Dex One Corporation7,0411,051
Dex One Corporation7,0411,051
Dex One Corporation7,0411,051
Buckle47,3851,050
Blackrock Diversified Income Strategies Fund15,1761,049
Monroe Capital73,1011,046
Aareal Bank AG23,2471,044
Aareal Bank AG23,2471,044
BlackRock Municipal Income Trust II73,9601,043
BlackRock Municipal Income Trust II73,9601,043
Aspen Pharmacare Holdings plc7,1351,043
BlackRock Municipal Income Trust II73,9601,043
Calamos Convertible Opportunities and Income Fund90,3801,042
Simpson Manufacturing Company21,2071,040
Avangrid, Inc.19,9831,039
Coupa Software8,0501,039
Coupa Software8,0501,039
Avangrid, Inc.19,9831,039
Coupa Software8,0501,039
Coupa Software8,0501,039
Select Income REIT44,2991,039
Avangrid, Inc.19,9831,039
Coupa Software8,0501,039
Avangrid, Inc.19,9831,039
Avangrid, Inc.19,9831,039
Coupa Software8,0501,039
Avangrid, Inc.19,9831,039
Avangrid, Inc.19,9831,039
First Trust Exchange-Traded Fund II First Trust ISE Global Cop48,0741,038
First Trust Exchange-Traded Fund II First Trust ISE Global Cop48,0741,038
Gramercy Property Trust, Inc.34,3161,038
American International Group19,4201,037
American International Group19,4201,037
American International Group19,4201,037
American International Group19,4201,037
Eaton Vance Corporation78,6531,037
American International Group19,4201,037
American International Group19,4201,037
Eaton Vance Corporation78,6531,037
Alexandria Real Estate Equities7,3411,036
Alexandria Real Estate Equities7,3411,036
Alexandria Real Estate Equities7,3411,036
East West Petroleum Corp.23,3831,036
East West Petroleum Corp.23,3831,036
East West Petroleum Corp.23,3831,036
East West Petroleum Corp.23,3831,036
Alexandria Real Estate Equities7,3411,036
Alexandria Real Estate Equities7,3411,036
Alexandria Real Estate Equities7,3411,036
Farmland Partners Inc.161,7211,035
Farmland Partners Inc.161,7211,035
American Capital Senior Floating92,6981,033
Invesco Van Kampen Dynamic Credit Opportunities Fund75,5761,033
Invesco Van Kampen Dynamic Credit Opportunities Fund75,5761,033
American Capital Senior Floating92,6981,033
Blackrock MuniYield California Fund76,6451,032
Apollo Senior Floating Rate Fund Inc.57,4091,032
Highlands Pacific Ltd.74,5851,032
Highlands Pacific Ltd.74,5851,032
Apollo Senior Floating Rate Fund Inc.57,4091,032
Blackrock MuniYield California Fund76,6451,032
First Trust Exchange-Traded Fund II First Trust ISE Global Cop46,5131,031
BEYOND MEAT, INC.6,9451,031
First Trust Exchange-Traded Fund II First Trust ISE Global Cop46,5131,031
First Trust Exchange-Traded Fund II First Trust ISE Global Cop46,5131,031
Ashford Inc32,4411,031
Ashford Inc32,4411,031
BEYOND MEAT, INC.6,9451,031
Cintas Corporation7,1451,031
Ashford Inc32,4411,031
First Trust Exchange-Traded Fund II First Trust ISE Global Cop46,5131,031
Ashford Inc32,4411,031
Ashford Inc32,4411,031
BEYOND MEAT, INC.6,9451,031
BEYOND MEAT, INC.6,9451,031
BEYOND MEAT, INC.6,9451,031
BEYOND MEAT, INC.6,9451,031
BEYOND MEAT, INC.6,9451,031
Ashford Inc32,4411,031
First Trust Exchange-Traded Fund II First Trust ISE Global Cop46,5131,031
Covanta Holding Corporation59,6121,030
Covanta Holding Corporation59,6121,030
Covanta Holding Corporation59,6121,030
Covanta Holding Corporation59,6121,030
Arkansas Casino, Corp.21,1211,029
Arkansas Casino, Corp.21,1211,029
Arkansas Casino, Corp.21,1211,029
Arkansas Casino, Corp.21,1211,029
Arkansas Casino, Corp.21,1211,029
Arkansas Casino, Corp.21,1211,029
Arkansas Casino, Corp.21,1211,029
Covanta Holding Corporation57,7091,028
Covanta Holding Corporation57,7091,028
Covanta Holding Corporation57,7091,028
Covanta Holding Corporation57,7091,028
Covanta Holding Corporation57,7091,028
Covanta Holding Corporation57,7091,028
BlackRock Kelso Capital Corporation162,4371,027
Brown Forman Corporation18,6281,025
Brown Forman Corporation18,6281,025
Brown Forman Corporation18,6281,025
Brown Forman Corporation18,6281,025
Brown Forman Corporation18,6281,025
Brown Forman Corporation18,6281,025
Dunkin' Brands Group12,8681,024
Dunkin' Brands Group12,8681,024
Dunkin' Brands Group12,8681,024
Dunkin' Brands Group12,8681,024
Dunkin' Brands Group12,8681,024
Dunkin' Brands Group12,8681,024
iShares S&P Global Nuclear Index Fund30,1151,023
Cohen & Steers Total Return Realty Fund69,1251,022
iShares FTSE China (HK Listed) Index Fund23,2091,022
Cohen & Steers Total Return Realty Fund69,1251,022
Cohen & Steers Total Return Realty Fund69,1251,022
CH Energy Group22,0841,022
Cohen & Steers Total Return Realty Fund69,1251,022
Eaton Vance Senior Income Trust166,7771,021
Eaton Vance Senior Income Trust166,7771,021
Eaton Vance Senior Income Trust166,7771,021
Eaton Vance Senior Income Trust166,7771,021
Atmos Energy Corporation9,6651,020
First Trust Specialty Finance and Financial Opportunities Fund165,6001,020
Atmos Energy Corporation9,6651,020
Atmos Energy Corporation9,6651,020
BlackRock Kelso Capital Corporation135,9751,020
Atmos Energy Corporation9,6651,020
First Trust Specialty Finance and Financial Opportunities Fund165,6001,020
Atmos Energy Corporation9,6651,020
Atmos Energy Corporation9,6651,020
CSW INDUSTRIALS, INC.22,5991,018
Carmax Mining Corp.16,5271,018
Chimera Investment Corporation53,6711,015
Hercules Technology Growth Capital79,1761,015
Hercules Technology Growth Capital79,1761,015
Hercules Technology Growth Capital79,1761,015
Blackrock MuniYield Investment QualityFund73,0531,011
Blackrock MuniYield Investment QualityFund73,0531,011
Blackrock MuniYield Investment QualityFund73,0531,011
Blackrock MuniYield Investment QualityFund73,0531,011
Cohen & Steers Quality Income Realty Fund Inc78,9011,011
Blackrock MuniYield Investment QualityFund73,0531,011
Cohen & Steers Quality Income Realty Fund Inc78,9011,011
Blackrock MuniYield Investment QualityFund73,0531,011
Hollywall Entertainment Inc.20,3251,009
Allete13,9731,009
Allete13,9731,009
Arthur J. Gallagher & Co.12,9221,008
Cronos Group, Inc.111,2691,007
Cronos Group, Inc.111,2691,007
Cronos Group, Inc.111,2691,007
Apollo Senior Floating Rate Fund Inc.55,5821,007
Cronos Group, Inc.111,2691,007
Host Marriott Financial Trust55,2311,007
Hartford Financial Services Group20,2771,007
Host Marriott Financial Trust55,2311,007
Covanta Holding Corporation58,0961,006
The AES Corporation61,5901,006
The AES Corporation61,5901,006
The AES Corporation61,5901,006
The AES Corporation61,5901,006
The AES Corporation61,5901,006
The AES Corporation61,5901,006
Covanta Holding Corporation58,0961,006
The AES Corporation61,5901,006
Hollywall Entertainment Inc.27,8701,005
Blackstone GSO Long Short Credit Income Fund62,7221,005
BlackRock 2022 Global Income Opportunity Trust71,1231,005
CAM Group, Inc.20,4881,005
Ares Dynamic Credit Allocation Fund, Inc.67,5751,003
Ares Dynamic Credit Allocation Fund, Inc.67,5751,003
Ares Dynamic Credit Allocation Fund, Inc.67,5751,003
eBay Inc.26,0381,001
Brown Forman Corporation18,726999
B Communications Ltd.21,266996
Arconic38,506995
Cheniere Energy22,041994
Eaton Vance Floating-Rate Income Plus Fund59,866994
Atmos Energy Corporation9,671993
Atmos Energy Corporation9,671993
Atmos Energy Corporation9,671993
East West Bancorp16,603992
Randgold Resources Ltd.57,223991
Randgold Resources Ltd.57,223991
Alteryx, Inc.9,219991
Alteryx, Inc.9,219991
Randgold Resources Ltd.57,223991
Randgold Resources Ltd.57,223991
Randgold Resources Ltd.57,223991
Randgold Resources Ltd.57,223991
Alteryx, Inc.9,219991
Alteryx, Inc.9,219991
Alteryx, Inc.9,219991
Randgold Resources Ltd.57,223991
Pinnacle West Capital Corporation11,709991
Alteryx, Inc.9,219991
Alteryx, Inc.9,219991
Lattice Semiconductor Corporation48,411989
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF16,248988
CBIZ58,806988
Sirius XM Radio Inc.178,472987
Franklin Universal Trust135,772987
American International Group17,677984
American International Group17,677984
American International Group17,677984
American International Group17,677984
American International Group17,677984
American International Group17,677984
American International Group17,677984
Vertex Pharmaceuticals Incorporated6,455983
Erie Indemnity Company5,500982
Erie Indemnity Company5,500982
CoreSite Realty Corporation8,035979
CoreSite Realty Corporation8,035979
Whirlpool Corporation5,308979
CoreSite Realty Corporation8,035979
CoreSite Realty Corporation8,035979
Seabridge Gold80,024976
CBRE Clarion Global Real Estate Income Fund123,299976
CBRE Clarion Global Real Estate Income Fund123,299976
The Graystone Company, Inc.7,693976
CBRE Clarion Global Real Estate Income Fund123,299976
CBRE Clarion Global Real Estate Income Fund123,299976
CBRE Clarion Global Real Estate Income Fund123,299976
The Graystone Company, Inc.7,693976
Avangrid, Inc.19,318975
Avangrid, Inc.19,318975
Avangrid, Inc.19,318975
Avangrid, Inc.19,318975
Avangrid, Inc.19,318975
Avangrid, Inc.19,318975
Therapy Cells, Inc.19,981974
Arconic42,396974
Arconic42,396974
Coca Cola Icecek Sanayi As23,393973
Deutsche Bank AG41,624972
Hasbro11,415971
HSBC Holdings plc23,242970
HSBC Holdings plc23,242970
HSBC Holdings plc23,242970
Fifth Street Senior Floating Rate110,066969
Invesco Van Kampen Senior Income Trust86,302964
Invesco Van Kampen Senior Income Trust86,302964
Everett SpinCo, Inc.14,953963
Everett SpinCo, Inc.14,953963
SunTrust Banks16,084961
VirnetX Holding Corp245,986960
Apollo Global Management25,386959
Apollo Global Management25,386959
Robo 3D Ltd.25,008959
Robo 3D Ltd.25,008959
Apollo Global Management25,386959
Apollo Global Management25,386959
Apollo Global Management25,386959
Apollo Global Management25,386959
Apollo Global Management25,386959
Robo 3D Ltd.25,008959
Domino's Pizza Inc3,918958
Eaton Vance Short Diversified Income Fund73,653958
ESSENTIAL PROPERTIES REALTY TRUST, INC.41,794958
Eaton Vance Short Diversified Income Fund73,653958
ESSENTIAL PROPERTIES REALTY TRUST, INC.41,794958
Domino's Pizza Inc3,918958
Domino's Pizza Inc3,918958
ESSENTIAL PROPERTIES REALTY TRUST, INC.41,794958
Eaton Vance Short Diversified Income Fund73,653958
Domino's Pizza Inc3,918958
Eaton Vance Short Diversified Income Fund73,653958
EXACT Sciences Corporation8,102956
EXACT Sciences Corporation8,102956
CBRE Clarion Global Real Estate Income Fund130,704956
EXACT Sciences Corporation8,102956
EXACT Sciences Corporation8,102956
EXACT Sciences Corporation8,102956
EXACT Sciences Corporation8,102956
Hollywall Entertainment Inc.20,562953
Prologis, Inc.15,034953
Hollywall Entertainment Inc.20,562953
CSW INDUSTRIALS, INC.21,474952
The Middleby Corporation7,411950
Guggenheim Strategic Opportunities Fund44,611950
Barclays Africa Group Ltd35,635948
Barclays Africa Group Ltd35,635948
Barclays Africa Group Ltd35,635948
Electronic Arts Inc.8,037947
Goldman Sachs MLP Income Opportunities Fund156,658947
Calamos Global Dynamic Income Fund105,419947
Goldman Sachs MLP Income Opportunities Fund156,658947
Goldman Sachs MLP Income Opportunities Fund156,658947
APPIAN CORP19,897946
APPIAN CORP19,897946
APPIAN CORP19,897946
APPIAN CORP19,897946
APPIAN CORP19,897946
APPIAN CORP19,897946
APPIAN CORP19,897946
Eaton Vance Short Diversified Income Fund66,373945
NXP Semiconductors N.V.8,339943
BlackRock Credit Allocation Income Trust I69,277940
BlackRock Kelso Capital Corporation155,861940
Nuveen Diversified Dividend and Income Fund73,075940
Snap Inc64,577939
The Cushing Royalty & Income Fund55,454937
The Cushing Royalty & Income Fund55,454937
United Bank for Africa Plc23,354935
FAMOUS DAVES OF AMERICA INC 12,561933
FAMOUS DAVES OF AMERICA INC 12,561933
FAMOUS DAVES OF AMERICA INC 12,561933
Crown Cork & Seal Company14,107932
Crown Cork & Seal Company14,107932
Crown Cork & Seal Company14,107932
Crown Cork & Seal Company14,107932
Cara Therapeutics43,247931
IQE Plc34,490931
Cara Therapeutics43,247931
First Priority Tax Solutions Inc.35,293931
Cara Therapeutics43,247931
Consolidated Water Co. Ltd.72,765931
First Priority Tax Solutions Inc.35,293931
Cara Therapeutics43,247931
Cara Therapeutics43,247931
Cara Therapeutics43,247931
Calamos Convertible and High Income Fund79,588930
Agnico Eagle Mines20,573930
Nuveen Real Asset Income and Growth Fund51,639929
Diamondback Energy9,488929
AmerisourceBergen Corporation (Holding Co)11,247927
AmerisourceBergen Corporation (Holding Co)11,247927
AmerisourceBergen Corporation (Holding Co)11,247927
AmerisourceBergen Corporation (Holding Co)11,247927
AmerisourceBergen Corporation (Holding Co)11,247927
AmerisourceBergen Corporation (Holding Co)11,247927
AmerisourceBergen Corporation (Holding Co)11,247927
First Trust NASDAQ-100 Equal Weighted Index Fund13,876926
Wright Express Corporation10,936926
Blackstone GSO Senior Floating Rate Term Fund50,123926
First Trust NASDAQ-100 Equal Weighted Index Fund13,876926
First Trust NASDAQ-100 Equal Weighted Index Fund13,876926
First Trust NASDAQ-100 Equal Weighted Index Fund13,876926
First Trust NASDAQ-100 Equal Weighted Index Fund13,876926
First Trust NASDAQ-100 Equal Weighted Index Fund13,876926
Blackstone GSO Senior Floating Rate Term Fund50,123926
Wright Express Corporation10,936926
Wright Express Corporation10,936926
Goldman Sachs MLP Income Opportunities Fund149,869925
Dell Technologies Inc.15,712924
Dell Technologies Inc.15,712924
Exchange Bank (Santa Rosa, CA)30,074923
Exchange Bank (Santa Rosa, CA)30,074923
Exchange Bank (Santa Rosa, CA)30,074923
Entertainment Arts Research, Inc.12,385921
Cohen & Steers Total Return Realty Fund65,310921
Cohen & Steers Total Return Realty Fund65,310921
Cohen & Steers Total Return Realty Fund65,310921
Entertainment Arts Research, Inc.12,385921
Gabelli Dividend41,132921
Entertainment Arts Research, Inc.12,385921
Entertainment Arts Research, Inc.12,385921
Entertainment Arts Research, Inc.12,385921
Cohen & Steers Total Return Realty Fund65,310921
Cohen & Steers Total Return Realty Fund65,310921
Entertainment Arts Research, Inc.12,385921
Cohen & Steers Total Return Realty Fund65,310921
Blackrock MuniYield Investment QualityFund70,006920
Mdu Res Group Inc35,420920
Blackrock MuniYield Investment QualityFund70,006920
Vicor Corporation38,962919
MFS Multimarket Income Trust147,408919
Ingersoll-Rand plc (Ireland)10,279918
Brown Forman Corporation17,926917
Dex One Corporation6,168917
Dex One Corporation6,168917
Dex One Corporation6,168917
Hewlett Packard Enterprise Co62,415917
Dex One Corporation6,168917
Dex One Corporation6,168917
Dex One Corporation6,168917
Brown Forman Corporation17,926917
Air Lease Corporation22,183916
Air Lease Corporation22,183916
Air Lease Corporation22,183916
Air Lease Corporation22,183916
Air Lease Corporation22,183916
Air Lease Corporation22,183916
Cleveland BioLabs85,649912
Cleveland BioLabs85,649912
Cleveland BioLabs85,649912
Cleveland BioLabs85,649912
Cleveland BioLabs85,649912
Cleveland BioLabs85,649912
Equity Residential10,553911
BlackRock Kelso Capital Corporation181,877911
BlackRock Kelso Capital Corporation181,877911
BlackRock Kelso Capital Corporation181,877911
BlackRock Kelso Capital Corporation181,877911
Ares Dynamic Credit Allocation Fund, Inc.55,511911
Equity Residential10,553911
Equity Residential10,553911
BlackRock Kelso Capital Corporation181,877911
Nuveen California Dividend Advantage Municipal Fund76,956910
EXACT Sciences Corporation10,060910
EXACT Sciences Corporation10,060910
EXACT Sciences Corporation10,060910
Eaton Vance Corporation68,814909
Comerica Incorporated12,385909
Hawaiian Telcom Holdco, Inc.7,854909
Eaton Vance Corporation68,814909
Eaton Vance Corporation68,814909
American Capital Senior Floating79,022909
Comerica Incorporated12,385909
Eaton Vance Corporation68,814909
EMERGING CTA PORTFOLIO LP18,501907
Northern Trust Corporation19,738906
Evans Brewing Co Inc.76,209903
Braemar Seascope Group Plc.91,210903
Erie Indemnity Company4,868903
Braemar Seascope Group Plc.91,210903
GGX Gold Corp.78,918903
Erie Indemnity Company4,868903
Erie Indemnity Company4,868903
Braemar Seascope Group Plc.91,210903
Braemar Seascope Group Plc.91,210903
Braemar Seascope Group Plc.91,210903
Buckeye Technologies24,151903
Braemar Seascope Group Plc.91,210903
CBS Corporation18,015900
First Priority Tax Solutions Inc.33,079900
CBS Corporation18,015900
First Priority Tax Solutions Inc.33,079900
CBS Corporation18,015900
Air Lease Corporation21,510900
First Priority Tax Solutions Inc.33,079900
Air Lease Corporation21,510900
First Priority Tax Solutions Inc.33,079900
CBS Corporation18,015900
First Priority Tax Solutions Inc.33,079900
Air Lease Corporation21,510900
First Priority Tax Solutions Inc.33,079900
Air Lease Corporation21,510900
CBS Corporation18,015900
Air Lease Corporation21,510900
Air Lease Corporation21,510900
Air Lease Corporation21,510900
Charter Communications10,941900
Entertainment Arts Research, Inc.11,640898
FIRST FIXTURES, INC.34,769898
Entertainment Arts Research, Inc.11,640898
Comerica Incorporated12,349897
Comerica Incorporated12,349897
Comerica Incorporated12,349897
Comerica Incorporated12,349897
Carlisle Companies Incorporated8,590897
Comerica Incorporated12,349897
Comerica Incorporated12,349897
Franklin Universal Trust127,029894
Blackstone GSO Long Short Credit Income Fund55,928894
Wells Fargo Advantage Income Opportunities Fund102,186894
Evans Brewing Co Inc.92,203891
Evans Brewing Co Inc.92,203891
Evans Brewing Co Inc.92,203891
Evans Brewing Co Inc.92,203891
IDEX Corporation7,329891
Western Gas Partners17,308888
HSBC Holdings plc21,736886
Geo Group Inc (The)32,893885
Brookfield Incorporacoes SA64,384884
Brookfield Incorporacoes SA64,384884
Brookfield Incorporacoes SA64,384884
Brookfield Incorporacoes SA64,384884
Brookfield Incorporacoes SA64,384884
Franklin Universal Trust120,576883
Nustar Energy L.P.21,740883
Franklin Universal Trust120,576883
ANTERO RESOURCES Corp44,517883
ANTERO RESOURCES Corp44,517883
Franklin Universal Trust120,576883
Franklin Universal Trust120,576883
Ionis Pharmaceuticals17,387882
Evans Brewing Co Inc.89,906881
Evans Brewing Co Inc.89,906881
Evans Brewing Co Inc.89,906881
Evans Brewing Co Inc.89,906881
Evans Brewing Co Inc.89,906881
New Mountain Finance Corporation61,761881
Evans Brewing Co Inc.89,906881
Robo 3D Ltd.22,019880
Cardinal Health18,658880
Robo 3D Ltd.22,019880
Robo 3D Ltd.22,019880
Robo 3D Ltd.22,019880
Cardinal Health18,658880
Cardinal Health18,658880
Robo 3D Ltd.22,019880
Cardinal Health18,658880
Cardinal Health18,658880
Robo 3D Ltd.22,019880
Blackrock MuniVest Fund II76,553879
Guggenheim Equal Weight Enhanced Equity Income Fund40,850878
Evans Brewing Co Inc.89,832877
Dunkin' Brands Group11,667877
Dunkin' Brands Group11,667877
Evans Brewing Co Inc.89,832877
Barclays Bank PLC35,692876
Calamos Global Dynamic Income Fund107,934875
Calamos Global Dynamic Income Fund107,934875
Calamos Global Dynamic Income Fund107,934875
Calamos Global Dynamic Income Fund107,934875
Calamos Global Dynamic Income Fund107,934875
Calamos Global Dynamic Income Fund107,934875
First Trust NASDAQ-100 Equal Weighted Index Fund13,186875
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal13,360874
Solar Senior Capital Ltd.50,673874
Cognex Corporation17,170872
Cognex Corporation17,170872
GW Pharmaceuticals5,049871
GW Pharmaceuticals5,049871
GW Pharmaceuticals5,049871
GW Pharmaceuticals5,049871
Independence Holding Company85,476870
Allete10,451869
Allete10,451869
Banco Santander Brasil SA72,266869
CF Industries Holdings24,678869
Allete10,451869
Allete10,451869
Banco Santander Brasil SA72,266869
Allete10,451869
Avista Corporation16,795869
Buckle51,571869
Allete10,451869
Eaton Vance Corporation64,483868
Eaton Vance Corporation64,483868
Eaton Vance Corporation64,483868
Eaton Vance Corporation64,483868
PACCAR Inc.12,006868
Eaton Vance Corporation64,483868
Eaton Vance Corporation64,483868
Alliance National Municipal Income Fund Inc62,041866
Advanced Micro Devices86,250866
APPIAN CORP24,130866
Advanced Micro Devices86,250866
APPIAN CORP24,130866
APPIAN CORP24,130866
APPIAN CORP24,130866
APPIAN CORP24,130866
APPIAN CORP24,130866
Sappi Limited7,886865
Equity Residential13,128865
Anadarko Petroleum Corporation14,317865
Cara Therapeutics44,131865
Anadarko Petroleum Corporation14,317865
Cara Therapeutics44,131865
Therapy Cells, Inc.17,018863
Multi-Strategy Growth & Income Fund28,870863
Cleveland BioLabs86,734863
Cleveland BioLabs86,734863
Dell Technologies Inc.16,610862
Dell Technologies Inc.16,610862
Dell Technologies Inc.16,610862
Dell Technologies Inc.16,610862
Ameren Illinois Company14,888861
Amarin Corporation PLC56,864861
Amarin Corporation PLC56,864861
Amarin Corporation PLC56,864861
Markel Corporation806861
Amarin Corporation PLC56,864861
Amarin Corporation PLC56,864861
Amarin Corporation PLC56,864861
Amarin Corporation PLC56,864861
BlackRock Credit Allocation Income Trust I66,242860
BlackRock Credit Allocation Income Trust I66,242860
BlackRock Credit Allocation Income Trust I66,242860
BlackRock Credit Allocation Income Trust I66,242860
BlackRock Credit Allocation Income Trust I66,242860
Eaton Vance Floating-Rate Income Plus Fund58,010860
BlackRock Credit Allocation Income Trust I66,242860
Eaton Vance Floating-Rate Income Plus Fund58,010860
Bouygues 41,364859
Bouygues 41,364859
Bouygues 41,364859
Bouygues 41,364859
Bouygues 41,364859
Bouygues 41,364859
BlackRock Resources104,882858
BlackRock Resources104,882858
BlackRock Resources104,882858
BlackRock Resources104,882858
BlackRock Resources104,882858
BlackRock Resources104,882858
Deutsche Annington Immobilien SE31,598857
CoStar Group1,546857
CoStar Group1,546857
CoStar Group1,546857
CoStar Group1,546857
CoStar Group1,546857
CoStar Group1,546857
Braemar Seascope Group Plc.91,174856
Braemar Seascope Group Plc.91,174856
Braemar Seascope Group Plc.91,174856
Bank of Commerce Holdings (CA)74,419856
Braemar Seascope Group Plc.91,174856
Braemar Seascope Group Plc.91,174856
Robo 3D Ltd.22,053854
Ultra Clean Holdings27,897854
Robo 3D Ltd.22,053854
CoStar Group1,442853
BioTelemetry, Inc.17,728853
CoStar Group1,442853
First Colombia Development Corp.68,205853
CoStar Group1,442853
BioTelemetry, Inc.17,728853
BioTelemetry, Inc.17,728853
First Colombia Development Corp.68,205853
BioTelemetry, Inc.17,728853
First Colombia Development Corp.68,205853
CoStar Group1,442853
BioTelemetry, Inc.17,728853
First Colombia Development Corp.68,205853
BioTelemetry, Inc.17,728853
First Colombia Development Corp.68,205853
Arkose Energy Corp.25,871852
Arkose Energy Corp.25,871852
Arkose Energy Corp.25,871852
Arkose Energy Corp.25,871852
Arkose Energy Corp.25,871852
ProAssurance Corporation15,570851
Stargaze Entertainment Group Inc.5,447851
Metals X, Ltd.26,407850
FNB United Corp.71,748847
Omnicom Group Inc.11,427847
FNB United Corp.71,748847
FNB United Corp.71,748847
FNB United Corp.71,748847
FNB United Corp.71,748847
FNB United Corp.71,748847
BCSB Bancorp115,132845
BCSB Bancorp115,132845
Defiance Silver Corp.34,508845
BCSB Bancorp115,132845
BCSB Bancorp115,132845
Defiance Silver Corp.34,508845
BCSB Bancorp115,132845
BCSB Bancorp115,132845
BCSB Bancorp115,132845
Defiance Silver Corp.34,508845
Defiance Silver Corp.34,508845
BHP Billiton Limited14,489843
Apollo Global Management29,855843
Apollo Global Management29,855843
Apollo Global Management29,855843
BHP Billiton Limited14,489843
Spectra Energy Partners18,979843
BHP Billiton Limited14,489843
BHP Billiton Limited14,489843
BHP Billiton Limited14,489843
BHP Billiton Limited14,489843
Tesco PLC13,319842
Total Energy Services Inc.12,852842
Balsam Ventures, Inc.54,044841
Calamos Global Dynamic Income Fund107,451840
Calamos Global Dynamic Income Fund107,451840
Calamos Global Dynamic Income Fund107,451840
Calamos Global Dynamic Income Fund107,451840
ETFS Gold Trust6,770840
Calamos Global Dynamic Income Fund107,451840
Bloom Energy Corp68,412839
Bloom Energy Corp68,412839
Bloom Energy Corp68,412839
Bloom Energy Corp68,412839
Bloom Energy Corp68,412839
Bloom Energy Corp68,412839
Cedar Fair17,586838
Cedar Fair17,586838
Cedar Fair17,586838
The Cushing Royalty & Income Fund59,531838
The Cushing Royalty & Income Fund59,531838
The Cushing Royalty & Income Fund59,531838
Cedar Fair17,586838
Cedar Fair17,586838
The Cushing Royalty & Income Fund59,531838
The Cushing Royalty & Income Fund59,531838
Cedar Fair17,586838
The Cushing Royalty & Income Fund59,531838
Cracker Barrel Old Country Store4,910837
Cracker Barrel Old Country Store4,910837
Cracker Barrel Old Country Store4,910837
Cracker Barrel Old Country Store4,910837
Cracker Barrel Old Country Store4,910837
Cracker Barrel Old Country Store4,910837
AGIC Equity & Convertible Income Fund38,749836
AGIC Equity & Convertible Income Fund38,749836
AGIC Equity & Convertible Income Fund38,749836
AGIC Equity & Convertible Income Fund38,749836
AGIC Equity & Convertible Income Fund38,749836
AGIC Equity & Convertible Income Fund38,749836
AGIC Equity & Convertible Income Fund38,749836
Masimo Corporation9,650835
Eastman Chemical Company10,645833
Eastman Chemical Company10,645833
AGIC Equity & Convertible Income Fund38,385833
AGIC Equity & Convertible Income Fund38,385833
Eastman Chemical Company10,645833
AGIC Equity & Convertible Income Fund38,385833
Eastman Chemical Company10,645833
AGIC Equity & Convertible Income Fund38,385833
Eastman Chemical Company10,645833
Eastman Chemical Company10,645833
AGIC Equity & Convertible Income Fund38,385833
AGIC Equity & Convertible Income Fund38,385833
Calamos Global Dynamic Income Fund103,896832
Concho Resources Inc.12,260832
Dreyfus Municipal Bond Infrastructure Fund, Inc.107,676832
Albero Corp.11,966832
Concho Resources Inc.12,260832
Albero Corp.11,966832
Albero Corp.11,966832
Albero Corp.11,966832
Concho Resources Inc.12,260832
Concho Resources Inc.12,260832
Dreyfus Municipal Bond Infrastructure Fund, Inc.107,676832
Albero Corp.11,966832
Albero Corp.11,966832
Albero Corp.11,966832
Calamos Global Dynamic Income Fund103,896832
Avista Corporation16,211830
Avista Corporation16,211830
ACADIA Pharmaceuticals Inc.23,018829
ACADIA Pharmaceuticals Inc.23,018829
Exchange Bankshares, Inc.46,581829
ACADIA Pharmaceuticals Inc.23,018829
ACADIA Pharmaceuticals Inc.23,018829
Exchange Bankshares, Inc.46,581829
Exchange Bankshares, Inc.46,581829
ACADIA Pharmaceuticals Inc.23,018829
ACADIA Pharmaceuticals Inc.23,018829
ACADIA Pharmaceuticals Inc.23,018829
Chatham Lodging Trust (REIT)43,078828
Chatham Lodging Trust (REIT)43,078828
Eaton Vance Tax-Advantage Global Dividend Opp69,555827
Eaton Vance Tax-Advantage Global Dividend Opp69,555827
BlackRock Municipal Target Term Trust Inc. (The)34,950827
BlackRock Municipal Target Term Trust Inc. (The)34,950827
Eaton Vance Tax-Advantage Global Dividend Opp69,555827
BlackRock Municipal Target Term Trust Inc. (The)34,950827
BlackRock Municipal Target Term Trust Inc. (The)34,950827
Eaton Vance Tax-Advantage Global Dividend Opp69,555827
BlackRock Municipal Target Term Trust Inc. (The)34,950827
American Airlines Group25,767826
American Airlines Group25,767826
American Airlines Group25,767826
American Airlines Group25,767826
South Jersey Industries23,878825
Cardinal Health12,312825
ANTERO RESOURCES Corp41,392824
Quest Management Inc.8,780823
Western Asset Global High Income Fund Inc79,972823
Continental Resources19,514821
Fortune Brands Home & Security14,364821
Fortune Brands Home & Security14,364821
Fortune Brands Home & Security14,364821
Continental Resources19,514821
Continental Resources19,514821
Fortune Brands Home & Security14,364821
Continental Resources19,514821
Continental Resources19,514821
Continental Resources19,514821
CBS Corporation17,231819
CBS Corporation17,231819
Invesco Van Kampen High Income Corporate Bond Fund182,461818
Apollo Investment Corporation156,524816
B Communications Ltd.18,963816
B Communications Ltd.18,963816
Apollo Investment Corporation156,524816
Cracker Barrel Old Country Store5,043814
Cracker Barrel Old Country Store5,043814
Carlisle Companies Incorporated8,110814
Apollo Investment Corporation132,977813
Fidelity National Financial30,054813
ENERGY TRANSFER PARTNERS44,521813
Five Below6,531812
First Trust32,851812
Skechers U.S.A.32,383812
Cabo Verde Capital Inc.31,560811
Steel Partners Holdings LP23,303811
Cabo Verde Capital Inc.31,560811
Five Below6,658810
Blackrock Floating Rate Income Strategies Fund Inc63,141810
Five Below6,658810
Five Below6,658810
Blackrock Floating Rate Income Strategies Fund Inc63,141810
Five Below6,658810
Blackrock Floating Rate Income Strategies Fund Inc63,141810
Blackrock Floating Rate Income Strategies Fund Inc63,141810
Five Below6,658810
Blackrock Floating Rate Income Strategies Fund Inc63,141810
Blackrock Floating Rate Income Strategies Fund Inc63,141810
Agnico Eagle Mines19,264809
Hubbell6,207809
Agnico Eagle Mines19,264809
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd83,142809
Hubbell6,207809
Centenera Mng Corp.7,605808
Invesco Van Kampen California Value Municipal Income Trust60,234807
Canadian Pacific Railway Limited3,414807
Canadian Pacific Railway Limited3,414807
Canadian Pacific Railway Limited3,414807
Canadian Pacific Railway Limited3,414807
Canadian Pacific Railway Limited3,414807
Canadian Pacific Railway Limited3,414807
CSW INDUSTRIALS, INC.11,677806
CSW INDUSTRIALS, INC.11,677806
CSW INDUSTRIALS, INC.11,677806
Goldman Sachs MLP Income Opportunities Fund107,149806
CSW INDUSTRIALS, INC.11,677806
CSW INDUSTRIALS, INC.11,677806
Hecla Mining Company153,683805
Allete9,198804
Allete9,198804
Gildan Activewear22,362804
Allete9,198804
Allete9,198804
Allete9,198804
Allete9,198804
Allete9,198804
Host Marriott Financial Trust43,391802
Anadarko Petroleum Corporation17,583801
Anadarko Petroleum Corporation17,583801
Anadarko Petroleum Corporation17,583801
Anadarko Petroleum Corporation17,583801
First Sentry Bancshares Inc.12,163799
First Sentry Bancshares Inc.12,163799
First Sentry Bancshares Inc.12,163799
First Sentry Bancshares Inc.12,163799
First Sentry Bancshares Inc.12,163799
First Sentry Bancshares Inc.12,163799
Vail Resorts3,497798
Preferred Plus Trust Ser QWS 2 Tr Ctf42,269798
Global Payments Inc.5,846798
Blackrock MuniYield Fund59,601797
Duff & Phelps Corporation49,131797
Blackrock MuniYield Fund59,601797
CSW INDUSTRIALS, INC.11,676796
Everett SpinCo, Inc.14,166796
CSW INDUSTRIALS, INC.11,676796
Everett SpinCo, Inc.14,166796
Everett SpinCo, Inc.14,166796
Everett SpinCo, Inc.14,166796
CSW INDUSTRIALS, INC.11,676796
Everett SpinCo, Inc.14,166796
CSW INDUSTRIALS, INC.11,676796
Everett SpinCo, Inc.14,166796
CSW INDUSTRIALS, INC.11,676796
CSW INDUSTRIALS, INC.11,676796
Cognex Corporation15,331795
Nustar GP Holdings36,090795
KeyCorp42,242795
ITE Group Plc.13,212793
Duke Realty Corporation27,464791
FNB United Corp.68,545790
First Trust NASDAQ-100-Technology Sector Index Fund28,386790
FNB United Corp.68,545790
Workday7,492790
FNB United Corp.68,545790
FireEye Inc53,151789
FireEye Inc53,151789
Gimv Nv Act.117,132789
Potomac Bancshares, Inc.41,021789
Cenovus Energy Inc78,792789
FireEye Inc53,151789
Invesco Municipal Income Opportunities Trust99,970789
FireEye Inc53,151789
FireEye Inc53,151789
FireEye Inc53,151789
AeroVironment11,517788
AeroVironment11,517788
AeroVironment11,517788
AeroVironment11,517788
AeroVironment11,517788
Albero Corp.11,180787
AeroVironment14,692787
Exchange Bankshares, Inc.43,889787
Exchange Bankshares, Inc.43,889787
AeroVironment14,692787
Franklin Resources17,677787
Exchange Bankshares, Inc.43,889787
Albero Corp.11,180787
Albero Corp.11,180787
Exchange Bankshares, Inc.43,889787
Albero Corp.11,180787
Albero Corp.11,180787
AeroVironment14,692787
Exchange Bankshares, Inc.43,889787
Exchange Bankshares, Inc.43,889787
Albero Corp.11,180787
AeroVironment14,692787
AeroVironment14,692787
AeroVironment14,692787
AeroVironment14,692787
Ashford Inc32,441786
Ashford Inc32,441786
Ashford Inc32,441786
Ashford Inc32,441786
Ashford Inc32,441786
Ashford Inc32,441786
Ashford Inc32,441786
Air Lease Corporation22,881785
Air Lease Corporation22,881785
BlackRock Resources95,932785
Air Lease Corporation22,881785
BlackRock Resources95,932785
Air Lease Corporation22,881785
Air Lease Corporation22,881785
Advanced Micro Devices61,588784
Geo Group Inc (The)37,444784
Geo Group Inc (The)37,444784
Geo Group Inc (The)37,444784
Power REIT123,695784
Geo Group Inc (The)37,444784
Flaherty & Crumrine/Claymore Total Return Fund Inc29,447781
Equity Residential10,340780
Equity Residential10,340780
Calamos Dynamic Convertible & Income Fund38,689779
Calamos Dynamic Convertible & Income Fund38,689779
VOYA INSURANCE & ANNUITY CO.149,009779
Calamos Dynamic Convertible & Income Fund38,689779
Calamos Dynamic Convertible & Income Fund38,689779
Calamos Dynamic Convertible & Income Fund38,689779
Calamos Dynamic Convertible & Income Fund38,689779
Palo Alto Networks5,411779
BHP Billiton Limited14,237778
BHP Billiton Limited14,237778
BHP Billiton Limited14,237778
Kayne Anderson Energy Total Return Fund69,800777
EMCOR Group11,202777
CBS Corporation15,147776
Aercap Holdings N.V.15,185776
Apple Green Holding, Inc.41,043776
NFJ Dividend62,366774
NFJ Dividend62,366774
American Airlines Group23,733774
American Airlines Group23,733774
American Airlines Group23,733774
NFJ Dividend62,366774
NFJ Dividend62,366774
American Airlines Group23,733774
American Airlines Group23,733774
NFJ Dividend62,366774
NFJ Dividend62,366774
American Airlines Group23,733774
AK Steel Holding Corporation138,281773
Dollar Tree6,777772
Dollar Tree6,777772
Dollar Tree6,777772
Dollar Tree6,777772
Consolidated Communications Holdings40,392771
FireEye Inc45,897771
FireEye Inc45,897771
Simon Property Group4,778770
Equity Residential10,114769
Equity Residential10,114769
Equity Residential10,114769
Equity Residential10,114769
Equity Residential10,114769
CoreSite Realty Corporation6,675769
Equity Residential10,114769
CoreSite Realty Corporation6,675769
CoreSite Realty Corporation6,675769
CoreSite Realty Corporation6,675769
CoreSite Realty Corporation6,675769
CoreSite Realty Corporation6,675769
EMCOR Group8,684768
EMCOR Group8,684768
EMCOR Group8,684768
American International Group17,708768
EMCOR Group8,684768
American International Group17,708768
EMCOR Group8,684768
American International Group17,708768
American International Group17,708768
EMCOR Group8,684768
Avangrid, Inc.15,060767
Avangrid, Inc.15,060767
EMCOR Group8,897766
EMCOR Group8,897766
AGIC Equity & Convertible Income Fund35,581766
AGIC Equity & Convertible Income Fund35,581766
AGIC Equity & Convertible Income Fund35,581766
Nuveen Municipal Value Fund56,296766
iShares Oil Sands Index ETF13,050766
AGIC Equity & Convertible Income Fund35,581766
FireEye Inc45,622766
EMCOR Group8,897766
AGIC Equity & Convertible Income Fund35,581766
Eastman Chemical Company10,355765
iShares S&P India Nifty 50 Index Fund22,411765
Eastman Chemical Company10,355765
Dollar Tree7,111765
GW Pharmaceuticals4,535765
Amarin Corporation PLC39,455765
Dollar Tree7,111765
Dollar Tree7,111765
Amarin Corporation PLC39,455765
Dollar Tree7,111765
Amarin Corporation PLC39,455765
Amarin Corporation PLC39,455765
Drillsearch NL8,015765
Eastman Chemical Company10,355765
Amarin Corporation PLC39,455765
Eastman Chemical Company10,355765
Dollar Tree7,111765
Drillsearch NL8,015765
Dollar Tree7,111765
Amarin Corporation PLC39,455765
Invesco Van Kampen High Income Corporate Bond Fund176,751764
Invesco Van Kampen High Income Corporate Bond Fund176,751764
Equity Commonwealth22,273763
Bouygues 40,358763
Bouygues 40,358763
Equity Commonwealth22,273763
Bouygues 40,358763
Bouygues 40,358763
Bouygues 40,358763
Bouygues 40,358763
Bouygues 40,358763
Equity Commonwealth22,273763
Franklin Ophthalmic Instruments Co., Inc.8,050762
Arkansas Casino, Corp.20,233762
Guggenheim Equal Weight Enhanced Equity Income Fund93,660762
Franklin Ophthalmic Instruments Co., Inc.8,050762
Guggenheim Equal Weight Enhanced Equity Income Fund93,660762
Franklin Ophthalmic Instruments Co., Inc.8,050762
Bank of Commerce Holdings (CA)65,419762
Guggenheim Equal Weight Enhanced Equity Income Fund93,660762
Bank of Commerce Holdings (CA)65,419762
Franklin Ophthalmic Instruments Co., Inc.8,050762
Amerco2,032761
CBS Corporation13,117761
Entertainment Arts Research, Inc.10,923761
Barrick Gold Corporation47,110760
Trimble Navigation Limited19,344760
APPIAN CORP22,036759
APPIAN CORP22,036759
APPIAN CORP22,036759
Coherent4,037758
Gentex Corporation30,851758
Gentex Corporation30,851758
Gentex Corporation30,851758
Gentex Corporation30,851758
EV Charging USA, Inc.45,907757
EV Charging USA, Inc.44,599757
EV Charging USA, Inc.44,599757
EV Charging USA, Inc.44,599757
EV Charging USA, Inc.45,907757
EV Charging USA, Inc.44,599757
EV Charging USA, Inc.44,599757
Dollar Tree7,206757
Dollar Tree7,206757
EV Charging USA, Inc.44,599757
BCSB Bancorp99,520756
BCSB Bancorp99,520756
BCSB Bancorp99,520756
BCSB Bancorp99,520756
BCSB Bancorp99,520756
BCSB Bancorp99,520756
HCA Holdings9,502756
Cognex Corporation15,744755
Cognex Corporation15,744755
Cognex Corporation15,744755
AllianzGI Diversified Income & Convertible Fund33,305755
American Premium Water Corporation49,513755
AllianzGI Diversified Income & Convertible Fund33,305755
Cognex Corporation15,744755
Cognex Corporation15,744755
Cognex Corporation15,744755
IPG Photonics Corporation4,070754
AeroVironment13,589753
Gildan Activewear19,448753
Gildan Activewear19,448753
AeroVironment13,589753
Gildan Activewear19,448753
Arthur J. Gallagher & Co.12,247753
BHP Billiton Limited16,934753
AeroVironment13,589753
AeroVironment13,589753
Gildan Activewear19,448753
BHP Billiton Limited16,934753
AeroVironment13,589753
AeroVironment13,589753
Esquire Financial Holdings, Inc.30,300751
BioMarin Pharmaceutical Inc.13,388751
Esquire Financial Holdings, Inc.30,300751
Esquire Financial Holdings, Inc.30,300751
BioMarin Pharmaceutical Inc.13,388751
BioMarin Pharmaceutical Inc.13,388751
Avista Corporation16,835750
Cohen & Steers Select Preferred and Income Fund25,378750
Avista Corporation16,835750
Cohen & Steers Select Preferred and Income Fund25,378750
Consolidated Plen Tech Electronics, Inc.44,262750
Avista Corporation16,835750
Cohen & Steers Select Preferred and Income Fund25,378750
Avista Corporation16,835750
Avista Corporation16,835750
Avista Corporation16,835750
Cohen & Steers Select Preferred and Income Fund25,378750
Agnico Eagle Mines17,231749
Agnico Eagle Mines17,231749
Burlington Stores Inc3,757749
Burlington Stores Inc3,757749
Agnico Eagle Mines17,231749
Burlington Stores Inc3,757749
Burlington Stores Inc3,757749
Agnico Eagle Mines17,231749
Agnico Eagle Mines17,231749
Burlington Stores Inc3,757749
Dover Corporation8,185748
Citrix Systems7,622747
Citrix Systems7,622747
Citrix Systems7,622747
Citrix Systems7,622747
Citrix Systems7,622747
Citrix Systems7,622747
Verisk Analytics8,969747
KBW Inc8,281746
Stag Industrial27,191746
Western Asset Mortgage Defined Opportunity Fund Inc53,255746
Blackstone GSO Long Short Credit Income Fund46,517745
Ashford Hospitality Trust Inc111,507744
Dex One Corporation6,238743
Dex One Corporation6,238743
Franco Nev Corp8,767742
Franco Nev Corp8,767742
Franco Nev Corp8,767742
Franco Nev Corp8,767742
Nemaura Medical Inc.19,701742
EMCOR Group8,621742
Blackrock Muni Intermediate Duration Fund Inc52,195741
Bluerock Residential Growth62,895741
Bluerock Residential Growth62,895741
Blackrock Muni Intermediate Duration Fund Inc52,195741
Blackrock Muni Intermediate Duration Fund Inc52,195741
Blackrock Muni Intermediate Duration Fund Inc52,195741
Bluerock Residential Growth62,895741
Blackrock Muni Intermediate Duration Fund Inc52,195741
Bluerock Residential Growth62,895741
Bluerock Residential Growth62,895741
Essex Property Trust2,262739
Essex Property Trust2,262739
Eaton Vance Floating-Rate Income Plus Fund49,263739
Eaton Vance Floating-Rate Income Plus Fund49,263739
Eaton Vance Floating-Rate Income Plus Fund49,263739
Eaton Vance Floating-Rate Income Plus Fund49,263739
Eaton Vance Floating-Rate Income Plus Fund49,263739
Eaton Vance Floating-Rate Income Plus Fund49,263739
Essex Property Trust2,262739
Hubbell6,255738
Credit Suisse Group61,583737
EV Charging USA, Inc.44,307737
Credit Suisse Group61,583737
EV Charging USA, Inc.44,307737
EV Charging USA, Inc.44,307737
Credit Suisse Group61,583737
Ishares Canadian Dex Universe Bond Index Fund7,710737
Credit Suisse Group61,583737
China Internet Cafe Holdings Group, Inc.12,942737
EV Charging USA, Inc.44,307737
Credit Suisse Group61,583737
Credit Suisse Group61,583737
Credit Suisse Group60,269736
Credit Suisse Group60,269736
Credit Suisse Group60,269736
Credit Suisse Group60,269736
Synchrony Financial23,717735
Jack Henry & Associates5,464735
Dell Technologies Inc.14,423735
Dell Technologies Inc.14,423735
Dell Technologies Inc.14,423735
Dell Technologies Inc.14,423735
Dell Technologies Inc.14,423735
Jack Henry & Associates5,464735
Jack Henry & Associates5,464735
Dell Technologies Inc.14,423735
Hospitality Properites Trust27,826734
Quintiles Transnational Holdings Inc7,720734
Expedition Mining Inc5,103734
Amplify Energy Corp.20,155734
NFJ Dividend59,945733
Blackrock Muni Intermediate Duration Fund Inc53,153733
Blackrock Muni Intermediate Duration Fund Inc53,153733
NFJ Dividend59,945733
NFJ Dividend59,945733
NFJ Dividend59,945733
NFJ Dividend59,945733
NFJ Dividend59,945733
NFJ Dividend59,945733
Envision Healthcare Holdings, Inc.16,282732
First American Minnesota Municipal Income Fund II14,623731
Blackrock Muni Intermediate Duration Fund Inc51,979730
Blackrock Muni Intermediate Duration Fund Inc51,979730
Huntsman Corporation35,643730
Blackrock Muni Intermediate Duration Fund Inc51,979730
Blackrock Muni Intermediate Duration Fund Inc51,979730
Taiwan Semiconductor Manufacturing Company Limited19,406730
Ameren Illinois Company12,900730
Ameren Illinois Company12,900730
Blackrock Muni Intermediate Duration Fund Inc51,979730
Blackrock Muni Intermediate Duration Fund Inc51,979730
Huntsman Corporation35,643730
The Gorman-Rupp Company21,425728
United Continental Holdings11,952728
Texas Roadhouse14,807728
AGIC Convertible & Income Fund112,172727
AGIC Convertible & Income Fund112,172727
AGIC Convertible & Income Fund112,172727
AGIC Convertible & Income Fund112,172727
AGIC Convertible & Income Fund112,172727
Cara Therapeutics39,720726
Dolan Company (The)14,654726
Gaming Partners International Corporation18,610726
Textron Inc.13,454726
Cara Therapeutics39,720726
Gaming Partners International Corporation18,610726
Franklin Ophthalmic Instruments Co., Inc.7,693726
Gaming Partners International Corporation18,610726
Cara Therapeutics39,720726
Gaming Partners International Corporation18,610726
Cara Therapeutics39,720726
Cara Therapeutics39,720726
First Acceptance Corp.15,663725
First Acceptance Corp.15,663725
The Gorman-Rupp Company22,082725
The Gorman-Rupp Company22,082725
The Gorman-Rupp Company22,082725
Spirit Realty Capital, Inc.84,243724
Avangrid, Inc.15,254724
Zoetis11,350723
International Hi-Tech Industries Inc.5,057723
Banco Santander Brasil SA82,680722
Eaton Vance Tax-Advantaged Bond63,296722
Advanced Visual Systems, Inc.6,099721
Advanced Visual Systems, Inc.6,099721
Deutsche Borse AG25,030720
Deutsche Borse AG25,030720
Eastman Chemical Company9,374719
Compania Cervecerias Unidas41,631719
Eastman Chemical Company9,374719
Compania Cervecerias Unidas41,631719
UBM Plc14,040718
JPMorgan Chase Bank NA12,722717
Amerco2,080717
Amerco2,080717
Exchange Bank (Santa Rosa, CA)19,737717
Atmos Energy Corporation8,531716
Atmos Energy Corporation8,531716
Ballroom Dance Fitness Inc12,361715
Cracker Barrel Old Country Store4,398715
Cracker Barrel Old Country Store4,398715
BHP Billiton Limited17,572715
Ballroom Dance Fitness Inc12,361715
Cracker Barrel Old Country Store4,398715
Ballroom Dance Fitness Inc12,361715
Cracker Barrel Old Country Store4,398715
Comerica Incorporated10,813714
Comerica Incorporated10,813714
Comerica Incorporated10,813714
Comerica Incorporated10,813714
Akamai Technologies10,069713
Akamai Technologies10,069713
Advanced Visual Systems, Inc.4,315713
Advanced Visual Systems, Inc.4,315713
Advanced Visual Systems, Inc.4,315713
Advanced Visual Systems, Inc.4,315713
Randgold Resources Ltd.45,718713
Advanced Visual Systems, Inc.4,315713
Compania Cervecerias Unidas55,730713
Randgold Resources Ltd.45,718713
Randgold Resources Ltd.45,718713
Randgold Resources Ltd.45,718713
Randgold Resources Ltd.45,718713
BlackRock 2022 Global Income Opportunity Trust52,946713
Advanced Visual Systems, Inc.4,315713
Advanced Visual Systems, Inc.4,315713
Randgold Resources Ltd.45,718713
Fidelity National Financial16,039712
Apache Corporation20,592712
Apache Corporation20,592712
Fidelity National Financial16,039712
ArcelorMittal22,406712
ArcelorMittal22,406712
Apache Corporation20,592712
Xilinx10,055711
Geo Group Inc (The)37,069710
W.W. Grainger3,951710
Ladder Capital51,425709
Sunoco22,829709
PowerShares DB Gold Fund37,290708
Cirrus Logic13,176707
United States Steel Corporation27,521707
Cirrus Logic13,176707
Cirrus Logic13,176707
Cirrus Logic13,176707
Cirrus Logic13,176707
Drillsearch NL6,143706
First Sentry Bancshares Inc.15,389706
Drillsearch NL6,143706
BlackRock Resources94,279706
Drillsearch NL6,143706
BlackRock Resources94,279706
BlackRock Resources94,279706
BlackRock Resources94,279706
BlackRock Resources94,279706
Drillsearch NL6,143706
Drillsearch NL6,143706
Bluerock Residential Growth59,999705
STERLING CONSOLIDATED Corp12,769705
Bluerock Residential Growth59,999705
TCP Capital Corp.42,761705
Bluerock Residential Growth59,999705
Bluerock Residential Growth59,999705
Bluerock Residential Growth59,999705
Bluerock Residential Growth59,999705
Donaldson Company13,518704
Donaldson Company13,518704
Donaldson Company13,518704
Blackstone GSO Long Short Credit Income Fund48,098704
Donaldson Company13,518704
Blackstone GSO Long Short Credit Income Fund48,098704
Dreyfus Municipal Bond Infrastructure Fund, Inc.71,657703
Blackrock MuniYield Michigan Quality Fund49,091703
National Fuel Gas Company12,398703
FMB Equibanc, Inc.13,210703
Rio Tinto14,853703
NFJ Dividend58,116702
NFJ Dividend58,116702
NFJ Dividend58,116702
NFJ Dividend58,116702
Extra Space Storage Inc8,793702
NFJ Dividend58,116702
Coherent2,980701
Boulder Energy Ltd.65,004700
Boulder Energy Ltd.65,004700
Alliance National Municipal Income Fund Inc55,853699
Invesco Van Kampen Advantage Municipal Income Trust II60,748699
Amphenol Corporation8,137699
Alliance National Municipal Income Fund Inc55,853699
Amphenol Corporation8,137699
Cooper Companies2,368698
Cooper Companies2,368698
Easterly Government Properties, Inc.38,654697
CBS Corporation17,254697
CBS Corporation17,254697
Synopsys8,665697
CBS Corporation17,254697
Apple Green Holding, Inc.42,160697
Apple Green Holding, Inc.42,160697
CBS Corporation17,254697
Easterly Government Properties, Inc.38,654697
Apple Green Holding, Inc.42,160697
CBS Corporation17,254697
India Fund32,715696
India Fund32,715696
Canadian Pacific Railway Limited3,938695
Blackrock Municipal Income Quality Trust47,290695
BorgWarner Inc.13,565694
United Bancorp57,821694
Suburban Propane Partners26,560693
Leggett & Platt14,482691
Charter Communications1,677690
Fortune Brands Home & Security14,491690
Charter Communications1,677690
Charter Communications1,677690
Charter Communications1,677690
Charter Communications1,677690
BJ's Wholesale Club Holdings, Inc.26,619689
BJ's Wholesale Club Holdings, Inc.26,619689
BJ's Wholesale Club Holdings, Inc.26,619689
BJ's Wholesale Club Holdings, Inc.26,619689
BJ's Wholesale Club Holdings, Inc.26,619689
BJ's Wholesale Club Holdings, Inc.26,619689
BJ's Wholesale Club Holdings, Inc.26,619689
Cleveland BioLabs95,349688
Cleveland BioLabs95,349688
Apache Corporation17,896688
Genpact Limited23,943688
Cleveland BioLabs95,349688
Cleveland BioLabs95,349688
Apache Corporation17,896688
First Sentry Bancshares Inc.12,964687
First Sentry Bancshares Inc.12,964687
CoreSite Realty Corporation6,409686
First Acceptance Corp.14,284686
CoreSite Realty Corporation6,409686
First Acceptance Corp.14,284686
First Acceptance Corp.14,284686
First Acceptance Corp.14,284686
First Acceptance Corp.14,284686
CNX Coal Resources LP44,469685
American Airlines Group25,421685
American Airlines Group25,421685
American Airlines Group25,421685
American Airlines Group25,421685
American Airlines Group25,421685
American Airlines Group25,421685
American Airlines Group25,421685
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,010684
Arlington Asset Investment Corp85,826684
CITIZENS FINANCIAL GROUP INC/RI16,397684
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,010684
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,010684
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,010684
Arlington Asset Investment Corp85,826684
Arlington Asset Investment Corp85,826684
IDEX Corporation3,963683
IDEX Corporation3,963683
Drillsearch NL6,571682
Drillsearch NL6,571682
Drillsearch NL6,571682
Drillsearch NL6,571682
ABIOMED2,352682
Arkose Energy Corp.17,452682
Drillsearch NL6,571682
ABIOMED2,352682
Drillsearch NL6,571682
Arkose Energy Corp.17,452682
Royal Boskalis Westminster NV7,899681
Coupa Software7,477680
Coupa Software7,477680
Adams Express Company (The)43,857679
Adams Express Company (The)43,857679
Adams Express Company (The)43,857679
Adams Express Company (The)43,857679
Adams Express Company (The)43,857679
Adams Express Company (The)43,857679
Software AG4,635678
Lincoln National Corporation9,220678
CBOE Holdings6,284677
Blackrock MuniHoldings Fund II48,526675
Blackrock MuniHoldings Fund II48,526675
Canadian Pacific Railway Limited3,032674
Canadian Pacific Railway Limited3,032674
Canadian Pacific Railway Limited3,032674
Canadian Pacific Railway Limited3,032674
Bluerock Residential Growth62,576674
Bluerock Residential Growth62,576674
Canadian Pacific Railway Limited3,032674
AeroVironment12,437673
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,680672
Compania Cervecerias Unidas40,782672
Compania Cervecerias Unidas40,782672
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,680672
First Trust/Aberdeen Emerging Opportunity Fund64,668672
First Trust/Aberdeen Emerging Opportunity Fund64,668672
First Trust/Aberdeen Emerging Opportunity Fund64,668672
Compania Cervecerias Unidas40,782672
Compania Cervecerias Unidas40,782672
BankUnited18,879672
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,680672
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,680672
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,680672
First Trust/Aberdeen Emerging Opportunity Fund64,668672
First Trust/Aberdeen Emerging Opportunity Fund64,668672
Compania Cervecerias Unidas40,782672
Eaton Vance Tax-Advantaged Global Dividend Income Fund27,680672
Compania Cervecerias Unidas40,782672
LMP Capital and Income Fund Inc.46,222672
First Trust/Aberdeen Emerging Opportunity Fund64,668672
Charter Communications2,067671
Axon Enterprise10,411670
Axon Enterprise10,411670
First Trust/Aberdeen Emerging Opportunity Fund63,433670
The Cushing Royalty & Income Fund50,481670
Axon Enterprise10,411670
Parsley Energy25,409670
Axon Enterprise10,411670
First Trust/Aberdeen Emerging Opportunity Fund63,433670
The Cushing Royalty & Income Fund50,481670
Axon Enterprise10,411670
Axon Enterprise10,411670
The Cushing Royalty & Income Fund50,481670
The Cushing Royalty & Income Fund50,481670
Calamos Convertible and High Income Fund56,389670
AllianzGI Diversified Income & Convertible Fund31,146670
Stamps.com Inc.3,301669
CSW INDUSTRIALS, INC.11,674669
CSW INDUSTRIALS, INC.11,674669
Nuveen Municipal High Income Opportunity Fund65,335669
Easterly Government Properties, Inc.36,850668
Easterly Government Properties, Inc.36,850668
Dick's Sporting Goods Inc16,389668
Dick's Sporting Goods Inc16,389668
Easterly Government Properties, Inc.36,850668
Dick's Sporting Goods Inc16,389668
Easterly Government Properties, Inc.36,850668
Easterly Government Properties, Inc.36,850668
Easterly Government Properties, Inc.36,850668
Dick's Sporting Goods Inc16,389668
Bank Of Montreal10,766667
Burlington Stores Inc4,514667
Cognex Corporation13,573667
Cognex Corporation13,573667
Bank Of Montreal10,766667
Burlington Stores Inc4,514667
Cognex Corporation13,573667
Bank Of Montreal10,766667
Cognex Corporation13,573667
Ciner Resources23,940667
mCig, Inc.39,530666
mCig, Inc.39,530666
mCig, Inc.39,530666
mCig, Inc.39,530666
mCig, Inc.39,530666
mCig, Inc.39,530666
mCig, Inc.39,530666
The Kroger Company29,477665
Randgold Resources Ltd.48,487665
The Kroger Company29,477665
Randgold Resources Ltd.48,487665
Randgold Resources Ltd.48,487665
Polaris Futures Fund L.P.6,352664
Wheeler Real Estate Investment Trust31,080664
ING Group58,686663
ING Group58,686663
Davis & Henderson In27,897661
Davis & Henderson In27,897661
AMC Networks Inc.13,446661
First Colombia Development Corp.51,370661
Davis & Henderson In27,897661
AMC Networks Inc.13,446661
First Colombia Development Corp.51,370661
AMC Networks Inc.13,446661
AMC Networks Inc.13,446661
AMC Networks Inc.13,446661
AMC Networks Inc.13,446661
Davis & Henderson In27,897661
AMC Networks Inc.13,446661
Arrowhead Gold Corp.47,503660
Arrowhead Gold Corp.47,503660
Arrowhead Gold Corp.47,503660
Arrowhead Gold Corp.47,503660
Arrowhead Gold Corp.47,503660
Arrowhead Gold Corp.47,503660
Arrowhead Gold Corp.47,503660
Baozun15,416659
Baozun15,416659
Baozun15,416659
Baozun15,416659
Baozun15,416659
Baozun15,416659
Cohen & Steers Select Preferred and Income Fund23,319659
Baozun15,416659
Guggenheim Equal Weight Enhanced Equity Income Fund83,883659
Booz Allen Hamilton Holding Corporation9,284658
Booz Allen Hamilton Holding Corporation9,284658
Booz Allen Hamilton Holding Corporation9,284658
Booz Allen Hamilton Holding Corporation9,284658
Booz Allen Hamilton Holding Corporation9,284658
ARKADOS GROUP, INC.20,711657
ARKADOS GROUP, INC.20,711657
ARKADOS GROUP, INC.20,711657
ARKADOS GROUP, INC.20,711657
Everett SpinCo, Inc.7,659657
ARKADOS GROUP, INC.20,711657
ARKADOS GROUP, INC.20,711657
Old National Bancorp Capital Trust I35,826657
ARKADOS GROUP, INC.20,711657
Alexandria Real Estate Equities5,239654
Cabo Verde Capital Inc.38,067654
Alexandria Real Estate Equities5,239654
Reliance Infrastructure Ltd.8,580654
CoStar Group1,399653
CoStar Group1,399653
EXACT Sciences Corporation7,515653
Miller/Howard High Income Equity Fund46,263653
Campbell Soup Company13,945653
EXACT Sciences Corporation7,515653
Timken Company (The)13,427652
Hospitality Properites Trust26,075651
Guidewire Software9,392651
Guidewire Software9,392651
Avista Corporation16,031651
Avista Corporation16,031651
Guidewire Software9,392651
PowerShares DB Precious Metals Fund17,156651
Hospitality Properites Trust26,075651
Avista Corporation16,031651
Cameco Corporation67,393651
Cheniere Energy Partners LP Holdings, LLC22,571650
Hancock Holding Company33,642650
Hancock Holding Company33,642650
Lithium Americas Corp.24,901650
Lithium Americas Corp.24,901650
CDW Corp6,718650
Lithium Americas Corp.24,901650
Hancock Holding Company33,642650
CDW Corp6,718650
Boulder Energy Ltd.57,727649
Boulder Energy Ltd.57,727649
Boulder Energy Ltd.57,727649
Boulder Energy Ltd.57,727649
Boulder Energy Ltd.57,727649
Boulder Energy Ltd.57,727649
Blackrock Floating Rate Income Strategies Fund Inc51,327648
Blackrock Floating Rate Income Strategies Fund Inc51,327648
BlackRock 2022 Global Income Opportunity Trust61,033648
Crown Cork & Seal Company10,497648
Crown Cork & Seal Company10,497648
Bank of Commerce Holdings (CA)61,419648
Crown Cork & Seal Company10,497648
Devon Energy Corporation17,658648
Blackrock Floating Rate Income Strategies Fund Inc51,327648
Crown Cork & Seal Company10,497648
Bank of Commerce Holdings (CA)61,419648
Crown Cork & Seal Company10,497648
Blackrock Floating Rate Income Strategies Fund Inc51,327648
Bank of Commerce Holdings (CA)61,419648
Blackrock Floating Rate Income Strategies Fund Inc51,327648
Crown Cork & Seal Company10,497648
Universal Display Corp5,031648
Bio-Rad Laboratories1,940647
Bio-Rad Laboratories1,940647
Bio-Rad Laboratories1,940647
Bio-Rad Laboratories1,940647
FIRST FIXTURES, INC.27,643647
Bio-Rad Laboratories1,940647
FIRST FIXTURES, INC.27,643647
Bio-Rad Laboratories1,940647
Bio-Rad Laboratories1,940647
Gaming Partners International Corporation17,142647
ARKADOS GROUP, INC.19,677646
ARKADOS GROUP, INC.19,677646
Aberdeen Global Income Fund98,913645
Aberdeen Global Income Fund98,913645
TriCo Bancshares15,832645
Canadian Pacific Railway Limited3,124645
Aberdeen Global Income Fund98,913645
Exelixis26,607645
Canadian Pacific Railway Limited3,124645
Aberdeen Global Income Fund98,913645
Aberdeen Global Income Fund98,913645
Aberdeen Global Income Fund98,913645
Aberdeen Global Income Fund98,913645
Affiliated Managers Group3,413644
Horizon Bancorp (IN)39,411644
Cohen & Steers Quality Income Realty Fund Inc54,330644
Horizon Bancorp (IN)39,411644
Affiliated Managers Group3,413644
Martin Marietta Materials3,120644
CornerWorld Corp.5,339644
CIENA Corporation16,410643
Restaurant Brands International Inc.10,067643
CIENA Corporation16,410643
CIENA Corporation16,410643
CIENA Corporation16,410643
CIENA Corporation16,410643
Dick's Sporting Goods Inc18,556642
Dick's Sporting Goods Inc18,556642
Dick's Sporting Goods Inc18,556642
Dick's Sporting Goods Inc18,556642
Blackrock California Municipal 2018 Term Trust42,779642
Dick's Sporting Goods Inc18,556642
Dick's Sporting Goods Inc18,556642
Open Text Corporation19,857641
Bank of Commerce Holdings (CA)59,419641
Amneal Pharmaceuticals, Inc.44,830641
Bank of Commerce Holdings (CA)59,419641
Adams Express Company (The)44,350641
Bank of Commerce Holdings (CA)59,419641
Amneal Pharmaceuticals, Inc.44,830641
Amneal Pharmaceuticals, Inc.44,830641
Adams Express Company (The)44,350641
Adams Express Company (The)44,350641
Adams Express Company (The)44,350641
Bank of Commerce Holdings (CA)59,419641
Bank of Commerce Holdings (CA)59,419641
Amneal Pharmaceuticals, Inc.44,830641
Bank of Commerce Holdings (CA)59,419641
Adams Express Company (The)44,350641
AGIC Convertible & Income Fund112,590640
AGIC Convertible & Income Fund112,590640
John Hancock Tax Advantaged Dividend Income Fund24,820640
AGIC Convertible & Income Fund112,590640
AGIC Convertible & Income Fund112,590640
Putnam Managed Municipal Income Trust84,761640
Blue Bird Corporation27,000640
Gentex Corporation30,965640
AGIC Convertible & Income Fund112,590640
AGIC Convertible & Income Fund112,590640
EMCOR Group8,743639
EMCOR Group8,743639
Dell Technologies Inc.8,262639
Petrominerales Ltd5,575639
Eaton Vance Tax-Advantage Global Dividend Opp53,278638
Eaton Vance Tax-Advantage Global Dividend Opp53,278638
Eaton Vance Tax-Advantage Global Dividend Opp53,278638
Cooper Companies1,889638
Cohen & Steers Closed-End Opportunity Fund48,679638
Eaton Vance Tax-Advantage Global Dividend Opp53,278638
Cooper Companies1,889638
Eaton Vance Tax-Advantage Global Dividend Opp53,278638
Cooper Companies1,889638
Cooper Companies1,889638
Eaton Vance Tax-Advantage Global Dividend Opp53,278638
Cooper Companies1,889638
Cohen & Steers Closed-End Opportunity Fund48,679638
Cohen & Steers Closed-End Opportunity Fund48,679638
Cohen & Steers Closed-End Opportunity Fund48,679638
Cooper Companies1,889638
Advanced Visual Systems, Inc.4,127637
Cheniere Energy Partners LP Holdings, LLC21,880637
Advanced Visual Systems, Inc.4,127637
Donaldson Company12,521637
Advanced Visual Systems, Inc.4,127637
Donaldson Company12,521637
Advanced Visual Systems, Inc.4,127637
Donaldson Company12,521637
ETFS Asian Gold Trust19,551637
Donaldson Company12,521637
Advanced Visual Systems, Inc.4,127637
Advanced Visual Systems, Inc.4,127637
Donaldson Company12,521637
Donaldson Company12,521637
Blackberry63,017636
Blackberry63,017636
Blackberry63,017636
Boulder Energy Ltd.58,998636
Eaton Vance Tax-Advantaged Global Dividend Income Fund26,464635
Eaton Vance Tax-Advantaged Global Dividend Income Fund26,464635
Horizon Bancorp (IN)39,411634
Cohen & Steers Limited Duration Preferred and Income Fund22,426633
Gabelli Equity Trust102,323633
BorgWarner Inc.12,620633
Cohen & Steers Limited Duration Preferred and Income Fund22,426633
Fidelity National Financial15,688633
Gabelli Equity Trust102,323633
Cohen & Steers Limited Duration Preferred and Income Fund22,426633
Calamos Strategic Total Return Fund52,178633
Cohen & Steers Limited Duration Preferred and Income Fund22,426633
Fidelity National Financial15,688633
Gabelli Equity Trust102,323633
Fidelity National Financial15,688633
Fidelity National Financial15,688633
Fidelity National Financial15,688633
Gabelli Equity Trust102,323633
Fidelity National Financial15,688633
Therapy Cells, Inc.16,957631
Therapy Cells, Inc.16,957631
Wright Express Corporation8,693631
Dreyfus Strategic Municipals80,083631
Dreyfus Strategic Municipals80,083631
Wright Express Corporation8,693631
First Merchants Corporation14,424630
Global Profit Technologies, Inc.65,100628
Global Profit Technologies, Inc.65,100628
Global Profit Technologies, Inc.65,100628
Columbia Banking System14,954628
Global Profit Technologies, Inc.65,100628
ClearBridge Energy MLP Opportunity Fund Inc.65,281627
ClearBridge Energy MLP Opportunity Fund Inc.65,281627
IDEX Corporation4,112626
U.S. NeuroSurgical, Inc.8,208626
Burlington Stores Inc3,659625
Burlington Stores Inc3,659625
Bank of Commerce Holdings (CA)57,419625
Dynex Capital102,395625
Bank of Commerce Holdings (CA)57,419625
Bank of Commerce Holdings (CA)57,419625
First Trust/Aberdeen Emerging Opportunity Fund62,233625
First Trust/Aberdeen Emerging Opportunity Fund62,233625
Bank of Commerce Holdings (CA)57,419625
BlackRock Resources70,411625
Bank of Commerce Holdings (CA)57,419625
Burlington Stores Inc3,659625
Burlington Stores Inc3,659625
Bank of Commerce Holdings (CA)57,419625
Bank of Commerce Holdings (CA)57,419625
Burlington Stores Inc3,659625
Burlington Stores Inc3,659625
Dynex Capital102,395625
Boulder Energy Ltd.55,682624
Boulder Energy Ltd.55,682624
Autodesk4,981624
Boulder Energy Ltd.55,682624
Boulder Energy Ltd.55,682624
Boulder Energy Ltd.55,682624
Autodesk4,981624
Five Oaks Investment Corp.139,365622
Baozun14,952622
Baozun14,952622
Baozun14,952622
Cleveland BioLabs88,723622
FireEye Inc46,550620
HSBC Holdings plc12,546620
Apple Green Holding, Inc.35,299620
FireEye Inc46,550620
Apple Green Holding, Inc.35,299620
Tortoise MLP Fund34,161619
BlackRock Utility and Infrastructure Trust28,806619
Drillsearch NL5,429619
BlackRock Utility and Infrastructure Trust28,806619
BlackRock Utility and Infrastructure Trust28,806619
Compania Cervecerias Unidas40,685618
First Sentry Bancshares Inc.10,652618
Cenovus Energy Inc69,706618
Cenovus Energy Inc69,706618
Cenovus Energy Inc69,706618
Brown-Forman Corporation Class B 11,389618
Cenovus Energy Inc69,706618
First Sentry Bancshares Inc.10,652618
Icahn Enterprises L.P.8,540618
Cenovus Energy Inc69,706618
Compania Cervecerias Unidas40,685618
Icahn Enterprises L.P.8,540618
Compania Cervecerias Unidas40,685618
Cenovus Energy Inc69,706618
Compania Cervecerias Unidas40,685618
Charter Communications1,560617
Charter Communications1,560617
Charter Communications1,560617
Charter Communications1,560617
Charter Communications1,560617
Charter Communications1,560617
Bouygues 25,255616
Bouygues 25,255616
Bouygues 25,255616
Apache Corporation21,169615
Anadarko Petroleum Corporation12,548615
Apache Corporation21,169615
Blackrock Floating Rate Income Strategies Fund Inc42,386615
Avista Corporation12,694615
Blackrock Floating Rate Income Strategies Fund Inc42,386615
Avista Corporation12,694615
Apache Corporation21,169615
Avista Corporation12,694615
Avista Corporation12,694615
Apache Corporation21,169615
Avista Corporation12,694615
Apache Corporation21,169615
Avista Corporation12,694615
Avista Corporation12,694615
Apache Corporation21,169615
BlackRock Resources69,343614
BlackRock Resources69,343614
Lamb Weston Holdings, Inc.13,046613
Cameco Corporation68,092613
Garmin Ltd.11,331612
Cohen & Steers Limited Duration Preferred and Income Fund22,211612
BlackRock Strategic Municipal Trust Inc. (The)42,593612
Cohen & Steers Limited Duration Preferred and Income Fund22,211612
BlackRock Strategic Municipal Trust Inc. (The)42,593612
BlackRock Strategic Municipal Trust Inc. (The)42,593612
Cohen & Steers Limited Duration Preferred and Income Fund22,211612
BlackRock Strategic Municipal Trust Inc. (The)42,593612
BlackRock Strategic Municipal Trust Inc. (The)42,593612
Cohen & Steers Limited Duration Preferred and Income Fund22,211612
BlackRock Strategic Municipal Trust Inc. (The)42,593612
Cohen & Steers Limited Duration Preferred and Income Fund22,211612
Cohen & Steers Limited Duration Preferred and Income Fund22,211612
Dreyfus Strategic Municipals69,510611
Apple Green Holding, Inc.36,793610
Apple Green Holding, Inc.36,793610
Apple Green Holding, Inc.36,793610
Apple Green Holding, Inc.36,793610
Apple Green Holding, Inc.36,793610
Apple Green Holding, Inc.36,793610
Apple Green Holding, Inc.36,793610
ArcelorMittal29,874609
ClearBridge Energy MLP Opportunity Fund Inc.66,178609
CDK Global, Inc.10,353609
ArcelorMittal29,874609
ClearBridge Energy MLP Opportunity Fund Inc.66,178609
Invesco Van Kampen Dynamic Credit Opportunities Fund44,446609
CDK Global, Inc.10,353609
ClearBridge Energy MLP Opportunity Fund Inc.66,178609
ClearBridge Energy MLP Opportunity Fund Inc.66,178609
Huntsman Corporation26,920609
ClearBridge Energy MLP Opportunity Fund Inc.66,178609
ClearBridge Energy MLP Opportunity Fund Inc.66,178609
ArcelorMittal29,874609
Franco Nev Corp8,087608
Cameco Corporation51,517608
Cameco Corporation51,517608
Advanced Visual Systems, Inc.3,562608
Advanced Visual Systems, Inc.3,562608
Advanced Visual Systems, Inc.3,562608
Advanced Visual Systems, Inc.3,562608
Advanced Visual Systems, Inc.3,562608
Cirrus Logic13,869607
Cirrus Logic13,869607
Horizons Betapro S&P/TSX Capped Financials Bear Plus ETF Unit Cl A25,437607
Cirrus Logic13,869607
EQT Midstream Partners8,088607
Cirrus Logic13,869607
Cirrus Logic13,869607
Cirrus Logic13,869607
Huntington Preferred Capital173,582606
Rayonier Inc. REIT20,919605
ARKADOS GROUP, INC.17,793605
ARKADOS GROUP, INC.17,793605
ARKADOS GROUP, INC.17,793605
Orchid Island Capital59,305605
ARKADOS GROUP, INC.17,793605
ARKADOS GROUP, INC.17,793605
Alpine Global Premier Properties Fund91,241604
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF9,333603
Delaware Enhanced Global Dividend50,829603
CoreLogic13,025602
CoreLogic13,025602
CoreLogic13,025602
Cenovus Energy Inc69,377602
Cenovus Energy Inc69,377602
CoreLogic13,025602
Blackrock Enhanced Government Fund37,205601
Columbia Banking System18,367601
Blackrock Enhanced Government Fund37,205601
Blackrock Enhanced Government Fund37,205601
Blackrock Enhanced Government Fund37,205601
Blackrock Enhanced Government Fund37,205601
AGIC Convertible & Income Fund84,666601
Columbia Banking System18,367601
Cohen & Steers Closed-End Opportunity Fund46,925600
Cohen & Steers Closed-End Opportunity Fund46,925600
Cohen & Steers Closed-End Opportunity Fund46,925600
Berry Petroleum Company11,125600
Huntington Preferred Capital175,836600
Cohen & Steers Closed-End Opportunity Fund46,925600
Cohen & Steers Closed-End Opportunity Fund46,925600
ISHARES V PLC10,745600
Cohen & Steers Closed-End Opportunity Fund46,925600
Berry Petroleum Company11,125600
Berry Petroleum Company11,125600
Huntington Preferred Capital175,836600
Axon Enterprise10,556599
Therapy Cells, Inc.25,001599
Axon Enterprise10,556599
Axon Enterprise10,556599
Equinix1,345599
Axon Enterprise10,556599
iHeartMedia3,839599
Therapy Cells, Inc.25,001599
Axon Enterprise10,556599
Axon Enterprise10,556599
Therapy Cells, Inc.25,001599
Therapy Cells, Inc.25,001599
Therapy Cells, Inc.25,001599
Therapy Cells, Inc.25,001599
Axon Enterprise10,556599
Waters Corporation3,332598
BlackRock Strategic Municipal Trust Inc. (The)41,818597
Citrix Systems14,798597
BlackRock Strategic Municipal Trust Inc. (The)41,818597
Citrix Systems14,798597
Guidewire Software9,122597
CME Group Inc.4,387597
BlackRock Strategic Municipal Trust Inc. (The)41,818597
BlackRock Strategic Municipal Trust Inc. (The)41,818597
BlackRock Strategic Municipal Trust Inc. (The)41,818597
BlackRock Strategic Municipal Trust Inc. (The)41,818597
AMC Networks Inc.10,934596
AMC Networks Inc.10,934596
AMC Networks Inc.10,934596
AMC Networks Inc.10,934596
AMC Networks Inc.10,934596
BCSB Bancorp73,533596
BCSB Bancorp73,533596
KCAP Financial163,200596
AMC Networks Inc.10,934596
BCSB Bancorp73,533596
Banco Santander Brasil SA52,985595
Aberdeen Global Income Fund89,823595
Credit Suisse Group50,755595
Aberdeen Global Income Fund89,823595
Aberdeen Global Income Fund89,823595
Aberdeen Global Income Fund89,823595
Banco Santander Brasil SA52,985595
Aberdeen Global Income Fund89,823595
Credit Suisse Group50,755595
Banco Santander Brasil SA52,985595
Aberdeen Global Income Fund89,823595
Brookfield Incorporacoes SA46,376594
Brookfield Incorporacoes SA46,376594
ARKADOS GROUP, INC.17,579594
Brookfield Incorporacoes SA46,376594
Brookfield Incorporacoes SA46,376594
Brookfield Incorporacoes SA46,376594
ARKADOS GROUP, INC.17,579594
ARKADOS GROUP, INC.17,579594
LTC Properties12,652594
Brookfield Incorporacoes SA46,376594
ARKADOS GROUP, INC.17,579594
ARKADOS GROUP, INC.17,579594
ARKADOS GROUP, INC.17,579594
Invesco Van Kampen Senior Income Trust49,760594
Sabine Royalty Trust14,511593
AGIC Equity & Convertible Income Fund28,620593
AGIC Equity & Convertible Income Fund28,620593
Spy Inc.6,119593
Western Asset Managed High Income Fund37,627592
Emergent Biosolutions11,727592
Cirrus Logic14,091592
Cirrus Logic14,091592
Emergent Biosolutions11,727592
RLJ Lodging Trust26,799589
Everest Re Group2,575589
NewMarket Corporation1,381588
Nuveen Equity Premium and Growth Fund37,629588
Bright Horizons Family Solutions Inc3,856587
Bright Horizons Family Solutions Inc3,856587
Manulife Financial Corp28,925587
ClearBridge Energy MLP Opportunity Fund Inc.67,494587
Bright Horizons Family Solutions Inc3,856587
ClearBridge Energy MLP Opportunity Fund Inc.67,494587
Bright Horizons Family Solutions Inc3,856587
ClearBridge Energy MLP Opportunity Fund Inc.67,494587
Bright Horizons Family Solutions Inc3,856587
ClearBridge Energy MLP Opportunity Fund Inc.67,494587
Arrowhead Gold Corp.43,377586
Orbital Corporation Limited4,404586
Fair Isaac Corp4,172586
Arrowhead Gold Corp.43,377586
Arrowhead Gold Corp.43,377586
Arrowhead Gold Corp.43,377586
Arrowhead Gold Corp.43,377586
Arrowhead Gold Corp.43,377586
Coeur d'Alene Mines Corporation63,710585
CyrusOne7,408585
CyrusOne7,408585
CyrusOne7,408585
CyrusOne7,408585
Devon Energy Corporation18,430583
Canadian Pacific Railway Limited3,467583
Devon Energy Corporation18,430583
Canadian Imperial Bank of Commerce7,050583
Canadian Imperial Bank of Commerce7,050583
VeriSign5,490583
Canadian Imperial Bank of Commerce7,050583
Canadian Imperial Bank of Commerce7,050583
Invesco Quality Municipal Income Trust45,555583
Canadian Imperial Bank of Commerce7,050583
Eaton Vance Municipal Income Term Trust46,923582
Eaton Vance Municipal Income Term Trust46,923582
INTREXON CORP76,451581
INTREXON CORP76,451581
Emergent Biosolutions11,094580
Emergent Biosolutions11,094580
Emergent Biosolutions11,094580
Cooper Companies2,452580
lululemon athletica inc.9,323580
GSV Capital Corp90,228578
Blackstone GSO Senior Floating Rate Term Fund32,878578
GSV Capital Corp90,228578
GSV Capital Corp90,228578
GSV Capital Corp90,228578
United Bankshares15,505577
Splunk Inc.8,679577
Lithium Americas Corp.20,369577
Dunkin' Brands Group10,849576
First Trust NASDAQ ABA Community Bank Index Fund17,816576
Blackrock Corporate High Yield Fund23,276575
Blackrock Corporate High Yield Fund23,276575
Lazard Global Total Return and Income Fund12,734575
Blackrock Corporate High Yield Fund23,276575
Blackrock Corporate High Yield Fund23,276575
Blackrock Corporate High Yield Fund23,276575
UBS AG (London Branch)33,430574
Essex Property Trust1,955573
Essex Property Trust1,955573
Blackberry76,886573
Essex Property Trust1,955573
FleetCor Technologies2,041573
OGE Energy Corporation15,883573
GAMCO Global Gold102,077573
FleetCor Technologies2,041573
Essex Property Trust1,955573
Essex Property Trust1,955573
Blackberry76,886573
FleetCor Technologies2,041573
Blackberry76,886573
FleetCor Technologies2,041573
Blackberry76,886573
Essex Property Trust1,955573
FleetCor Technologies2,041573
Blackberry76,886573
Blackberry76,886573
Apple Green Holding, Inc.36,134572
Baozun11,178572
Baozun11,178572
Baozun11,178572
California Water Service Group Holding10,561572
Apple Green Holding, Inc.36,134572
Apple Green Holding, Inc.36,134572
Apple Green Holding, Inc.36,134572
California Water Service Group Holding10,561572
Baozun11,178572
Apple Green Holding, Inc.36,134572
Baozun11,178572
Baozun11,178572
Apple Green Holding, Inc.36,134572
Helmerich & Payne10,961571
Bed Bath & Beyond Inc.53,522570
Bed Bath & Beyond Inc.53,522570
Bed Bath & Beyond Inc.53,522570
Ciner Resources22,740570
Bed Bath & Beyond Inc.53,522570
Bed Bath & Beyond Inc.53,522570
Bed Bath & Beyond Inc.53,522570
Cognex Corporation5,175570
Bed Bath & Beyond Inc.53,522570
Calamos Strategic Total Return Fund48,188570
Blackrock MuniHoldings Quality Fund44,409568
CornerWorld Corp.6,951568
Blackrock MuniHoldings Quality Fund44,409568
Blackrock MuniHoldings Quality Fund44,409568
Blackrock MuniHoldings Quality Fund44,409568
Cohen & Steers Limited Duration Preferred and Income Fund22,217568
CornerWorld Corp.6,951568
Blackrock MuniHoldings Quality Fund44,409568
Scana Corporation11,685567
frontdoor, inc.12,918567
frontdoor, inc.12,918567
frontdoor, inc.12,918567
Blackrock Floating Rate Income Strategies Fund Inc39,564567
frontdoor, inc.12,918567
BJ's Wholesale Club Holdings, Inc.20,649566
Citrix Systems5,895566
Wachovia Corporation430566
BJ's Wholesale Club Holdings, Inc.20,649566
Citrix Systems5,895566
Citrix Systems5,895566
Atmos Energy Corporation6,757566
BJ's Wholesale Club Holdings, Inc.20,649566
Citrix Systems5,895566
Avery Dennison Corporation4,966565
Blackrock MuniAssets Fund36,521565
Avery Dennison Corporation4,966565
Blackrock MuniAssets Fund36,521565
Blackrock MuniAssets Fund36,521565
Avery Dennison Corporation4,966565
Avery Dennison Corporation4,966565
Avery Dennison Corporation4,966565
Avery Dennison Corporation4,966565
Blackrock MuniAssets Fund36,521565
Blackrock MuniAssets Fund36,521565
Avery Dennison Corporation4,966565
Stellus Capital Investment41,275564
Citrix Systems5,871564
CITIZENS FINANCIAL GROUP INC/RI14,940564
Bancroft Convertible Fund26,861564
Marsh & McLennan Companies6,729564
Blackrock MuniYield Quality Fund37,541564
Royce Value Trust35,724564
Bancroft Convertible Fund26,861564
Blackrock MuniYield Quality Fund37,541564
Blackrock MuniYield Quality Fund37,541564
Blackrock MuniYield Quality Fund37,541564
Blackrock MuniYield Quality Fund37,541564
Bank of Hawaii Corporation6,542563
Ballroom Dance Fitness Inc13,578563
Bank of Hawaii Corporation6,542563
Cohen & Steers Limited Duration Preferred and Income Fund22,083563
Bank of Hawaii Corporation6,542563
Bank of Hawaii Corporation6,542563
Cohen & Steers Limited Duration Preferred and Income Fund22,083563
Bank of Hawaii Corporation6,542563
Bank of Hawaii Corporation6,542563
Bank of Hawaii Corporation6,542563
Community Service Communications10,390562
Community Service Communications10,390562
Gladstone Capital Corporation59,875562
Community Service Communications10,390562
Community Service Communications10,390562
Barclays Africa Group Ltd14,345562
Armour Residential R28,759562
Armour Residential R28,759562
Armour Residential R28,759562
Community Service Communications10,390562
Community Service Communications10,390562
Gladstone Capital Corporation59,875562
Gladstone Capital Corporation59,875562
Gladstone Capital Corporation59,875562
Fulton Financial Corporation34,143561
Fulton Financial Corporation34,143561
Fulton Financial Corporation34,143561
Fulton Financial Corporation34,143561
Blackrock California Municipal 2018 Term Trust40,950560
Blackrock California Municipal 2018 Term Trust40,950560
Eagle Resource Holdings, Inc.35,000560
ArcelorMittal31,106560
Blackrock California Municipal 2018 Term Trust40,950560
Blackrock California Municipal 2018 Term Trust40,950560
Eagle Resource Holdings, Inc.35,000560
Blackrock California Municipal 2018 Term Trust40,950560
Blackrock California Municipal 2018 Term Trust40,950560
Eagle Resource Holdings, Inc.35,000560
ArcelorMittal31,106560
Eagle Resource Holdings, Inc.35,000560
ArcelorMittal31,106560
ArcelorMittal31,106560
ArcelorMittal31,106560
ArcelorMittal31,106560
First Trust/Aberdeen Emerging Opportunity Fund47,442559
NorthStar Realty Europe Corp.43,657559
Coupa Software4,324559
Coupa Software4,324559
Coupa Software4,324559
Coupa Software4,324559
Eagle Resource Holdings, Inc.35,000558
Eagle Resource Holdings, Inc.35,000558
Western Asset Bond Fund49,384557
New Senior Investment Group Inc.60,746556
Hess Midstream Partners LP9,162555
Fidelity National Financial15,164555
Fidelity National Financial15,164555
bluebird bio, Inc.6,030554
MFS Government Markets Income Trust81,985554
bluebird bio, Inc.6,030554
Halfords Group Plc11,004554
bluebird bio, Inc.6,030554
bluebird bio, Inc.6,030554
Hadera Paper Ltd.15,240554
bluebird bio, Inc.6,030554
Eaton Vance Municipal Income Trust26,896553
Eagle Resource Holdings, Inc.35,000553
Eagle Resource Holdings, Inc.35,000553
Eaton Vance Municipal Income Trust26,896553
NFJ Dividend41,227553
NFJ Dividend43,404553
Eagle Resource Holdings, Inc.35,000553
Eagle Resource Holdings, Inc.35,000553
Eagle Resource Holdings, Inc.35,000553
Eaton Vance Municipal Income Trust26,896553
Eaton Vance Municipal Income Trust26,896553
Eaton Vance Municipal Income Trust26,896553
NFJ Dividend43,404553
Eagle Resource Holdings, Inc.35,000553
Eaton Vance Municipal Income Trust26,896553
Cooper Companies1,860552
Leidos Holdings, Inc.9,307552
Cooper Companies1,860552
Cooper Companies1,860552
Cooper Companies1,860552
First Busey Corporation17,597552
Alexion Pharmaceuticals3,930552
BlackRock Income Trust Inc. (The)87,727551
AMC Networks Inc.9,692550
AMC Networks Inc.9,692550
AMC Networks Inc.9,692550
AMC Networks Inc.9,692550
TripAdvisor13,443550
Cohen & Steers Closed-End Opportunity Fund44,541550
Community Service Communications11,506550
AMC Networks Inc.9,692550
Cohen & Steers Closed-End Opportunity Fund44,541550
KKR Income Opportunities Fund30,742550
Community Service Communications11,506550
Vanc Pharmaceuticals, Inc.43,093550
Charter Communications1,582549
Charter Communications1,582549
APPLIED OPTOELECTRONICS, INC.8,488548
Concho Resources Inc.4,153547
Triangle Capital Corporation38,299547
Blackrock Corporate High Yield Fund22,126547
Avery Dennison Corporation4,716546
Avery Dennison Corporation4,716546
Avery Dennison Corporation4,716546
Avery Dennison Corporation4,716546
Avery Dennison Corporation4,716546
Avery Dennison Corporation4,716546
BlackRock Municipal Target Term Trust Inc. (The)23,445545
AGIC Convertible & Income Fund96,589545
BlackRock Municipal Target Term Trust Inc. (The)23,445545
BlackRock Municipal Target Term Trust Inc. (The)23,445545
AGIC Convertible & Income Fund96,589545
AGIC Convertible & Income Fund96,589545
AGIC Convertible & Income Fund96,589545
AGIC Convertible & Income Fund96,589545
BlackRock Municipal Target Term Trust Inc. (The)23,445545
BlackRock Municipal Target Term Trust Inc. (The)23,445545
Sprott Resource Lending Corp.86,713545
AGIC Convertible & Income Fund96,589545
AGIC Convertible & Income Fund96,589545
BlackRock Municipal Target Term Trust Inc. (The)23,445545
Bancroft Convertible Fund24,890545
Shire plc3,559544
Axon Enterprise9,965543
Regions Financial Corporation35,710543
Axon Enterprise9,965543
Axon Enterprise9,965543
BJ's Wholesale Club Holdings, Inc.20,533542
BJ's Wholesale Club Holdings, Inc.20,533542
BJ's Wholesale Club Holdings, Inc.20,533542
BJ's Wholesale Club Holdings, Inc.20,533542
BJ's Wholesale Club Holdings, Inc.20,533542
BJ's Wholesale Club Holdings, Inc.20,533542
Diamondback Energy6,019541
Diamondback Energy6,019541
Harley-Davidson11,191541
Continental Resources12,103541
Diamondback Energy6,019541
Diamondback Energy6,019541
Continental Resources12,103541
Blackrock Enhanced Government Fund34,110540
Stericycle7,543540
Blackrock Enhanced Government Fund34,110540
Cirrus Logic10,139540
Blackrock Enhanced Government Fund34,110540
Blackrock Enhanced Government Fund34,110540
CBS Corporation10,820540
Blackrock Enhanced Government Fund34,110540
Blackrock Enhanced Government Fund34,110540
Eaton Vance Municipal Income Trust24,896539
Eaton Vance Municipal Income Trust24,896539
Eaton Vance Municipal Income Trust24,896539
Eaton Vance Municipal Income Trust24,896539
Cracker Barrel Old Country Store3,547538
American States Water Company10,151538
Alexion Pharmaceuticals4,101538
Alexion Pharmaceuticals4,101538
Alexion Pharmaceuticals4,101538
Alexion Pharmaceuticals4,101538
Alexion Pharmaceuticals4,101538
Alexion Pharmaceuticals4,101538
American States Water Company10,151538
CoreLogic12,794535
CoreLogic12,794535
CoreLogic12,794535
CoreLogic12,794535
White Mountains Insurance Group625535
CoreLogic12,794535
CoreLogic12,794535
Oil Optimization, Inc.20,506535
Amerco1,370534
Amerco1,370534
Amerco1,370534
Aberdeen Global Income Fund83,422534
Amerco1,370534
Aberdeen Global Income Fund83,422534
Aberdeen Global Income Fund83,422534
Amerco1,370534
Amerco1,370534
Aberdeen Global Income Fund83,422534
Aberdeen Global Income Fund83,422534
Amerco1,370534
Arlington Asset Investment Corp41,817533
DCP Holding CO20,327533
DCP Holding CO20,327533
DCP Holding CO20,327533
DCP Holding CO20,327533
Dr Pepper Snapple Group6,010532
BlackRock Strategic Municipal Trust Inc. (The)39,938532
BlackRock Strategic Municipal Trust Inc. (The)39,938532
Community Svgs Bancorp Inc20,858532
BlackRock Strategic Municipal Trust Inc. (The)39,938532
Everi Holdings44,479531
Everi Holdings44,479531
AeroVironment11,679531
Hadera Paper Ltd.15,000531
Alexion Pharmaceuticals3,917531
Everi Holdings44,479531
Hadera Paper Ltd.15,000531
Everi Holdings44,479531
Everi Holdings44,479531
Hadera Paper Ltd.15,000531
Alexion Pharmaceuticals3,917531
AeroVironment11,679531
Alexion Pharmaceuticals3,917531
Everi Holdings44,479531
Alexion Pharmaceuticals3,917531
Alexion Pharmaceuticals3,917531
Amarin Corporation PLC25,593530
Amarin Corporation PLC25,593530
Amarin Corporation PLC25,593530
Amarin Corporation PLC25,593530
Invesco Van Kampen Pennsylvania Value Municipal Income Trust40,272529
Vanc Pharmaceuticals, Inc.42,913529
Churchill Downs4,584529
Vanc Pharmaceuticals, Inc.42,913529
Churchill Downs4,584529
Gladstone Capital Corporation58,699529
Churchill Downs4,584529
Churchill Downs4,584529
WGL Holdings Inc6,265529
Churchill Downs4,584529
Churchill Downs4,584529
Brookfield Incorporacoes SA42,916528
Armour Residential R28,354528
Brookfield Incorporacoes SA42,916528
Emergent Biosolutions11,355528
Armour Residential R28,354528
ECA Marcellus Trust I72,805528
Charles River Laboratories International4,006528
ECA Marcellus Trust I72,805528
Avery Dennison Corporation4,676528
PHYSICAL PROPERTY HOLDINGS, INC.3,877528
Charles River Laboratories International4,006528
Emergent Biosolutions11,355528
Armour Residential R28,354528
PHYSICAL PROPERTY HOLDINGS, INC.3,877528
Armour Residential R28,354528
Emergent Biosolutions11,355528
Charles River Laboratories International4,006528
PHYSICAL PROPERTY HOLDINGS, INC.3,877528
Avery Dennison Corporation4,676528
Avery Dennison Corporation4,676528
PHYSICAL PROPERTY HOLDINGS, INC.3,877528
Emergent Biosolutions11,355528
Charles River Laboratories International4,006528
PHYSICAL PROPERTY HOLDINGS, INC.3,877528
PHYSICAL PROPERTY HOLDINGS, INC.3,877528
Emergent Biosolutions11,355528
Armour Residential R28,354528
Emergent Biosolutions11,355528
Charles River Laboratories International4,006528
Armour Residential R28,354528
BlackRock Utility and Infrastructure Trust21,556527
BofI Holding13,018527
BlackRock Utility and Infrastructure Trust21,556527
Tyler Technologies3,027527
BlackRock Utility and Infrastructure Trust21,556527
BlackRock Utility and Infrastructure Trust21,556527
BlackRock Utility and Infrastructure Trust21,556527
CleanPath Resources Corp.6,847527
Donaldson Company10,498527
Blackrock Municipal Income Quality Trust40,476527
CleanPath Resources Corp.6,847527
BlackRock Utility and Infrastructure Trust21,556527
Donaldson Company10,498527
CleanPath Resources Corp.6,847527
Blackrock Municipal Income Quality Trust40,476527
Natus Medical Incorporated14,044527
CleanPath Resources Corp.6,847527
BofI Holding13,018527
Westinghouse Air Brake Technologies Corporation6,938525
Brookfield Property Partners LP25,737525
Nuveen High Income 2020 Target Term Fund51,950525
Brookfield Property Partners LP25,737525
Brookfield Property Partners LP25,737525
Brookfield Property Partners LP25,737525
Brookfield Property Partners LP25,737525
Exchange Bankshares, Inc.29,617524
Exchange Bankshares, Inc.29,617524
Brookfield Incorporacoes SA44,726524
Global Profit Technologies, Inc.65,100523
Tanger Factory Outlet Centers21,388523
Royce Micro-Cap Trust55,836523
Hess Midstream Partners LP8,200522
BC Moly Ltd.4,558522
Hess Midstream Partners LP8,200522
bluebird bio, Inc.3,314521
Blackrock MuniHoldings Quality Fund41,891521
Blackrock MuniHoldings Quality Fund41,891521
BlackRock Utility and Infrastructure Trust26,346521
Blackrock MuniHoldings Quality Fund41,891521
Blackrock Floating Rate Income Strategies Fund II Inc37,238521
Blackrock Floating Rate Income Strategies Fund II Inc37,238521
Dynex Capital31,132521
BlackRock Utility and Infrastructure Trust26,346521
Blackrock MuniHoldings Quality Fund41,891521
Dynex Capital31,132521
bluebird bio, Inc.3,314521
Blackrock MuniHoldings Quality Fund41,891521
Dynex Capital31,132521
Dynex Capital31,132521
Dynex Capital31,132521
Blackrock MuniHoldings Quality Fund41,891521
Dynex Capital31,132521
Amphenol Corporation6,138520
Darden Restaurants6,597520
Defiance Silver Corp.21,731520
Defiance Silver Corp.21,731520
Defiance Silver Corp.21,731520
Universal Corp.9,072520
Defiance Silver Corp.21,731520
Defiance Silver Corp.21,731520
Defiance Silver Corp.21,731520
Armour Residential R30,977519
Armour Residential R30,977519
Armour Residential R30,977519
Armour Residential R30,977519
Armour Residential R30,977519
Armour Residential R30,977519
Armour Residential R30,977519
Coca-Cola Bottling Co. Consolidated1,733518
Cleveland BioLabs74,549518
Coca-Cola Bottling Co. Consolidated1,733518
Coca-Cola Bottling Co. Consolidated1,733518
Burlington Stores Inc3,892518
Coca-Cola Bottling Co. Consolidated1,733518
Weight Watchers International Inc11,909518
Coca-Cola Bottling Co. Consolidated1,733518
Coca-Cola Bottling Co. Consolidated1,733518
Republic Services7,821517
INTREXON CORP26,945517
Credit Acceptance Corporation1,065515
Credit Acceptance Corporation1,065515
Lamar Advertising Company7,500515
Credit Acceptance Corporation1,065515
Credit Acceptance Corporation1,065515
Credit Acceptance Corporation1,065515
Credit Acceptance Corporation1,065515
Amerco1,359514
Amerco1,359514
Amerco1,359514
Eaton Vance Tax-Advantage Global Dividend Opp45,531514
Amerco1,359514
Amerco1,359514
Eaton Vance Tax-Advantage Global Dividend Opp45,531514
Amerco1,359514
GSV Capital Corp95,039514
Great Fingall Mining Co.36,671513
Coca-Cola Bottling Co. Consolidated1,782513
Coca-Cola Bottling Co. Consolidated1,782513
John Hancock Pfd Income Fund II22,283513
Great Fingall Mining Co.36,671513
John Hancock Pfd Income Fund II22,283513
Northern Offshore19,949513
John Hancock Pfd Income Fund II22,283513
Great Fingall Mining Co.36,671513
Small Business Development Group, Inc.7,890512
Umpqua Holdings Corporation26,196512
CAM Group, Inc.9,741511
Amerco1,375511
AK Steel Holding Corporation112,858511
Amerco1,375511
CAM Group, Inc.9,741511
CAM Group, Inc.9,741511
CAM Group, Inc.9,741511
Amerco1,375511
CAM Group, Inc.9,741511
Amerco1,375511
CAM Group, Inc.9,741511
AK Steel Holding Corporation112,858511
Esquire Financial Holdings, Inc.20,300510
Esquire Financial Holdings, Inc.20,300510
Antero Midstream GP LP16,153510
Esquire Financial Holdings, Inc.20,300510
Esquire Financial Holdings, Inc.20,300510
Esquire Financial Holdings, Inc.20,300510
Esquire Financial Holdings, Inc.20,300510
Emergent Biosolutions12,574509
Deutsche Telekom17,957509
Esquire Financial Holdings, Inc.22,300508
Old Republic International Corporation25,833508
Esquire Financial Holdings, Inc.22,300508
Armour Residential R18,855507
Equity Commonwealth15,553507
Equity Commonwealth15,553507
Equity Commonwealth15,553507
Equity Commonwealth15,553507
Equity Commonwealth15,553507
Equity Commonwealth15,553507
IPG Photonics Corporation3,341506
Blackberry96,244505
Box Ships Inc.30,511505
Blackberry96,244505
Blackberry96,244505
Blackberry96,244505
Blackberry96,244505
Arlington Asset Investment Corp45,812505
Blackberry96,244505
Cincinnati Bell Inc15,134505
Box Ships Inc.30,511505
Arlington Asset Investment Corp45,812505
Blackberry96,244505
Delphi Automotive plc5,142505
Box Ships Inc.30,511505
iShares FTSE EPRA/NAREIT North America Index Fund20,984505
Box Ships Inc.30,511505
Box Ships Inc.30,511505
BlackRock Utility and Infrastructure Trust23,927504
Huntington Ingalls Industries2,245504
Huntington Ingalls Industries2,245504
BlackRock Multi-Sector Income Trust26,910503
Barrick Gold Corporation40,328503
Barrick Gold Corporation40,328503
Centenera Mng Corp.5,205503
Great Fingall Mining Co.36,534502
Churchill Downs4,069502
Churchill Downs4,069502
Apache Corporation19,599502
Apache Corporation19,599502
Apache Corporation19,599502
Apache Corporation19,599502
Churchill Downs4,069502
Apache Corporation19,599502
Churchill Downs4,069502
Apache Corporation19,599502
Churchill Downs4,069502
Wesco Aircraft Holdings53,400502
Apache Corporation19,599502
OFS Capital38,080501
Eagle Point Credit Co Inc.30,077501
Eagle Point Credit Co Inc.30,077501
Bank of Hawaii Corporation5,993500
Fox Corporation13,610500
Limited Brands11,900500
Brighthouse Financial, Inc.13,756499
De La Rue PLC 9,087499
Brighthouse Financial, Inc.13,756499
Morgan Stanley India Investment Fund14,547498
Arkansas Casino, Corp.9,988498
GAMCO Global Gold108,393497
Blackrock MuniAssets Fund31,346497
Blackrock MuniAssets Fund31,346497
American Midstream Partners36,446497
GAMCO Global Gold108,393497
Blackrock MuniAssets Fund31,346497
GAMCO Global Gold108,393497
GAMCO Global Gold108,393497
Blackrock MuniAssets Fund31,346497
Blackrock MuniAssets Fund31,346497
Blackrock MuniAssets Fund31,346497
Eaton Vance Municipal Income Term Trust39,945496
MSC Industrial Direct Company6,560496
Eaton Vance Municipal Income Term Trust39,945496
Eaton Vance Municipal Income Term Trust39,945496
Hilton Worldwide Holdings Inc.7,149496
Eaton Vance Municipal Income Term Trust39,945496
Eaton Vance Municipal Income Term Trust39,945496
Eaton Vance Municipal Income Term Trust39,945496
Power Amers Minerals Corp.11,221495
Harvest Natural Resources Inc46,914495
Federal Realty Investment Trust3,630495
Cypress Semiconductor Corporation32,916495
Harvest Natural Resources Inc46,914495
Federal Realty Investment Trust3,630495
Harvest Natural Resources Inc46,914495
Federal Realty Investment Trust3,630495
Cincinnati Bell Inc13,085495
Cabo Verde Capital Inc.25,084494
Cabo Verde Capital Inc.25,084494
Cabo Verde Capital Inc.25,084494
Cabo Verde Capital Inc.25,084494
Cabo Verde Capital Inc.25,084494
Canadian Imperial Bank of Commerce6,229494
Canadian Imperial Bank of Commerce6,229494
Cabo Verde Capital Inc.25,084494
Eaton Vance Municipal Income Term Trust38,092493
Eaton Vance Municipal Income Term Trust38,092493
CDK Global, Inc.9,981493
Eaton Vance Municipal Income Term Trust38,092493
CDK Global, Inc.9,981493
CDK Global, Inc.9,981493
CDK Global, Inc.9,981493
Erie Indemnity Company4,086493
CDK Global, Inc.9,981493
CDK Global, Inc.9,981493
Eaton Vance Municipal Income Term Trust38,092493
Fluor Corporation11,675492
Aareal Bank AG17,484492
Aareal Bank AG17,484492
PowerShares Global Gold & Precious Metals Portfolio19,735492
Aareal Bank AG17,484492
Brighthouse Financial, Inc.8,318492
Aareal Bank AG17,484492
Aareal Bank AG17,484492
KLA-Tencor Corporation4,641491
Canadian Imperial Bank of Commerce6,274491
Canadian Imperial Bank of Commerce6,274491
Canadian Imperial Bank of Commerce6,274491
Canadian Imperial Bank of Commerce6,274491
Canadian Imperial Bank of Commerce6,274491
The Cushing Royalty & Income Fund26,264491
Canadian Imperial Bank of Commerce6,274491
Deutsche Bank AG22,417490
Deutsche Bank AG22,417490
Deutsche Bank AG22,417490
Deutsche Bank AG22,417490
Hospitality Properites Trust17,221490
Blackrock MuniHoldings Quality Fund40,461490
Blackrock MuniHoldings Quality Fund40,461490
First Merchants Corporation13,237489
First Merchants Corporation13,237489
Blackrock California Municipal 2018 Term Trust36,850488
Hancock Fabrics, Inc.21,067488
Blackrock California Municipal 2018 Term Trust36,850488
Eaton Vance Tax-Advantaged Global Dividend Income Fund19,850488
Blackrock California Municipal 2018 Term Trust36,850488
Blackrock California Municipal 2018 Term Trust36,850488
Blackrock California Municipal 2018 Term Trust36,850488
Hancock Fabrics, Inc.21,067488
Blackrock California Municipal 2018 Term Trust36,850488
Hancock Fabrics, Inc.21,067488
Encompass Health7,717487
First Financial Bancorp.20,114487
First Financial Bancorp.20,114487
Encompass Health7,717487
First Financial Bancorp.20,114487
First Financial Bancorp.20,114487
Bankshares Fayetteville Inc.325487
Encompass Health7,717487
Bankshares Fayetteville Inc.325487
Bankshares Fayetteville Inc.325487
Bankshares Fayetteville Inc.325487
Encompass Health7,717487
Bankshares Fayetteville Inc.325487
First Financial Bancorp.20,114487
First Financial Bancorp.20,114487
Bankshares Fayetteville Inc.325487
Encompass Health7,717487
Encompass Health7,717487
Bankshares Fayetteville Inc.325487
Bank of Hawaii Corporation6,013486
Bank of Hawaii Corporation6,013486
Bank of Hawaii Corporation6,013486
Bank of Hawaii Corporation6,013486
Bank of Hawaii Corporation6,013486
Bank of Hawaii Corporation6,013486
Black Hills Corporation8,941485
Black Hills Corporation8,941485
Essex Property Trust1,677485
Harley-Davidson13,528485
Eaton Vance Floating-Rate Income Plus Fund31,865485
First Financial Bancorp.19,824485
Harley-Davidson13,528485
Eaton Vance Floating-Rate Income Plus Fund31,865485
Essex Property Trust1,677485
Eaton Vance Floating-Rate Income Plus Fund31,865485
First Financial Bancorp.19,824485
Harley-Davidson13,528485
Eaton Vance Floating-Rate Income Plus Fund31,865485
Diamondback Energy4,431484
Diamondback Energy4,431484
TimkenSteel Corporation29,290484
Diamondback Energy4,431484
Diamondback Energy4,431484
EV Charging USA, Inc.32,337484
Diamondback Energy4,431484
The Hain Celestial Group11,767484
Diamondback Energy4,431484
Allison Transmission Holdings10,289483
Allison Transmission Holdings10,289483
Arrowhead Gold Corp.36,323483
Allison Transmission Holdings10,289483
Allison Transmission Holdings10,289483
Allison Transmission Holdings10,289483
Allison Transmission Holdings10,289483
Allison Transmission Holdings10,289483
CoreLogic10,455483
Huntington Ingalls Industries2,323482
Nuvo Research Inc31,700482
Great Fingall Mining Co.34,206482
Bank of Hawaii Corporation6,125481
Davis & Henderson In20,467481
Bank of Hawaii Corporation6,125481
Davis & Henderson In20,467481
Davis & Henderson In20,467481
Davis & Henderson In20,467481
Bank of Hawaii Corporation6,125481
Davis & Henderson In20,467481
Davis & Henderson In20,467481
Charles River Laboratories International3,375480
Charles River Laboratories International3,375480
BlackRock Science & Technology Trust15,539480
Cabot Oil & Gas Corporation18,006480
Harley-Davidson13,254480
BlackRock Science & Technology Trust15,539480
Six Flags Entertainment Corporation New7,882480
BlackRock Science & Technology Trust15,539480
Charles River Laboratories International3,375480
Charles River Laboratories International3,375480
Credit Acceptance Corporation1,064480
Charles River Laboratories International3,375480
Charles River Laboratories International3,375480
BlackRock Science & Technology Trust15,539480
Credit Acceptance Corporation1,064480
BlackRock Science & Technology Trust15,539480
FleetCor Technologies1,943479
Charles River Laboratories International3,253479
GH Cap Inc.14,063479
Charles River Laboratories International3,253479
Harvest Natural Resources Inc45,886479
Rightmove Plc44,901479
Lifestyle Medical Network Inc.5,877478
Healthcare Services Group14,428478
Peoples Financial Corporation26,409478
Molson Coors Brewing Company5,855478
American States Water Company9,689477
Chase Corporation4,355476
John Hancock Pfd Income Fund II21,810476
Chase Corporation4,355476
Chase Corporation4,355476
Chase Corporation4,355476
Chase Corporation4,355476
Black Hills Corporation6,904475
Compass Biotechnologies Inc.24,062475
BlackRock Utility and Infrastructure Trust21,418475
Compass Biotechnologies Inc.24,062475
Compass Biotechnologies Inc.24,062475
BlackRock Utility and Infrastructure Trust21,418475
Compass Biotechnologies Inc.24,062475
BlackRock Utility and Infrastructure Trust21,418475
BlackRock Utility and Infrastructure Trust21,418475
BlackRock Utility and Infrastructure Trust21,418475
BlackRock Utility and Infrastructure Trust21,418475
ABIOMED2,665474
ABIOMED2,665474
ABIOMED2,665474
ABIOMED2,665474
Box Ships Inc.26,973474
Box Ships Inc.26,973474
CF Industries Holdings9,618474
Box Ships Inc.26,973474
Box Ships Inc.26,973474
CF Industries Holdings9,618474
Box Ships Inc.26,973474
Huntington Ingalls Industries2,093474
CF Industries Holdings9,618474
Box Ships Inc.26,973474
ABIOMED2,665474
ABIOMED2,665474
ABIOMED2,665474
CF Industries Holdings9,618474
CF Industries Holdings9,618474
Teucrium Commodity Trust31,158473
Cincinnati Bell Inc13,226473
Cincinnati Bell Inc13,226473
John Hancock Income Securities Trust32,878472
John Hancock Income Securities Trust32,878472
Arlington Asset Investment Corp68,558472
Hancock Holding Company25,145472
Arlington Asset Investment Corp68,558472
Arlington Asset Investment Corp68,558472
Arlington Asset Investment Corp68,558472
Arlington Asset Investment Corp68,558472
John Hancock Income Securities Trust32,878472
Arlington Asset Investment Corp68,558472
Harvest Natural Resources Inc35,214471
Zions Bancorporation9,980471
Eaton Vance Short Diversified Income Fund34,734470
Eaton Vance Short Diversified Income Fund34,734470
Eaton Vance Short Diversified Income Fund34,734470
Eaton Vance Short Diversified Income Fund34,734470
Eaton Vance Short Diversified Income Fund34,734470
Eaton Vance Short Diversified Income Fund34,734470
Chase Corporation4,355469
Chase Corporation4,355469
Deutsche Bank AG (London Branch)36,903469
Chase Corporation4,355469
Encompass Health7,416469
GAMCO Global Gold108,305469
Encompass Health7,416469
Encompass Health7,416469
Chase Corporation4,355469
John Hancock Income Securities Trust31,563469
Bouygues 19,877469
Chase Corporation4,355469
Bouygues 19,877469
Chase Corporation4,355469
Arrowhead Gold Corp.36,730468
Arrowhead Gold Corp.36,730468
Arrowhead Gold Corp.36,730468
Bank of Nova Scotia (The)8,774468
Bank of Nova Scotia (The)8,774468
Bank of Nova Scotia (The)8,774468
Bank Of Montreal6,180467
Apollo Gold Corporation31,459467
Apollo Gold Corporation31,459467
Apollo Gold Corporation31,459467
Cohen & Steers MLP Income & Energy Opportunity Fund44,720467
Apollo Gold Corporation31,459467
Apollo Gold Corporation31,459467
Apollo Gold Corporation31,459467
Apollo Gold Corporation31,459467
AMC Networks Inc.9,007466
AMC Networks Inc.9,007466
CITIZENS FINANCIAL GROUP INC/RI13,150466
CITIZENS FINANCIAL GROUP INC/RI13,150466
CITIZENS FINANCIAL GROUP INC/RI13,150466
CITIZENS FINANCIAL GROUP INC/RI13,150466
CITIZENS FINANCIAL GROUP INC/RI13,150466
John Hancock Income Securities Trust32,878465
CyrusOne7,885465
D.R. Horton10,780465
D.R. Horton10,780465
Informa43,510465
Bank Of Montreal6,203465
D.R. Horton10,780465
D.R. Horton10,780465
Informa43,510465
D.R. Horton10,780465
Bank Of Montreal6,203465
D.R. Horton10,780465
Firsthand Technology Value Fund34,969464
DENTSPLY International Inc.9,343464
Apollo Gold Corporation27,734464
DENTSPLY International Inc.9,343464
Alteryx, Inc.4,260463
Alteryx, Inc.4,260463
Alteryx, Inc.4,260463
Alteryx, Inc.4,260463
Alteryx, Inc.4,260463
Expedition Mining Inc3,447463
Alteryx, Inc.4,260463
Expedition Mining Inc3,447463
Expedition Mining Inc3,447463
Glacier Bancorp11,343462
Glacier Bancorp11,343462
Everi Holdings43,979462
Glacier Bancorp11,343462
Neuberger Berman Real Estate Securities Income Fund82,339462
Everi Holdings43,979462
Glacier Bancorp11,343462
Blackberry40,105461
BLACKLINE, INC.8,636461
BLACKLINE, INC.8,636461
BLACKLINE, INC.8,636461
BLACKLINE, INC.8,636461
First Choice Bank Cerritos CA21,557461
First Choice Bank Cerritos CA21,557461
Blackberry40,105461
BLACKLINE, INC.8,636461
BLACKLINE, INC.8,636461
Atlantic Power Corporation12,343460
Tableau Software6,145460
American Midstream Partners42,658460
Atlantic Power Corporation12,343460
Atlantic Power Corporation12,343460
Cohen & Steers Closed-End Opportunity Fund34,892460
Atlantic Power Corporation12,343460
Western Asset High Yield Defined Opportunity Fund Inc.63,806460
Atlantic Power Corporation12,343460
Atlantic Power Corporation12,343460
CF Industries Holdings12,172460
American Midstream Partners42,658460
Atlantic Power Corporation12,343460
MGE Energy Inc.7,118459
CAM Group, Inc.9,555459
Blackrock Core Bond Trust32,613459
CAM Group, Inc.9,555459
Icahn Enterprises L.P.6,308458
Hologic12,487458
Newell Rubbermaid Inc.10,738458
Lithium Americas Corp.12,243458
CIENA Corporation11,091457
CIENA Corporation11,091457
CIENA Corporation11,091457
Blackrock Enhanced Government Fund28,950457
CIENA Corporation11,091457
CIENA Corporation11,091457
Best Buy Co.6,556457
First Trust Energy Infrastructure Fund8,528457
CIENA Corporation11,091457
Best Buy Co.6,5564