ROYAL BANK OF CANADA

Most recent update: March 31, 2019

CompanyShares/WarrantsValue ($000)
The Cash Store Financial Services Inc.171,868,1217,630,943
Bank of Nova Scotia (The)103,524,3205,923,661
Bank of Nova Scotia (The)103,524,3205,923,661
Bank of Nova Scotia (The)103,524,3205,923,661
Bank of Nova Scotia (The)111,127,3605,920,865
Bank of Nova Scotia (The)87,899,6095,672,162
Bank of Nova Scotia (The)88,085,2645,659,479
Bank of Nova Scotia (The)88,085,2645,659,479
Bank of Nova Scotia (The)106,197,0635,296,046
Bank of Nova Scotia (The)106,197,0635,296,046
Bank of Nova Scotia (The)106,197,0635,296,046
Bank of Nova Scotia (The)86,940,7115,227,748
Bank of Nova Scotia (The)85,679,5115,018,249
Bank of Nova Scotia (The)97,058,1984,995,650
Royal Kpn N.V.68,359,5754,957,435
S&P Quality Rankings Glbl Equ Mngd Tr22,035,6184,766,305
Royal Kpn N.V.70,140,6214,345,912
Amazon.com2,411,8194,294,847
Amazon.com2,411,8194,294,847
Bank Of Montreal51,932,0674,155,605
Bank Of Montreal55,452,6064,148,092
Enbridge Inc98,686,1324,129,029
Enbridge Inc98,686,1324,129,029
Bank Of Montreal52,550,3504,059,194
Bank Of Montreal52,550,3504,059,194
Bank Of Montreal52,550,3504,059,194
Bank Of Montreal51,600,5993,906,680
Bank Of Montreal51,600,5993,906,680
Apple Inc.26,891,0333,863,165
Apple Inc.25,946,3353,736,788
Canadian National Railway Company44,830,6763,698,530
Apple Inc.19,433,0393,691,305
Apple Inc.19,433,0393,691,305
Bank Of Montreal56,390,1363,684,487
Bank Of Montreal56,390,1363,684,487
Bank Of Montreal56,390,1363,684,487
Canadian National Railway Company44,403,3153,678,816
Canadian National Railway Company44,403,3153,678,816
Apple Inc.19,861,4363,676,550
Apple Inc.19,861,4363,676,550
Apple Inc.19,861,4363,676,550
Amazon.com2,154,0853,661,513
Amazon.com2,154,0853,661,513
Amazon.com2,154,0853,661,513
Bank Of Montreal55,525,2453,640,790
Amazon.com2,416,1063,628,920
Amazon.com2,416,1063,628,920
Amazon.com2,416,1063,628,920
Bank Of Montreal49,203,7413,613,094
Bank Of Montreal48,254,6253,608,964
Enbridge Inc80,821,2753,574,725
Canadian National Railway Company43,861,3653,554,965
Apple Inc.20,940,4483,543,752
Apple Inc.22,279,9083,433,780
Apple Inc.22,279,9083,433,780
Apple Inc.20,419,6313,426,006
Canadian National Railway Company38,185,1583,416,811
B Communications Ltd.72,398,3013,343,354
B Communications Ltd.70,685,3623,310,197
B Communications Ltd.70,685,3623,310,197
Canadian National Railway Company39,901,4793,261,945
Canadian National Railway Company39,901,4793,261,945
Canadian National Railway Company39,901,4793,261,945
Canadian National Railway Company44,036,7203,255,634
Microsoft Corporation31,286,3403,177,754
Microsoft Corporation31,286,3403,177,754
Apple Inc.20,135,3813,176,156
Apple Inc.20,135,3813,176,156
Apple Inc.20,135,3813,176,156
Brookfield Real Estate Services67,237,3813,129,712
Transcanada Pipelines64,982,1043,090,550
Canadian Imperial Bank of Commerce31,588,5033,077,037
Brookfield Real Estate Services70,381,3823,059,466
Brookfield Real Estate Services72,242,0642,979,357
Brookfield Real Estate Services72,242,0642,979,357
Brookfield Real Estate Services72,994,7252,954,313
Brookfield Real Estate Services72,994,7252,954,313
Brookfield Real Estate Services72,994,7252,954,313
Canadian National Railway Company44,945,7012,939,449
Apple Inc.24,894,5682,814,330
Brookfield Real Estate Services71,753,6742,810,001
Canadian National Railway Company37,851,1182,805,145
Canadian National Railway Company37,851,1182,805,145
Canadian National Railway Company37,851,1182,805,145
Brookfield Real Estate Services73,658,7412,683,001
Canadian Imperial Bank of Commerce30,571,8152,657,304
Canadian Imperial Bank of Commerce30,571,8152,657,304
Canadian Imperial Bank of Commerce30,571,8152,657,304
Canadian Imperial Bank of Commerce30,813,6432,656,444
Brookfield Real Estate Services68,483,0862,620,591
Brookfield Real Estate Services68,483,0862,620,591
Brookfield Real Estate Services68,483,0862,620,591
Canadian Imperial Bank of Commerce29,887,9252,615,790
Canadian Imperial Bank of Commerce29,887,9252,615,790
Brookfield Real Estate Services73,642,7852,590,755
Canadian Imperial Bank of Commerce33,037,4602,561,395
Canadian Imperial Bank of Commerce31,717,1352,507,874
Amazon.com1,705,1302,467,904
Canadian Imperial Bank of Commerce28,667,3922,326,645
Canadian Imperial Bank of Commerce30,350,4592,262,325
Canadian Imperial Bank of Commerce30,350,4592,262,325
Canadian Imperial Bank of Commerce30,350,4592,262,325
Canadian Natural Resources Limited61,137,8792,205,243
Canadian Natural Resources Limited61,137,8792,205,243
Canadian Natural Resources Limited61,137,8792,205,243
iTeknik Holding Corporation7,946,7672,009,975
Amazon.com1,707,2411,996,564
Suncor Energy Inc.70,944,0821,970,827
Canadian Natural Resources Limited53,471,2101,909,993
Canadian Natural Resources Limited55,835,2841,869,927
Canadian Natural Resources Limited55,835,2841,869,927
Canadian Natural Resources Limited55,272,0461,812,372
Canadian Natural Resources Limited65,163,1081,791,988
Manulife Financial Corp125,941,5481,777,034
Johnson & Johnson13,558,0951,749,673
Johnson & Johnson13,558,0951,749,673
Johnson & Johnson13,558,0951,749,673
Thomson Reuters Corp41,962,7161,736,416
Canadian Natural Resources Limited53,041,3921,699,446
iTeknik Holding Corporation6,152,5461,679,953
iTeknik Holding Corporation6,152,5461,679,953
Johnson & Johnson12,307,1491,628,112
Sun Life Financial Inc.49,315,2181,604,715
Alphabet Holding Company, Inc.2,008,8271,588,503
Microsoft Corporation22,913,4551,579,425
Canadian Natural Resources Limited54,673,0071,576,770
Facebook9,192,8961,570,791
Facebook9,192,8961,570,791
Microsoft Corporation23,101,2931,521,449
Canadian Natural Resources Limited62,996,8121,520,113
Canadian Natural Resources Limited62,996,8121,520,113
Canadian Natural Resources Limited62,996,8121,520,113
Rogers Communication35,732,2031,515,760
Johnson & Johnson11,950,7801,488,470
Johnson & Johnson12,165,0391,437,056
TELUS Corporation43,504,6221,435,652
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap16,724,3311,434,753
J P Morgan Chase & Co14,783,7401,411,653
Bank of America Corporation47,665,3131,315,088
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap10,290,8241,278,224
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap7,710,7001,262,782
Berkshire Hathaway Inc.6,233,7591,252,302
Microsoft Corporation21,741,1151,252,288
iShares Trust iShares MSCI All Country Asia Information Techno22,984,3881,249,941
Amazon.com1,267,4601,226,903
Pembina Pipeline Corp.41,120,2581,220,036
General Electric Co40,854,8061,217,472
Bank of America Corporation42,944,3351,210,602
Bank of America Corporation42,944,3351,210,602
Bank of America Corporation42,944,3351,210,602
Bank of America Corporation47,749,9311,209,983
Bank of America Corporation47,749,9311,209,983
General Electric Co44,549,1421,203,270
Bank of America Corporation40,147,8651,185,165
Verizon Communications Inc.22,756,0621,182,862
Amazon.com1,328,0121,177,337
Canadian Pacific Railway Limited6,976,5971,172,278
Canadian Pacific Railway Limited6,976,5971,172,278
iShares Trust iShares MSCI All Country Asia Information Techno17,010,6821,146,576
Fortis32,333,5731,136,525
Berkshire Hathaway Inc.5,558,8911,135,015
Berkshire Hathaway Inc.5,558,8911,135,015
Berkshire Hathaway Inc.5,558,8911,135,015
iTeknik Holding Corporation4,654,8571,133,038
Fortis33,744,8501,125,728
Fortis33,744,8501,125,728
Fortis33,744,8501,125,728
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap8,167,0731,122,810
Procter & Gamble Company (The)12,411,5021,113,932
General Electric Co37,419,4171,108,362
iTeknik Holding Corporation4,374,4351,100,651
iTeknik Holding Corporation4,374,4351,100,651
iTeknik Holding Corporation4,374,4351,100,651
Fortis33,095,7941,097,456
Walt Disney Company (The)9,822,2141,090,559
Bank of America Corporation44,174,9751,088,472
Bank of America Corporation44,174,9751,088,472
Bank of America Corporation44,174,9751,088,472
Canadian Pacific Railway Limited6,985,5841,066,699
Amazon.com1,261,6021,056,353
Coca-Cola Company (The)22,350,2521,047,331
Fortis32,647,8041,040,813
Fortis32,647,8041,040,813
Fortis32,647,8041,040,813
Fortis28,963,6831,036,033
Walt Disney Company (The)9,388,1871,029,416
Walt Disney Company (The)9,388,1871,029,416
Walt Disney Company (The)9,388,1871,029,416
General Electric Co42,528,0451,028,330
Potomac Bancshares, Inc.61,731,0691,007,450
Coca-Cola Company (The)21,249,6601,006,172
Coca-Cola Company (The)21,249,6601,006,172
Coca-Cola Company (The)21,249,6601,006,172
iShares Trust iShares MSCI All Country Asia Information Techno13,997,0451,005,405
iShares Trust iShares MSCI All Country Asia Information Techno16,777,6911,005,035
iShares Trust iShares MSCI All Country Asia Information Techno16,777,6911,005,035
iShares Trust iShares MSCI All Country Asia Information Techno16,777,6911,005,035
Home Depot5,130,9331,001,045
Home Depot5,130,9331,001,045
Home Depot5,130,9331,001,045
J P Morgan Chase & Co14,914,983993,188
AT&T Inc.25,201,567987,146
AT&T Inc.25,201,567987,146
Magna International22,715,023975,610
Exxon Mobil Corporation10,981,306958,448
Bank of America Corporation39,428,058956,524
Pembina Pipeline Corp.31,099,795947,300
McDonald's Corporation5,279,933937,558
McDonald's Corporation5,279,933937,558
Citigroup Inc.12,558,136934,452
Chevron Corporation7,411,012927,784
Magna International21,416,161924,320
Pembina Pipeline Corp.27,726,939918,317
Danaher Corporation6,941,578916,427
Magna International19,683,873911,956
Bank of America Corporation38,620,173911,051
SPDR GOLD TRUST20,437,163909,381
AT&T Inc.22,348,297907,565
Berkshire Hathaway Inc.4,511,906894,352
Chevron Corporation7,071,868894,095
Chevron Corporation7,071,868894,095
Chevron Corporation7,071,868894,095
Exxon Mobil Corporation10,849,623889,451
Citigroup Inc.13,282,332888,852
Citigroup Inc.13,282,332888,852
Citigroup Inc.13,282,332888,852
Pembina Pipeline Corp.27,865,086883,602
Berkshire Hathaway Inc.4,716,213880,282
Berkshire Hathaway Inc.4,716,213880,282
Berkshire Hathaway Inc.4,716,213880,282
Home Depot5,117,425879,274
Home Depot5,117,425879,274
Home Depot5,117,425879,274
Citigroup Inc.12,086,307878,591
Citigroup Inc.12,086,307878,591
McDonald's Corporation5,687,430871,088
Vanguard Health Systems18,187,201868,067
Coca-Cola Company (The)19,779,050867,508
Coca-Cola Company (The)19,779,050867,508
Coca-Cola Company (The)19,779,050867,508
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap6,471,168866,488
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap6,471,168866,488
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap6,471,168866,488
World Gaming plc6,837,311859,041
Coca-Cola Company (The)18,684,585857,250
Chevron Corporation7,258,109852,830
Chevron Corporation7,258,109852,830
Chevron Corporation6,913,158851,564
Rogers Corporation17,884,732844,474
iShares Trust iShares MSCI All Country Asia Information Techno12,705,466844,435
Intel Corporation17,928,213841,372
Intel Corporation17,928,213841,372
Intel Corporation17,928,213841,372
Agrium Inc.7,296,776839,130
Intel Corporation16,766,903833,482
Intel Corporation16,766,903833,482
Intel Corporation16,766,903833,482
Shaw Communications Inc.40,732,344833,385
Pfizer19,056,408831,811
Chevron Corporation7,941,952828,585
Comcast Corporation12,454,043826,202
Facebook6,411,768822,440
Automatic Data Processing6,264,278821,373
Automatic Data Processing6,264,278821,373
Automatic Data Processing6,264,278821,373
Automatic Data Processing5,126,178818,856
Philip Morris International Inc6,954,881816,852
Walt Disney Company (The)7,488,883805,131
Bank of America Corporation51,265,085802,300
Coca-Cola Company (The)17,729,703798,015
Coca-Cola Company (The)17,729,703798,015
PowerShares QQQ Trust6,714,995797,202
Coca-Cola Company (The)17,634,361790,898
Altria Group12,449,157787,159
United States Cellular Corporation5,594,501783,230
Walt Disney Company (The)7,343,131780,208
iShares Trust iShares MSCI All Country Asia Information Techno11,747,366772,458
Comcast Corporation20,008,408769,923
Comcast Corporation20,008,408769,923
Inca One Gold Corporation6,319,568769,218
Inca One Gold Corporation6,319,568769,218
DowDuPont Inc.11,014,332762,522
DowDuPont Inc.11,014,332762,522
Chevron Corporation7,305,777751,913
Berkshire Hathaway Inc.4,086,841749,197
Berkshire Hathaway Inc.4,086,841749,197
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap6,570,736749,061
Walt Disney Company (The)6,599,657748,335
Walt Disney Company (The)7,101,645744,324
Walt Disney Company (The)7,101,645744,324
Walt Disney Company (The)7,101,645744,324
Cenovus Energy Inc51,636,904742,024
Chevron Corporation6,815,974741,506
Chevron Corporation6,815,974741,506
Chevron Corporation6,815,974741,506
Philip Morris International Inc6,557,866740,382
Automatic Data Processing6,300,576738,364
Amgen Inc.3,838,889729,312
Amgen Inc.3,838,889729,312
Home Depot4,955,026727,549
Walt Disney Company (The)7,744,011719,109
Wells Fargo & Company16,222,639717,920
ROGERS INTERNATIONAL RAW MATERIALS FUND LP15,019,853709,089
Amgen Inc.3,640,965708,786
Amgen Inc.3,640,965708,786
Amgen Inc.3,640,965708,786
Danaher Corporation6,846,878706,050
Danaher Corporation6,846,878706,050
Danaher Corporation6,846,878706,050
Pepsico6,318,840698,106
iTeknik Holding Corporation2,928,511694,848
Agrium Inc.7,258,783693,579
Merck & Company11,091,206692,201
Magna International15,189,735690,372
Magna International15,189,735690,372
Magna International15,189,735690,372
Agrium Inc.7,604,529689,656
Mondelez International15,909,630685,386
Pfizer20,190,736683,862
Honeywell International Inc.4,778,354677,283
Walt Disney Company (The)6,870,754677,253
Walt Disney Company (The)6,870,754677,253
Automatic Data Processing6,190,502676,746
Automatic Data Processing6,190,502676,746
Home Depot4,129,357675,397
Cisco Systems20,005,627672,787
Cisco Systems20,005,627672,787
Chevron Corporation6,265,110672,685
Coca-Cola Company (The)15,764,270669,034
Brookfield Property Partners LP29,151,029668,142
Agrium Inc.7,370,940666,995
Automatic Data Processing4,960,804665,443
Automatic Data Processing4,960,804665,443
Automatic Data Processing4,960,804665,443
Amgen Inc.3,603,585665,186
Amgen Inc.3,603,585665,186
Amgen Inc.3,603,585665,186
Procter & Gamble Company (The)7,580,643660,654
Honeywell International Inc.4,571,557658,535
Honeywell International Inc.4,571,557658,535
Honeywell International Inc.4,571,557658,535
McDonald's Corporation5,045,597653,959
Procter & Gamble Company (The)7,263,972652,669
Pepsico5,594,979646,164
Intel Corporation16,961,164645,879
Boeing Company (The)1,999,063644,697
Boeing Company (The)1,999,063644,697
Boeing Company (The)1,999,063644,697
Berkshire Hathaway Inc.3,788,648641,683
Amgen Inc.3,898,529639,632
Pepsico5,703,656638,012
Honeywell International Inc.4,826,722637,705
Honeywell International Inc.4,826,722637,705
Honeywell International Inc.4,826,722637,705
Home Depot4,153,117637,090
Boeing Company (The)1,890,620634,323
Boeing Company (The)1,890,620634,323
Boeing Company (The)1,890,620634,323
Citigroup Inc.12,111,888630,543
Citigroup Inc.12,111,888630,543
Citigroup Inc.12,111,888630,543
Brookfield Infrastructure Partners LP18,108,424627,278
iShares Trust iShares MSCI All Country Asia Information Techno9,448,846624,243
Pfizer18,227,094623,549
Cisco Systems19,552,500620,206
Honeywell International Inc.4,589,463611,731
Gilead Sciences7,709,341609,963
Boeing Company (The)1,582,506603,599
Intel Corporation29,641,364600,223
Philip Morris International Inc8,986,569599,942
Berkshire Hathaway Inc.3,585,996597,713
Mondelez International13,802,482596,131
iTeknik Holding Corporation2,727,418593,377
Citigroup Inc.9,525,750592,692
Citigroup Inc.8,703,996582,121
Honeywell International Inc.4,642,229579,672
Boeing Company (The)1,955,768576,776
Philip Morris International Inc5,923,790575,909
Pfizer17,140,859575,761
Amgen Inc.3,365,654573,776
Alibaba Group Holding Limited5,366,010567,670
Imperial Petroleum, Inc.2,908,420566,502
Imperial Petroleum, Inc.2,908,420566,502
Coca-Cola Company (The)13,327,373564,014
Medtronic6,521,799563,484
McDonald's Corporation4,842,776558,661
Illini Corp.4,863,898557,258
Illini Corp.4,863,898557,258
Costco Wholesale Corporation3,362,863552,485
Costco Wholesale Corporation3,362,863552,485
CVS Corporation8,430,423552,363
CVS Corporation8,430,423552,363
CVS Corporation8,430,423552,363
AbbVie Inc6,204,728551,354
AbbVie Inc6,204,728551,354
Amgen Inc.3,159,139549,376
Home Depot4,258,121547,935
Amgen Inc.2,928,227545,971
Amgen Inc.2,928,227545,971
Abbott Laboratories6,805,832544,059
Abbott Laboratories6,805,832544,059
Pepsico4,963,152539,843
Crescent Pt Energy40,853,585539,268
Imperial Oil Limited17,004,742532,589
Illini Corp.4,366,165529,311
Anheuser-Busch Inbev SA4,422,832527,643
Anheuser-Busch Inbev SA4,422,832527,643
Honeywell International Inc.4,491,090523,615
CVS Corporation5,867,164522,119
Dow Chemical Company (The)8,266,613521,373
Danaher Corporation5,262,842519,338
Danaher Corporation5,262,842519,338
Danaher Corporation5,262,842519,338
Amgen Inc.2,983,437513,836
Cenovus Energy Inc50,487,265505,882
Cenovus Energy Inc50,487,265505,882
Dow Chemical Company (The)7,939,123504,454
PNC Financial Services Group4,312,892504,221
Visa Inc.6,047,332500,115
CGI Group9,593,017497,589
Imperial Petroleum, Inc.2,992,983497,015
Imperial Petroleum, Inc.2,992,983497,015
Imperial Petroleum, Inc.2,992,983497,015
Intel Corporation14,621,744493,336
IBO (Listing Market - NYSE Amex Network B F)5,780,650491,587
Barrick Gold Corporation27,680,180490,491
Barrick Gold Corporation30,242,166486,598
Barrick Gold Corporation30,242,166486,598
Imperial Oil Limited15,189,227485,145
Imperial Oil Limited14,587,721485,041
Imperial Oil Limited14,587,721485,041
Imperial Oil Limited14,587,721485,041
Anadarko Petroleum Corporation7,986,053482,402
Imperial Oil Limited15,812,568482,286
Amgen Inc.2,890,961482,243
Intel Corporation13,361,178481,939
Lockheed Martin Corporation1,826,261478,186
Lockheed Martin Corporation1,826,261478,186
Lockheed Martin Corporation1,826,261478,186
Barrick Gold Corporation25,051,057475,723
PNC Financial Services Group3,802,264474,790
QUALCOMM Incorporated6,896,954472,441
Lockheed Martin Corporation1,700,054471,952
Barrick Gold Corporation32,260,567466,809
Illini Corp.3,871,917466,606
iShares Trust iShares MSCI Emerging Markets Latin America Inde10,755,451466,035
iShares Trust iShares MSCI Emerging Markets Latin America Inde10,755,451466,035
Boeing Company (The)1,832,908465,944
Boeing Company (The)1,832,908465,944
iShares MSCI Emerging Markets Materials Sector Index Fund5,211,277462,552
CVS Corporation8,576,377462,526
Lockheed Martin Corporation1,723,300461,156
Barrick Gold Corporation28,793,161458,098
Citigroup Inc.7,651,883457,734
International Business Machines Corporation3,275,999457,657
International Business Machines Corporation3,275,999457,657
Caterpillar3,375,289457,318
International Business Machines Corporation3,268,708456,638
Anadarko Petroleum Corporation8,480,732454,886
ENERGY TRANSFER PARTNERS6,429,262453,971
Marriott International4,506,911452,087
Estee Lauder Companies3,461,330450,320
Estee Lauder Companies3,461,330450,320
Estee Lauder Companies3,461,330450,320
American Electric Power Company5,366,162449,415
American Electric Power Company5,366,162449,415
Bristol-Myers Squibb Company9,396,851448,324
Imperial Oil Limited15,355,811448,082
Abbott Laboratories6,157,670445,383
Abbott Laboratories6,157,670445,383
Abbott Laboratories6,157,670445,383
Randgold Resources Ltd.32,365,842443,736
Restaurant Brands International Inc.9,925,014442,457
Danaher Corporation4,763,753442,174
Illini Corp.3,735,319440,430
PNC Financial Services Group3,641,063437,713
Duke Energy Corporation5,209,598437,191
Duke Energy Corporation5,209,598437,191
Charter Communications1,186,622430,844
Charter Communications1,185,469430,823
iShares Trust iShares MSCI Emerging Markets Latin America Inde11,413,275427,426
Eli Lilly and Company5,141,608423,158
Mastercard Incorporated4,146,935422,034
Agnico Eagle Mines9,130,338418,443
Agnico Eagle Mines9,130,338418,443
Agnico Eagle Mines9,130,338418,443
Berkshire Hathaway Inc.2,879,356415,981
General Motors Company10,264,047414,463
AbbVie Inc6,546,276412,873
Eli Lilly and Company4,817,506412,089
Starbucks Corporation7,588,027410,815
Boeing Company (The)2,074,700410,271
Celgene Corporation2,811,174409,926
Celgene Corporation2,811,174409,926
Bristol-Myers Squibb Company7,357,059407,141
Bristol-Myers Squibb Company7,357,059407,141
Bristol-Myers Squibb Company7,357,059407,141
TJX Companies5,427,863405,896
American Electric Power Company5,406,871404,112
American Electric Power Company5,406,871404,112
American Electric Power Company5,406,871404,112
Danaher Corporation4,707,056402,781
Danaher Corporation4,707,056402,781
Envestnet4,457,159402,172
Envestnet4,457,159402,172
CGI Group8,426,368401,348
3M Company2,275,109400,941
Nike5,398,086400,214
Nike5,398,086400,214
iShares Trust iShares MSCI Emerging Markets Latin America Inde8,930,696400,186
QUALCOMM Incorporated7,161,836395,475
American Electric Power Company5,354,179393,907
Costco Wholesale Corporation2,574,788392,685
QUALCOMM Incorporated6,844,742392,477
E.I. du Pont de Nemours and Company4,849,460391,401
Anadarko Petroleum Corporation5,341,763391,284
Anadarko Petroleum Corporation5,341,763391,284
Anadarko Petroleum Corporation5,341,763391,284
Bristol-Myers Squibb Company7,525,824391,191
Bristol-Myers Squibb Company7,525,824391,191
Bristol-Myers Squibb Company7,525,824391,191
Dow Chemical Company (The)7,532,944390,433
American Electric Power Company5,623,438389,422
American Electric Power Company5,623,438389,422
American Electric Power Company5,623,438389,422
Danaher Corporation4,597,093387,948
Bristol-Myers Squibb Company6,328,237387,796
Emerson Electric Company5,606,550387,636
Emerson Electric Company5,606,550387,636
Emerson Electric Company5,606,550387,636
American Electric Power Company5,641,449386,947
LyondellBasell Industries NV4,796,777386,907
Eli Lilly and Company4,585,145385,657
Illini Corp.3,402,314383,851
Illini Corp.3,402,314383,851
Illini Corp.3,402,314383,851
iShares MSCI Emerging Markets Materials Sector Index Fund4,337,048383,354
Morgan Stanley8,585,380382,566
Imperial Petroleum, Inc.2,129,962381,048
Goldcorp Inc.23,019,558380,283
American Water Works3,644,962380,024
American Water Works3,644,962380,024
Core Resource Management, Inc.4,540,281378,932
Agnico Eagle Mines8,173,327377,445
American Electric Power Company5,859,488376,237
Boeing Company (The)2,126,359376,069
Citigroup Inc.7,889,715372,490
Union Pacific Corporation3,811,242371,711
Morgan Stanley8,673,644371,577
Goldman Sachs Group2,302,976371,403
U.S. Helicopter Corp.4,647,879371,273
Randgold Resources Ltd.27,323,107369,954
Randgold Resources Ltd.27,323,107369,954
Randgold Resources Ltd.27,323,107369,954
GlaxoSmithKline PLC8,553,640368,918
CVS Corporation4,696,124368,646
Open Text Corporation11,290,644368,074
International Business Machines Corporation2,112,306367,837
Lockheed Martin Corporation1,533,843367,693
Agnico Eagle Mines8,148,779367,675
Intuit Inc.2,582,205367,034
Wal-Mart Stores5,073,871365,927
Imperial Petroleum, Inc.2,100,680365,414
United Parcel Service3,334,899364,612
iShares Trust iShares MSCI Emerging Markets Latin America Inde8,776,565363,263
Caterpillar2,305,030363,228
BlackRock Maryland Municipal Bond Trust7,781,003362,049
Agnico Eagle Mines6,672,912361,538
GGX Gold Corp.26,252,081359,916
GGX Gold Corp.26,252,081359,916
GGX Gold Corp.26,252,081359,916
Inca One Gold Corporation2,961,341359,832
Inca One Gold Corporation2,961,341359,832
Inca One Gold Corporation2,961,341359,832
Bristol-Myers Squibb Company5,642,419359,649
Bristol-Myers Squibb Company5,642,419359,649
Core Resource Management, Inc.5,186,911359,556
Core Resource Management, Inc.5,186,911359,556
Core Resource Management, Inc.5,186,911359,556
Agnico Eagle Mines7,884,755356,471
Agnico Eagle Mines7,884,755356,471
Agnico Eagle Mines8,163,514355,112
Agnico Eagle Mines8,163,514355,112
International Business Machines Corporation3,120,271354,683
International Business Machines Corporation3,120,271354,683
International Business Machines Corporation3,120,271354,683
Agnico Eagle Mines8,412,124353,900
ECA Marcellus Trust I26,522,385353,544
U.S. Helicopter Corp.4,385,103353,352
Imperial Oil Limited13,924,699352,572
Imperial Oil Limited13,924,699352,572
Imperial Oil Limited13,924,699352,572
Waste Connections4,715,718352,266
GlaxoSmithKline PLC8,644,505350,966
Celgene Corporation2,698,843350,501
iShares Trust iShares MSCI Emerging Markets Latin America Inde8,878,427349,721
International Business Machines Corporation2,197,393349,054
American Electric Power Company5,020,890348,801
CVS Corporation4,331,370348,502
Franco Nev Corp4,468,174346,193
Franco Nev Corp4,468,174346,193
Adobe Systems Incorporated2,316,865345,630
Adobe Systems Incorporated2,316,865345,630
Caterpillar2,717,048345,256
Caterpillar2,717,048345,256
Caterpillar2,717,048345,256
Colgate-Palmolive Company5,031,068344,829
Brookfield Renewable Energy Partners L.P.11,201,048344,544
ECA Marcellus Trust I26,380,584344,266
ECA Marcellus Trust I26,380,584344,266
ECA Marcellus Trust I26,380,584344,266
General Motors Company10,738,918341,177
Bristol-Myers Squibb Company6,117,120340,846
American Water Works3,740,364339,512
American Water Works3,740,364339,512
American Water Works3,740,364339,512
Danaher Corporation3,959,823338,683
Colgate-Palmolive Company5,166,885334,865
Colgate-Palmolive Company5,166,885334,865
Colgate-Palmolive Company5,166,885334,865
Celgene Corporation2,689,096334,603
Morgan Stanley10,417,025333,970
Intuit Inc.2,508,267333,124
Morgan Stanley8,394,271332,832
Morgan Stanley8,394,271332,832
Nike5,577,482329,069
Abbott Laboratories5,480,989328,419
Abbott Laboratories5,371,781327,624
Abbott Laboratories5,371,781327,624
Abbott Laboratories5,371,781327,624
Barrick Gold Corporation24,832,012326,043
Barrick Gold Corporation24,832,012326,043
Barrick Gold Corporation24,832,012326,043
Bristol-Myers Squibb Company5,914,119321,608
Caterpillar2,573,438320,933
Caterpillar2,573,438320,933
Agnico Eagle Mines7,906,685319,429
Agnico Eagle Mines7,906,685319,429
Agnico Eagle Mines7,906,685319,429
Adriana Resources, Inc.1,920,798316,645
U.S. Helicopter Corp.4,224,267316,567
U.S. Helicopter Corp.4,224,267316,567
U.S. Helicopter Corp.4,224,267316,567
Imperial Petroleum, Inc.1,837,307314,584
CVS Corporation4,882,988314,220
CVS Corporation4,882,988314,220
CVS Corporation4,882,988314,220
Agnico Eagle Mines7,372,637312,894
The Blackstone Group L.P.9,357,859312,271
The Blackstone Group L.P.9,357,859312,271
American Electric Power Company4,645,220311,832
iShares4,852,054311,357
BlackRock Maryland Municipal Bond Trust7,182,841311,161
BlackRock Maryland Municipal Bond Trust7,182,841311,161
BlackRock Maryland Municipal Bond Trust7,182,841311,161
Texas Instruments Incorporated4,431,033310,970
Duke Energy Corporation3,875,745310,215
CVS Corporation3,804,098309,349
CVS Corporation3,804,098309,349
Caterpillar2,278,032309,062
Caterpillar2,278,032309,062
Caterpillar2,278,032309,062
Oracle Corporation7,862,727308,849
General Electric Co22,672,637308,574
General Electric Co22,672,637308,574
General Electric Co22,672,637308,574
International Business Machines Corporation2,119,241307,460
Automatic Data Processing2,997,017307,073
Colgate-Palmolive Company4,064,240306,646
Celgene Corporation2,938,220306,632
Anthem United, Inc.1,065,804305,865
Anthem United, Inc.1,065,804305,865
American International Group5,151,825305,707
iShares FTSE EPRA/NAREIT Europe Index Fund2,740,077305,108
iShares Trust iShares MSCI Emerging Markets Latin America Inde7,809,818305,049
iShares Trust iShares MSCI Emerging Markets Latin America Inde7,809,818305,049
iShares Trust iShares MSCI Emerging Markets Latin America Inde7,809,818305,049
Celgene Corporation2,914,458304,648
Franco Nev Corp4,197,144302,866
Franco Nev Corp4,140,429302,333
Franco Nev Corp4,140,429302,333
Franco Nev Corp4,140,429302,333
Goldcorp Inc.20,717,941302,277
Gilead Sciences4,249,236300,763
Select Asset Inc.3,746,882299,900
PowerShares Global Coal Portfolio9,430,230299,016
iShares MSCI Emerging Markets Materials Sector Index Fund3,375,929296,340
Santeon Group Inc7,661,265294,652
Gilead Sciences3,586,206290,556
Taiwan Semiconductor Manufacturing Company Limited9,462,910289,470
Time Warner Inc.3,632,106289,154
Algonquin Pwr & Util25,505,684287,449
Algonquin Pwr & Util25,505,684287,449
Eli Lilly and Company3,566,082286,215
Constellation Brands Inc1,433,358285,879
Constellation Brands Inc1,433,358285,879
Emerson Electric Company4,779,665285,587
Emerson Electric Company4,779,665285,587
Emerson Electric Company4,779,665285,587
Adriana Resources, Inc.1,216,435284,901
Franco Nev Corp4,056,292283,414
Envestnet2,926,574282,920
Neenah Paper2,319,334282,270
Colgate-Palmolive Company4,736,941281,942
Colgate-Palmolive Company4,736,941281,942
Colgate-Palmolive Company4,736,941281,942
Algonquin Pwr & Util29,095,436281,353
Algonquin Pwr & Util29,095,436281,353
Algonquin Pwr & Util29,095,436281,353
Franco Nev Corp4,279,915280,376
Vermilion Energy Inc 7,226,128279,940
Open Text Corporation8,206,380279,098
Automatic Data Processing2,719,607278,461
iShares2,487,182278,265
CVS Corporation3,835,871278,099
Occidental Petroleum Corporation3,813,648278,093
Eli Lilly and Company2,389,297276,489
Eli Lilly and Company2,389,297276,489
Eli Lilly and Company2,389,297276,489
Core Resource Management, Inc.3,699,367274,568
U.S. Helicopter Corp.3,439,871274,397
Microchip Technology Incorporated36,203,028273,980
Franco Nev Corp3,899,266273,610
Franco Nev Corp3,899,266273,610
Franco Nev Corp3,899,266273,610
The Kraft Heinz Company3,012,145273,532
Emerson Electric Company3,916,019272,906
International Business Machines Corporation1,773,254272,778
Applied Materials4,876,534271,185
iShares MSCI Europe Financials Sector Index Fund2,138,631270,624
Estee Lauder Companies2,816,623270,341
Goldman Sachs Group1,147,541269,076
GGX Gold Corp.20,761,283268,029
GGX Gold Corp.20,653,331267,668
The Kraft Heinz Company3,125,172267,639
Becton, Dickinson & Co.1,107,740264,825
Algonquin Pwr & Util26,286,933264,184
Algonquin Pwr & Util26,286,933264,184
Algonquin Pwr & Util26,286,933264,184
Illini Corp.2,144,006264,099
Boeing Company (The)1,998,201263,245
Abbott Laboratories4,554,927259,950
Mondelez International6,485,450259,611
Mondelez International6,485,450259,611
Reynolds American Inc5,495,672259,120
Danaher Corporation3,307,458259,045
Hawaiian Telcom Holdco, Inc.2,660,637256,406
U.S. Helicopter Corp.3,209,013251,875
Nike4,485,542249,980
iBrands Corp.7,306,434249,442
Open Text Corporation7,859,509247,888
Anthem United, Inc.942,028247,405
Anthem United, Inc.942,028247,405
Anthem United, Inc.942,028247,405
Adriana Resources, Inc.1,010,633245,584
Adriana Resources, Inc.1,010,633245,584
Adriana Resources, Inc.1,010,633245,584
General Mills3,829,612244,635
Intuit Inc.2,107,861244,491
Gildan Activewear8,741,147244,314
Crescent Pt Energy30,298,404243,901
Crescent Pt Energy30,298,404243,901
iShares FTSE EPRA/NAREIT Europe Index Fund2,217,148243,398
Colgate-Palmolive Company3,318,130242,854
Thermo Fisher Scientific Inc1,526,345242,780
iShares MSCI Emerging Markets Materials Sector Index Fund2,771,531241,844
Colgate-Palmolive Company3,258,838241,575
iShares FTSE EPRA/NAREIT Europe Index Fund2,192,878241,566
Colgate-Palmolive Company3,312,924241,347
Colgate-Palmolive Company3,312,924241,347
Algonquin Pwr & Util24,230,460240,365
Anadarko Petroleum Corporation4,909,460239,814
Anadarko Petroleum Corporation4,909,460239,814
Algonquin Pwr & Util21,478,557239,700
Gilead Sciences3,488,151236,916
Adriana Resources, Inc.1,491,774236,594
Adriana Resources, Inc.1,491,774236,594
Adriana Resources, Inc.1,491,774236,594
Newell Rubbermaid Inc.4,407,052236,305
Adriana Resources, Inc.953,909236,273
Adriana Resources, Inc.953,909236,273
Firstrand Limited2,256,052235,667
Firstrand Limited2,256,052235,667
Core Resource Management, Inc.3,353,217235,095
RIGHTSCORP, INC.4,315,425234,889
CIGNA High Income Shares1,376,433233,924
CIGNA High Income Shares1,376,433233,924
CIGNA High Income Shares1,376,433233,924
Anthem United, Inc.1,064,227233,710
Fortive Corp3,290,421232,927
Caterpillar2,161,709232,298
Intuit Inc.1,136,766232,247
Intuit Inc.1,136,766232,247
Intuit Inc.1,136,766232,247
The Kraft Heinz Company2,588,483231,694
Mondelez International5,259,439230,890
Vanguard Intermediate -Term Government Bond ETF2,380,770230,733
Stanley Black & Decker1,872,513230,282
U.S. Bancorp5,361,705229,965
iShares FTSE EPRA/NAREIT Europe Index Fund2,108,063229,696
BROADVIEW INSTITUTE INC1,330,384229,519
ECA Marcellus Trust I21,890,409229,193
U.S. Helicopter Corp.2,835,063228,619
Gartner1,713,732227,755
Gartner1,713,732227,755
Gartner1,713,732227,755
Digital Realty Trust1,904,313226,613
Abbott Laboratories4,242,987226,405
Abbott Laboratories4,242,987226,405
Anadarko Petroleum Corporation4,963,126225,723
Anadarko Petroleum Corporation4,963,126225,723
Simon Property Group1,088,801225,392
Kimberly-Clark Corporation1,705,448224,488
Anadarko Petroleum Corporation4,942,219224,075
PNC Financial Services Group2,503,632223,925
Automatic Data Processing2,522,676222,499
Estee Lauder Companies2,612,172221,487
Biogen Idec Inc.704,087220,401
Yum! Brands2,424,801220,197
General Mills4,240,765219,502
HSBC Holdings plc5,375,666219,434
Schlumberger N.V.2,780,541218,662
Anadarko Petroleum Corporation4,978,968218,278
Anadarko Petroleum Corporation4,978,968218,278
Anadarko Petroleum Corporation4,978,968218,278
Ryanair Holdings Plc2,020,013217,374
Crimson Wine Group Ltd.3,975,847216,924
Consumer Portfolio Services4,160,635216,467
HSBC Holdings plc4,369,609215,903
Core Resource Management, Inc.3,114,827215,422
Kimberly-Clark Corporation1,667,363215,275
Firstrand Limited2,782,410214,552
Intuit Inc.1,089,442214,456
Intuit Inc.1,089,442214,456
Intuit Inc.1,089,442214,456
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF1,925,243214,336
Nike4,070,862214,331
Open Text Corporation3,297,736213,892
Edge Resources Inc.4,695,624213,322
Celgene Corporation2,256,673212,894
General Mills3,605,845212,782
Imperial Petroleum, Inc.1,372,753212,380
Anadarko Petroleum Corporation3,344,963211,906
BlackRock473,676211,776
BlackRock473,676211,776
General Mills3,818,990211,572
Newell Rubbermaid Inc.4,441,463209,504
Applied Materials4,019,102209,353
Applied Materials4,019,102209,353
Spectral Capital Corp.4,896,286209,315
Cigna Corporation1,098,027208,536
Cigna Corporation1,098,027208,536
Cigna Corporation1,098,027208,536
NXP Semiconductors N.V.23,157,302208,492
Gilead Sciences2,939,815208,256
Gilead Sciences2,939,815208,256
Gilead Sciences2,939,815208,256
Kimberly-Clark Corporation1,811,842206,441
Kimberly-Clark Corporation1,811,842206,441
Kimberly-Clark Corporation1,811,842206,441
HSBC Holdings plc4,449,336206,406
Teck Resources Ltd11,421,618205,931
ECA Marcellus Trust I17,337,527204,238
ECA Marcellus Trust I17,337,527204,238
USD Partners LP1,794,187203,999
Accenture plc.1,667,774203,751
Raytheon Company1,260,391203,528
General Electric Co26,870,470203,409
General Electric Co26,870,470203,409
General Electric Co26,870,470203,409
Celgene Corporation2,549,005202,441
Celgene Corporation2,549,005202,441
Celgene Corporation2,549,005202,441
Digital Realty Trust1,813,324202,331
Digital Realty Trust1,813,324202,331
Digital Realty Trust1,813,324202,331
American International Group3,240,841202,324
Inca One Gold Corporation1,618,967201,983
The Blackstone Group L.P.7,902,080201,740
Anheuser-Busch Inbev SA1,532,801201,426
Colgate-Palmolive Company2,710,546200,962
HSBC Holdings plc4,244,531200,087
HSBC Holdings plc4,244,531200,087
HSBC Holdings plc4,244,531200,087
Kimberly-Clark Corporation1,699,941200,048
Anthem United, Inc.839,372199,795
Anthem United, Inc.839,372199,795
Anthem United, Inc.839,372199,795
National Retail Properties4,115,691199,653
National Retail Properties4,115,691199,653
Schlumberger N.V.3,024,735199,148
Raytheon Company1,302,767198,673
Gartner1,553,759198,634
Gartner1,553,759198,634
Gartner1,553,759198,634
Paychex3,042,267198,203
Abbott Laboratories4,068,730197,782
Activision Blizzard3,065,602197,762
Activision Blizzard3,065,602197,762
Digital Realty Trust1,841,439196,205
Digital Realty Trust1,841,439196,205
Digital Realty Trust1,841,439196,205
American International Group3,137,911196,181
Nucor Corporation3,783,632196,030
Bowl America, Inc.4,286,185195,707
Bowl America, Inc.4,286,185195,707
Bowl America, Inc.4,286,185195,707
Algonquin Pwr & Util20,392,540195,359
Bristol-Myers Squibb Company3,608,764194,583
Micron Technology6,098,813193,516
Micron Technology6,098,813193,516
Anadarko Petroleum Corporation3,119,526193,382
ECA Marcellus Trust I16,506,785193,295
GGX Gold Corp.19,722,714193,283
GGX Gold Corp.19,722,714193,283
GGX Gold Corp.19,722,714193,283
Kimberly-Clark Corporation1,531,835193,227
Crimson Wine Group Ltd.4,149,453193,157
United Technologies Corporation1,900,511193,093
Tyson Foods2,583,608192,924
Newell Rubbermaid Inc.3,648,281192,118
The NASDAQ OMX Group2,354,061192,019
The NASDAQ OMX Group2,354,061192,019
Hawaiian Telcom Holdco, Inc.2,656,005190,940
Dominion Resources2,478,794190,693
Dominion Resources2,478,794190,693
USD Partners LP1,631,034189,884
Intuit Inc.1,723,239189,572
RIGHTSCORP, INC.3,570,677188,638
Digital Realty Trust1,655,924188,609
International Hi-Tech Industries Inc.1,317,125188,310
First Trust High Income Long Short Fund4,323,010187,990
CF Industries Holdings5,324,555187,211
CF Industries Holdings5,324,555187,211
Banco Bradesco Sa18,279,497187,183
priceline.com Incorporated17,426,451186,988
Algonquin Pwr & Util17,733,838186,915
Estee Lauder Companies2,106,169186,525
Salesforce.com Inc40,465,028185,637
Digital Realty Trust1,561,904184,820
Digital Realty Trust1,561,904184,820
Gildan Activewear6,010,473184,701
Weyerhaeuser Company5,767,642184,219
Enterprise Products Partners L.P.6,656,160184,175
Enterprise Products Partners L.P.6,656,160184,175
Enterprise Products Partners L.P.6,656,160184,175
American International Group3,466,502183,793
American International Group3,466,502183,793
American International Group3,466,502183,793
Aetna Inc.1,154,641183,598
Aetna Inc.1,154,641183,598
American International Group3,357,286182,703
Stantec Inc7,760,027182,517
MGM Growth Properties LLC5,827,759182,351
Occidental Petroleum Corporation3,044,390182,268
Bowl America, Inc.4,297,494180,624
American Water Works1,973,686180,574
Baidu989,784180,210
Abbott Laboratories4,054,881180,077
Amphenol Corporation1,902,153179,640
Amphenol Corporation1,902,153179,640
Draftteam Daily Fantasy Sports Corp.4,434,349179,591
HSBC Holdings plc4,360,645179,266
HSBC Holdings plc4,360,645179,266
HSBC Holdings plc4,360,645179,266
USD Partners LP1,720,590178,787
USD Partners LP1,720,590178,787
USD Partners LP1,720,590178,787
Federal Express Corporation791,676178,587
Federal Express Corporation791,676178,587
CAE Inc9,613,345178,424
Cintas Corporation879,943177,846
Adobe Systems Incorporated1,636,823177,658
iShares FTSE China (HK Listed) Index Fund4,529,584177,017
iShares FTSE China (HK Listed) Index Fund4,529,584177,017
iShares FTSE China (HK Listed) Index Fund4,529,584177,017
Applied Materials4,462,349176,977
Applied Materials4,462,349176,977
Enterprise Products Partners L.P.6,403,969176,814
Deere & Company1,101,467176,060
Allergan734,036175,966
Paychex2,984,582175,793
Deoleo SA1,329,654175,688
Deoleo SA1,329,654175,688
Paychex3,081,752175,475
Analog Devices2,041,798175,247
Analog Devices2,041,798175,247
Analog Devices2,041,798175,247
National Retail Properties3,412,216173,511
American Water Works2,024,006172,809
American Water Works2,024,006172,809
American Water Works2,024,006172,809
Cincinnati Financial Corporation2,010,925172,738
Gildan Activewear5,505,547172,214
Halliburton Company3,826,099171,714
Gildan Activewear5,647,919171,470
Gildan Activewear5,647,919171,470
Gildan Activewear5,647,919171,470
BlackRock Maryland Municipal Bond Trust3,395,069171,248
BlackRock Maryland Municipal Bond Trust3,395,069171,248
BlackRock Maryland Municipal Bond Trust3,395,069171,248
Electronic Arts Inc.1,629,204171,164
Micron Technology30,425,573170,578
Norfolk Souther Corporation1,139,038170,332
CAE Inc9,877,652170,290
Lowe's Companies2,067,997170,011
Silver Wheaton Corp6,260,702169,226
Becton, Dickinson & Co.780,455169,161
Becton, Dickinson & Co.780,455169,161
Becton, Dickinson & Co.780,455169,161
Banco Bradesco Sa15,276,657169,111
Banco Bradesco Sa15,276,657169,111
Draftteam Daily Fantasy Sports Corp.4,481,159168,939
Draftteam Daily Fantasy Sports Corp.4,481,159168,939
Draftteam Daily Fantasy Sports Corp.4,481,159168,939
Cardinal Health2,170,981168,684
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi1,288,000168,611
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi1,288,000168,611
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi1,288,000168,611
Esperance Minerals NL2,789,015168,569
Esperance Minerals NL2,789,015168,569
CAE Inc11,011,616168,368
iBrands Corp.4,461,946167,145
Halliburton Company3,698,788166,670
Halliburton Company3,698,788166,670
Halliburton Company3,698,788166,670
American Express Company1,747,733166,597
American Express Company1,747,733166,597
American Express Company1,747,733166,597
Enterprise Products Partners L.P.6,117,555165,663
Lowe's Companies1,785,733164,932
Lowe's Companies1,785,733164,932
Lowe's Companies1,785,733164,932
Biogen Idec Inc.526,674164,914
Biogen Idec Inc.526,674164,914
Draftteam Daily Fantasy Sports Corp.4,388,463164,831
National Retail Properties3,775,969164,708
Anthem United, Inc.731,295164,547
Phillips 661,906,749164,265
American Water Works1,999,120164,187
Ecolab Inc.1,221,644162,172
Deere & Company1,035,578162,077
Pioneer Exploration, Inc.865,380160,657
Bowl America, Inc.3,673,912160,624
Delta Air Lines Inc. (New)3,216,999160,530
Delta Air Lines Inc. (New)3,216,999160,530
Delta Air Lines Inc. (New)3,216,999160,530
Gilead Sciences2,565,245160,457
Gilead Sciences2,565,245160,457
Gilead Sciences2,565,245160,457
Enterprise Products Partners L.P.6,512,898160,153
Enterprise Products Partners L.P.6,512,898160,153
Enterprise Products Partners L.P.6,512,898160,153
Amphenol Corporation1,974,996160,013
Amphenol Corporation1,974,996160,013
Amphenol Corporation1,974,996160,013
Paychex2,764,214159,965
Compass Biotechnologies Inc.8,955,789158,965
Compass Biotechnologies Inc.8,955,789158,965
Raytheon Company1,167,603158,946
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF1,912,861158,784
CF Industries Holdings5,674,626158,664
Ecolab Inc.1,232,147158,464
Ecolab Inc.1,232,147158,464
Caterpillar1,703,711158,034
Russell Exchange Traded Funds Trust Russell Small Cap Consiste1,421,213157,826
Russell Exchange Traded Funds Trust Russell Small Cap Consiste1,421,213157,826
Russell Exchange Traded Funds Trust Russell Small Cap Consiste1,421,213157,826
National Retail Properties4,030,446157,592
American Water Works1,937,364156,753
American Water Works1,937,364156,753
Bowl America, Inc.4,071,918156,483
Bowl America, Inc.4,071,918156,483
Enterprise Products Partners L.P.5,889,476156,130
Cincinnati Financial Corporation2,015,044156,004
Cincinnati Financial Corporation2,015,044156,004
Cincinnati Financial Corporation2,015,044156,004
iShares S&P Emerging Markets Infrastructure Index Fund3,939,535155,613
Xcel Energy Inc.3,781,336155,564
Avangrid, Inc.3,276,278155,361
Avangrid, Inc.3,276,278155,361
NoCopi Technologies, Inc.653,063155,325
USD Partners LP1,355,584155,023
Synchrony Financial5,522,349154,626
Liberty Property Trust3,686,493154,391
Liberty Property Trust3,686,493154,391
Liberty Property Trust3,686,493154,391
Digital Realty Trust1,366,414154,336
DTE Energy Company1,644,816154,068
Enterprise Products Partners L.P.5,907,337154,005
Enterprise Products Partners L.P.5,907,337154,005
Charter Communications570,405153,992
Halliburton Company3,338,564153,675
American International Group2,574,201153,370
Applied Materials2,995,600153,135
Electronic Arts Inc.1,295,835152,985
Electronic Arts Inc.1,295,835152,985
Lamar Advertising Company2,211,012152,959
Lamar Advertising Company2,211,012152,959
Lamar Advertising Company2,211,012152,959
Bowl America, Inc.4,413,792152,938
Selective Insurance Group3,118,306152,765
Target Corporation2,218,448152,362
CAE Inc8,669,789151,980
CAE Inc8,669,789151,980
Inca One Gold Corporation1,104,476151,876
Delta Air Lines Inc. (New)2,709,973151,758
Abbott Laboratories3,584,610151,594
CAE Inc7,259,894150,789
CAE Inc7,259,894150,789
CAE Inc7,259,894150,789
iShares FTSE EPRA/NAREIT Europe Index Fund2,875,501150,734
iShares FTSE EPRA/NAREIT Europe Index Fund2,875,501150,734
iShares FTSE EPRA/NAREIT Europe Index Fund2,875,501150,734
Humet-PBC North America, Inc.626,090150,649
Cintas Corporation812,090150,293
Cintas Corporation812,090150,293
Cintas Corporation812,090150,293
Bowl America, Inc.4,352,683150,254
Cincinnati Financial Corporation2,000,835150,003
American Express Company1,530,347149,973
American Express Company1,530,347149,973
American Express Company1,530,347149,973
Dollar General Corporation1,254,377149,646
Prudential Financial1,383,265149,585
Microchip Technology Incorporated2,026,196149,494
Applied Materials3,613,651149,281
Gildan Activewear5,299,802149,243
Gildan Activewear5,299,802149,243
Gildan Activewear5,299,802149,243
Enterprise Products Partners L.P.5,393,350149,018
BlackRock411,049148,990
Lamar Advertising Company2,024,123148,914
American Water Works1,914,708148,907
Applied Materials3,811,731148,276
Prudential Financial1,385,117147,765
Inca One Gold Corporation1,223,960147,745
Gildan Activewear5,461,124147,668
American Water Works1,891,791147,465
Cincinnati Financial Corporation1,924,836147,384
Cincinnati Financial Corporation1,924,836147,384
Entertainment Arts Research, Inc.2,112,685147,338
Entertainment Arts Research, Inc.2,112,685147,338
Fortive Corp2,889,047147,051
Fomento Economico Mexicano S.A.B. de C.V.1,706,312146,829
Fomento Economico Mexicano S.A.B. de C.V.1,706,312146,829
Fomento Economico Mexicano S.A.B. de C.V.1,706,312146,829
Occidental Petroleum Corporation2,310,042146,366
Interface3,622,577146,081
Bowl America, Inc.3,847,197145,886
Bowl America, Inc.3,847,197145,886
Bowl America, Inc.3,847,197145,886
Draftteam Daily Fantasy Sports Corp.3,460,613145,831
Cincinnati Financial Corporation1,931,682145,687
Sector 5, Inc.3,044,417145,463
CME Group Inc.1,067,067144,779
CME Group Inc.1,067,067144,779
Edwards Lifesciences Corporation1,323,064144,622
Edwards Lifesciences Corporation1,323,064144,622
iShares NASDAQ Biotechnology Index Fund433,011144,447
Dollar General Corporation1,464,296144,377
Dollar General Corporation1,464,296144,377
Dollar General Corporation1,464,296144,377
Boston Scientific Corporation3,757,308144,205
Entertainment Arts Research, Inc.1,829,062144,019
Diageo plc1,237,092143,552
Cintas Corporation852,380143,191
Cintas Corporation852,380143,191
Cintas Corporation852,380143,191
Walgreens Boots Alliance1,771,795142,841
Compass Diversified Holdings8,214,597142,770
Humet-PBC North America, Inc.585,865142,735
Digital Realty Trust1,339,335142,492
Pioneer Exploration, Inc.764,865142,441
Lowe's Companies1,965,784141,949
Ecolab Inc.1,057,526141,898
IBO (Listing Market - NYSE Amex Network B F)1,694,296141,677
IBO (Listing Market - NYSE Amex Network B F)1,694,296141,677
IBO (Listing Market - NYSE Amex Network B F)1,694,296141,677
HSBC Holdings plc3,764,120141,568
Becton, Dickinson & Co.589,673141,033
Becton, Dickinson & Co.589,673141,033
Becton, Dickinson & Co.589,673141,033
Cummins Inc.797,791140,922
NoCopi Technologies, Inc.547,729140,607
Delta Air Lines Inc. (New)2,912,557140,444
Delta Air Lines Inc. (New)2,912,557140,444
Eaton Corporation2,135,906140,348
General Electric Capital Corporation11,711,576140,187
iShares NASDAQ Biotechnology Index Fund477,799140,125
General Electric Capital Corporation11,577,678139,742
Microchip Technology Incorporated1,809,950139,692
Lamar Advertising Company1,866,484139,500
Ishares Income Trust Sector Index Fd3,357,689138,711
Adriana Resources, Inc.774,357138,500
Edwards Lifesciences Corporation1,147,317138,320
Sysco Corporation2,813,107137,872
iBrands Corp.3,300,198137,587
Teva Pharmaceutical Industries Ltd.2,966,806136,504
Healthcare Trust of America4,576,498136,379
Amphenol Corporation1,581,412136,209
Cincinnati Financial Corporation1,879,885136,198
Cincinnati Financial Corporation2,034,676136,038
Cincinnati Financial Corporation2,034,676136,038
Cincinnati Financial Corporation2,034,676136,038
Etfs Commodity Securities Ltd.1,112,647135,944
Sempra Energy1,204,885135,851
Humet-PBC North America, Inc.658,569135,757
Digital Realty Trust1,397,376135,714
Liberty Property Trust3,333,422135,704
The Kraft Heinz Company3,144,800135,351
The Kraft Heinz Company3,144,800135,351
The Kraft Heinz Company3,144,800135,351
Gartner1,095,420135,295
iShares S&P Emerging Markets Infrastructure Index Fund3,481,448135,114
Delta Air Lines Inc. (New)2,725,950135,046
Delta Air Lines Inc. (New)2,725,950135,046
Delta Air Lines Inc. (New)2,725,950135,046
General Mills3,045,769134,807
General Mills3,045,769134,807
General Mills3,045,769134,807
Bouygues 2,733,090134,414
Molson Coors Brewing Company1,223,219134,309
Crimson Wine Group Ltd.2,160,240134,215
Crimson Wine Group Ltd.2,160,240134,215
Crimson Wine Group Ltd.2,160,240134,215
Draftteam Daily Fantasy Sports Corp.4,160,922133,981
Draftteam Daily Fantasy Sports Corp.4,160,922133,981
Draftteam Daily Fantasy Sports Corp.4,160,922133,981
CAE Inc9,372,434133,462
ConocoPhillips2,655,996132,933
ConocoPhillips2,655,996132,933
Phillips 661,601,794132,453
iShares NASDAQ Biotechnology Index Fund426,336132,199
Southern Company (The)2,574,268132,061
iShares S&P Emerging Markets Infrastructure Index Fund3,366,299131,859
Core Resource Management, Inc.1,060,574131,671
CAE Inc5,938,535131,537
Cincinnati Financial Corporation1,818,964131,457
Sempra Energy1,225,495131,360
Crimson Wine Group Ltd.2,419,950131,307
Crimson Wine Group Ltd.2,419,950131,307
Esperance Minerals NL2,419,760131,103
American Express Company1,199,305131,084
American Express Company1,199,305131,084
iShares FTSE China (HK Listed) Index Fund2,973,874130,969
Consolidated Communications Holdings6,861,123130,911
Consolidated Communications Holdings6,861,123130,911
Russell Exchange Traded Funds Trust Russell Small Cap Consiste1,078,031130,851
First Trust Exchange-Traded Fund II First Trust BICK Index Fun6,495,804130,436
Ryanair Holdings Plc1,726,224129,518
Consolidated Communications Holdings6,029,890129,462
CB Scientific Inc.1,027,363129,088
Informa8,162,915128,974
Draftteam Daily Fantasy Sports Corp.3,613,913128,944
Draftteam Daily Fantasy Sports Corp.3,613,913128,944
General Dynamics Corporation625,980128,689
Amphenol Corporation1,475,852128,621
Amphenol Corporation1,475,852128,621
Amphenol Corporation1,475,852128,621
Prudential Financial1,570,974128,270
Parker-Hannifin Corporation800,035127,861
Monotaro Co., Ltd.1,250,199127,767
Amphenol Corporation1,455,135127,762
Pacific Gas & Electric Co.2,084,532127,510
Dollar General Corporation1,179,196127,450
Dollar General Corporation1,179,196127,450
Dollar General Corporation1,179,196127,450
Dollar Tree1,212,846127,397
First Trust High Income Long Short Fund3,409,845127,356
Humana Inc.719,364127,246
Consolidated Communications Holdings5,428,480127,135
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu3,327,231127,113
Banco Bradesco Sa14,951,070127,084
Occidental Petroleum Corporation2,061,143126,513
iShares S&P Emerging Markets Infrastructure Index Fund3,264,731126,346
Pioneer Exploration, Inc.791,295126,274
Gartner1,014,273126,186
Electronic Arts Inc.894,574126,155
Electronic Arts Inc.894,574126,155
Electronic Arts Inc.894,574126,155
Ecolab Inc.1,001,602125,541
Synchronoss Technologies12,211,923125,357
Financial Institutions6,472,353124,916
Celgene Corporation1,947,337124,806
Celgene Corporation1,947,337124,806
Celgene Corporation1,947,337124,806
Lowe's Companies1,609,676124,797
Ecolab Inc.844,236124,398
Ecolab Inc.844,236124,398
Ecolab Inc.844,236124,398
Alcoa Inc.12,235,350124,291
iShares1,166,318124,237
Consolidated Communications Holdings4,909,219123,908
General Electric Capital Corporation10,640,833123,859
General Electric Capital Corporation11,042,284123,564
VGTel, Inc.1,471,144123,472
iShares S&P Emerging Markets Infrastructure Index Fund3,606,852123,463
iShares S&P Emerging Markets Infrastructure Index Fund3,606,852123,463
iShares S&P Emerging Markets Infrastructure Index Fund3,606,852123,463
Liberty Property Trust3,190,869123,007
NoCopi Technologies, Inc.499,949122,436
Brookfield Global Listed Infrastructure Income Fund4,607,173121,767
Lamar Advertising Company1,864,070121,742
Delta Air Lines Inc. (New)2,261,580121,538
Amphenol Corporation1,433,615121,341
Amphenol Corporation1,433,615121,341
Patrick Industries1,665,617121,340
Caterpillar1,360,881120,806
CF Industries Holdings4,099,983120,335
Gramercy Property Trust, Inc.4,045,194120,182
Liberty Property Trust2,969,114119,803
Nemaura Medical Inc.3,038,481119,383
Inca One Gold Corporation952,880119,226
American Express Company1,199,540119,127
Cognizant Technology Solutions Corporation2,490,722118,833
Indo Tambangraya Megah PT1,113,672118,594
Indo Tambangraya Megah PT1,113,672118,594
Indo Tambangraya Megah PT1,113,672118,594
PulteGroup4,813,036118,064
iShares MSCI Emerging Markets Materials Sector Index Fund1,451,324117,701
iShares MSCI Emerging Markets Materials Sector Index Fund1,451,324117,701
iShares MSCI Emerging Markets Materials Sector Index Fund1,451,324117,701
iShares FTSE EPRA/NAREIT Asia Index Fund1,113,549117,179
CAE Inc6,383,102117,132
CAE Inc6,383,102117,132
CAE Inc6,383,102117,132
Vector Group Ltd.5,435,064117,017
DTE Energy Company1,089,454116,963
DTE Energy Company1,089,454116,963
Patrick Industries1,647,174116,785
Applied Materials3,548,878116,188
Applied Materials3,548,878116,188
Applied Materials3,548,878116,188
IBO (Listing Market - NYSE Amex Network B F)1,392,526116,095
IBO (Listing Market - NYSE Amex Network B F)1,392,526116,095
Johnson Electric Holdings Ltd.2,493,979116,043
Carnival Plc ADS1,766,611115,836
iShares FTSE EPRA/NAREIT Asia Index Fund1,095,987115,462
DTE Energy Company1,113,906115,435
DTE Energy Company1,113,906115,435
DTE Energy Company1,113,906115,435
Intertainment Media, Inc.7,329,489115,367
Phillips 661,455,080115,272
Micron Technology3,842,601114,742
Apache Corporation2,391,883114,643
Cintas Corporation734,683114,487
iShares FTSE EPRA/NAREIT Asia Index Fund1,086,851114,457
Universal Electronics Inc.1,534,351114,247
E.I. du Pont de Nemours and Company1,421,372114,179
McKesson Corporation684,580114,152
Russell Exchange Traded Funds Trust Russell Small Cap Consiste962,890114,112
iShares1,066,150113,662
Berkshire Hathaway Inc.371113,526
Berkshire Hathaway Inc.371113,526
Berkshire Hathaway Inc.371113,526
E.I. du Pont de Nemours and Company1,691,266113,264
Cott Corporation7,540,590113,184
Cott Corporation7,540,590113,184
General Dynamics Corporation570,089112,935
DTE Energy Company1,067,238112,903
Bouygues 3,540,890112,778
Bouygues 3,540,890112,778
eBay Inc.3,419,873112,517
Comerica Incorporated1,235,850112,363
Comerica Incorporated1,235,850112,363
Comerica Incorporated1,235,850112,363
Albero Corp.1,063,347112,331
Russell Breweries Inc809,861112,320
Russell Breweries Inc809,861112,320
Russell Breweries Inc809,861112,320
iShares1,073,132112,303
iShares1,073,132112,303
iShares1,073,132112,303
Gartner1,038,465112,143
Gramercy Capital Corp3,702,068111,988
Avangrid, Inc.2,678,296111,898
Berkshire Hathaway Inc.371111,751
Dominion Resources1,500,251111,424
Columbus McKinnon Corporation2,778,172111,071
Air Products and Chemicals693,804111,042
Air Products and Chemicals693,804111,042
Air Products and Chemicals693,804111,042
General Dynamics Corporation592,824110,977
JD.com Inc2,903,042110,896
Norfolk Souther Corporation907,603110,456
Ibiden Co. Ltd.1,236,669110,448
Ibiden Co. Ltd.1,236,669110,448
Ibiden Co. Ltd.1,236,669110,448
CITIZENS FINANCIAL GROUP INC/RI2,909,682110,189
CITIZENS FINANCIAL GROUP INC/RI2,909,682110,189
SunTrust Banks2,514,915110,153
PulteGroup4,671,667110,019
Autodesk705,802109,978
Cummins Inc.653,107109,742
Cummins Inc.653,107109,742
Delta Air Lines Inc. (New)2,124,358109,724
Applied Materials2,373,777109,645
Applied Materials2,373,777109,645
Applied Materials2,373,777109,645
Indo Tambangraya Megah PT1,028,756109,376
Indo Tambangraya Megah PT1,028,756109,376
Southwest Airlines Company2,808,420109,220
DTE Energy Company1,069,566109,213
Royal Dutch Shell PLC2,052,054109,146
Delta Air Lines Inc. (New)2,772,590109,128
Adriana Resources, Inc.631,989109,033
Western Asset Emerging Markets Income Fund1,863,606108,965
Berkshire Hathaway Inc.366108,921
Deere & Company863,840108,490
Deere & Company863,840108,490
General Mills2,778,183108,183
General Mills2,778,183108,183
General Mills2,778,183108,183
Lamprell1,137,952107,777
Ecolab Inc.765,859107,474
Ecolab Inc.765,859107,474
Ecolab Inc.765,859107,474
Phillips 661,333,876107,444
Enerplus Corporation10,973,547107,431
Russell Exchange Traded Funds Trust Russell Small Cap Consiste922,621107,421
Columbus McKinnon Corporation2,475,689107,346
Columbus McKinnon Corporation2,475,689107,346
Columbus McKinnon Corporation2,475,689107,346
American Express Company1,673,953107,202
Dollar Tree1,184,737107,006
Dollar Tree1,184,737107,006
Dollar Tree1,184,737107,006
Applied Materials3,537,607106,658
CME Group Inc.1,020,432106,655
First Trust4,091,473106,563
Draftteam Daily Fantasy Sports Corp.2,293,289106,455
Nielsen CO B.V.1,986,538106,419
iShares995,885106,321
iShares997,439106,278
Russell Exchange Traded Funds Trust Russell Small Cap Consiste924,640106,277
Halliburton Company2,155,478106,072
Healthcare Trust of America3,245,695105,874
Delta Air Lines Inc. (New)2,302,484105,823
iShares2,686,284105,705
Aflac Incorporated2,318,993105,653
Aflac Incorporated2,318,993105,653
Aflac Incorporated2,318,993105,653
Dollar Tree1,214,349105,428
Dollar Tree1,214,349105,428
Banco Bradesco Sa11,618,065105,374
Patrick Industries1,701,753105,373
FleetCor Technologies729,839105,250
Baxano Surgical, Inc.1,293,880105,206
ECA Marcellus Trust I11,905,414104,768
Berkshire Hathaway Inc.371104,636
Berkshire Hathaway Inc.371104,636
Berkshire Hathaway Inc.371104,636
Enerplus Corporation10,596,285104,584
Enerplus Corporation10,596,285104,584
Interups Inc.1,003,579104,411
Valero Energy Corporation1,966,525104,228
DTE Energy Company835,383104,205
ECA Marcellus Trust I18,027,621104,202
ECA Marcellus Trust I18,027,621104,202
ECA Marcellus Trust I18,027,621104,202
iShares945,706104,113
Amphenol Corporation1,409,990104,085
Aflac Incorporated1,179,165103,508
Ishares Income Trust Sector Index Fd2,143,381103,418
Ishares Income Trust Sector Index Fd2,143,381103,418
Ishares Income Trust Sector Index Fd2,143,381103,418
Aflac Incorporated2,362,717103,392
American Express Company1,105,564103,129
Draftteam Daily Fantasy Sports Corp.2,567,475103,083
Consolidated Graphics1,212,582103,010
iShares960,454102,865
Columbus McKinnon Corporation2,715,979102,854
Columbus McKinnon Corporation2,715,979102,854
Cintas Corporation711,719102,689
Cintas Corporation711,719102,689
Industrial Services of America1,757,727102,617
Sanofi2,687,439102,526
The Bank of Kentucky Financial Corp.2,165,066102,256
ConocoPhillips2,350,655102,183
Astrazeneca PLC2,938,669101,971
First Trust4,391,749101,929
Berkshire Hathaway Inc.371101,928
Berkshire Hathaway Inc.371101,928
Equifax738,322101,461
Deutsche Bank Aktiengesellschaft3,838,512101,259
Deere & Company676,921100,977
Deere & Company676,921100,977
Deere & Company676,921100,977
Crimson Wine Group Ltd.1,349,118100,942
PPlus Trust2,914,785100,763
Corning Incorporated4,248,863100,487
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi802,176100,321
Astrazeneca PLC2,866,728100,250
IBO (Listing Market - NYSE Amex Network B F)1,185,522100,118
IBO (Listing Market - NYSE Amex Network B F)1,181,10099,827
Cott Corporation6,994,15199,667
Equifax725,35999,184
Chemical Financial Corporation1,852,05299,028
Ctrip.com International59,064,17299,024
Ctrip.com International59,064,17299,024
Dollar Tree921,93898,933
Ventas1,395,37398,556
Informa6,217,58598,113
Aflac Incorporated1,354,52198,095
iShares MSCI Europe Financials Sector Index Fund806,42097,899
iShares MSCI Europe Financials Sector Index Fund806,42097,899
iShares MSCI Europe Financials Sector Index Fund806,42097,899
Becton, Dickinson & Co.454,85097,366
Coherent344,23897,151
priceline.com Incorporated51,86597,013
American Water Works1,294,78996,903
Amsurg Corp.1,443,25796,770
IBO (Listing Market - NYSE Amex Network B F)1,142,60496,539
Citrix Systems967,44796,416
PulteGroup4,807,72596,346
PowerShares Global Steel Portfolio6,358,71396,208
Ultra Lithium Inc2,024,94695,982
Nemaura Medical Inc.2,960,81895,901
Ross Stores1,660,31695,848
Banco Bradesco Sa9,337,15695,613
Emerson Electric Company1,602,32095,533
Deere & Company1,118,41295,456
National Rural Utilities Cooperative Finance Corp4,290,68795,424
Delphi Automotive plc1,335,96395,281
ONEOK1,760,31294,968
Chemical Financial Corporation1,704,75194,904
Chemical Financial Corporation1,704,75194,904
Chemical Financial Corporation1,704,75194,904
Mid-America Apartment Communities1,009,27294,862
Novartis AG1,200,87494,822
iShares FTSE EPRA/NAREIT Asia Index Fund1,834,17694,715
iShares FTSE EPRA/NAREIT Asia Index Fund1,834,17694,715
iShares FTSE EPRA/NAREIT Asia Index Fund1,834,17694,715
KeyCorp5,050,37594,645
Citrix Systems38,553,13294,591
Citrix Systems38,553,13294,591
Dollar General Corporation1,015,44594,446
Autodesk1,305,02394,391
CITIZENS FINANCIAL GROUP INC/RI2,247,11294,333
Gramercy Property Trust, Inc.9,778,63694,266
PayPal Holdings, Inc.2,298,40494,165
Astrazeneca PLC2,777,21994,093
Astrazeneca PLC2,777,21994,093
Nemaura Medical Inc.2,714,99894,076
Nemaura Medical Inc.2,714,99894,076
Tahoe Resources7,329,50394,038
Micron Technology3,245,40293,795
iShares Trust1,001,61693,745
General Electric Capital Corporation12,191,61393,265
General Electric Capital Corporation12,191,61393,265
General Electric Capital Corporation12,191,61393,265
AmTrust Financial Services3,473,10493,181
TransAlta Corporation20,924,56193,114
CIGNA High Income Shares457,69492,954
Netflix939,19392,557
iShares874,10892,296
Aflac Incorporated2,143,53992,215
Aflac Incorporated2,143,53992,215
Aflac Incorporated2,143,53992,215
Berkshire Hathaway Inc.36191,949
MetLife2,067,11491,842
Westinghouse Air Brake Technologies Corporation1,124,16091,789
Halliburton Company3,451,95191,754
Halliburton Company3,451,95191,754
Halliburton Company3,451,95191,754
Crimson Wine Group Ltd.1,664,01891,539
Berkshire Hathaway Inc.36691,444
Corning Incorporated3,041,14691,386
DISH Network Corporation81,407,00091,074
DISH Network Corporation81,407,00091,074
Enerplus Corporation7,210,59290,854
Enerplus Corporation7,210,59290,854
Enerplus Corporation7,210,59290,854
Crimson Wine Group Ltd.1,424,23590,838
Crimson Wine Group Ltd.1,424,23590,838
Crimson Wine Group Ltd.1,424,23590,838
Ibiden Co. Ltd.929,31890,833
Ibiden Co. Ltd.929,31890,833
Russell Exchange Traded Funds Trust Russell Small Cap Consiste856,32590,446
Charles Schwab Corporation2,103,52290,367
iShares MSCI ACWI ex US Index Fund1,749,14590,280
Dollar General Corporation1,111,02790,049
Dollar General Corporation1,111,02790,049
Federal Express Corporation515,45790,041
Cintas Corporation711,82289,717
iShares FTSE China (HK Listed) Index Fund2,087,01689,679
iShares FTSE China (HK Listed) Index Fund2,087,01689,679
Deere & Company725,47789,662
ISHARES IV PLC1,425,21489,475
Consolidated Graphics1,147,07289,449
Consolidated Graphics1,147,07289,449
Consolidated Graphics1,147,07289,449
DTE Energy Company816,89389,415
Norfolk Souther Corporation919,71789,267
Hasbro800,42089,253
Halliburton Company2,087,92889,176
Consolidated Graphics1,104,07589,077
Consolidated Graphics1,104,07589,077
iShares NASDAQ Biotechnology Index Fund810,89489,052
iShares NASDAQ Biotechnology Index Fund810,89489,052
Intertainment Media, Inc.4,889,53488,989
iBrands Corp.2,327,80788,923
iBrands Corp.2,327,80788,923
iBrands Corp.2,327,80788,923
Aflac Incorporated1,090,99588,796
Aflac Incorporated1,090,99588,796
Stark Naked Bobbers774,81488,755
Deere & Company634,58888,715
Deere & Company634,58888,715
Deere & Company634,58888,715
Macy's Inc2,392,43088,639
Tyler Technologies517,63188,636
Vodafone Group Plc3,033,36588,423
Cameco Corporation10,324,25688,375
Consolidated Graphics1,152,21588,097
Consolidated Graphics1,152,21588,097
Consolidated Graphics1,152,21588,097
Capital One Financial Corp1,040,53488,041
Capital One Financial Corp1,040,53488,041
Cardinal Health1,315,18488,012
Cardinal Health1,315,18488,012
BlackRock Maryland Municipal Bond Trust1,769,55587,983
NVIDIA Corporation3,116,67587,748
Ibiden Co. Ltd.936,51787,703
Waste Management1,367,26787,177
Carnival Plc ADS1,477,59587,045
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 764,67086,950
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 764,67086,950
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 764,67086,950
Cintas Corporation686,52686,873
CITIZENS FINANCIAL GROUP INC/RI2,432,89386,807
Deutsche Bank AG6,625,03186,723
Corning Incorporated3,210,69686,688
Indo Tambangraya Megah PT788,78586,442
Ecolab Inc.709,59086,372
Crimson Wine Group Ltd.2,828,46586,267
DTE Energy Company781,12986,159
DTE Energy Company781,12986,159
DTE Energy Company781,12986,159
Autodesk685,93986,140
Aetna Inc.746,12086,139
Cummins Inc.544,31985,931
Aflac Incorporated1,106,02985,917
Nemaura Medical Inc.2,603,29185,804
Grand Canyon Education942,75885,621
KeyCorp4,548,07085,593
IEG Holdings Corp1,119,03685,440
IEG Holdings Corp1,119,03685,440
IEG Holdings Corp1,119,03685,440
Gramercy Property Trust, Inc.3,243,28885,298
Astrazeneca PLC2,421,07185,002
Astrazeneca PLC2,421,07185,002
Astrazeneca PLC2,421,07185,002
Becton, Dickinson & Co.435,55184,980
Ibiden Co. Ltd.920,30884,861
Interups Inc.838,63184,820
Interups Inc.838,63184,820
Interups Inc.838,63184,820
Consolidated Graphics999,59284,775
Baxano Surgical, Inc.1,286,32384,663
Baxano Surgical, Inc.1,286,32384,663
Baxano Surgical, Inc.1,286,32384,663
KeyCorp4,761,46284,660
iShares Trust iShares Barclays GNMA Bond Fund809,74184,645
Bowl America, Inc.2,404,41384,540
NoCopi Technologies, Inc.394,44184,390
Air Products and Chemicals541,86784,385
Air Products and Chemicals541,86784,385
Air Products and Chemicals541,86784,385
Anthem United, Inc.448,12084,305
Treehouse Foods965,10284,149
HCA Holdings1,108,49683,836
Dollar Tree985,30283,750
Dollar Tree985,30283,750
Dollar Tree985,30283,750
Apache Corporation1,628,77583,702
iShares FTSE EPRA/NAREIT Asia Index Fund790,71483,625
Becton, Dickinson & Co.425,88183,451
Becton, Dickinson & Co.425,88183,451
Stryker Corporation716,55783,414
Archer1,960,81683,355
Archer1,960,81683,355
Analog Devices789,80283,141
Analog Devices789,80283,141
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi698,36883,121
Edison International1,043,80183,095
Vanguard Short Term Government Bond ETF687,58183,074
Chemical Financial Corporation1,586,75382,925
Chemical Financial Corporation1,586,75382,925
iBrands Corp.2,457,02082,875
Interface2,020,48482,860
Interface2,020,48482,860
Bottomline Technologies2,598,87082,660
Bottomline Technologies2,598,87082,660
Crown Equity Holdings, Inc.877,14582,636
Methanex Corporation2,314,23182,571
Ibiden Co. Ltd.903,73782,331
Kreisler Manufacturing Corp.2,992,35682,291
Kreisler Manufacturing Corp.2,992,35682,291
Kreisler Manufacturing Corp.2,992,35682,291
Deutsche Bank Aktiengesellschaft2,583,67182,110
Enerplus Corporation10,110,08182,094
Dollar General Corporation1,138,45482,071
Cadence Design Systems1,960,37981,982
Kinder Morgan3,541,76181,921
Lamprell637,93581,887
HCA Holdings1,025,77481,642
Ibiden Co. Ltd.950,24481,427
American International Group1,890,68081,413
American International Group1,890,68081,413
Emerson Electric Company1,358,67381,330
Consolidated Graphics1,005,32781,250
Baxano Surgical, Inc.1,099,38881,181
Baxano Surgical, Inc.1,099,38881,181
Baxano Surgical, Inc.1,099,38881,181
Astrazeneca PLC2,136,12681,131
Astrazeneca PLC2,136,12681,131
Astrazeneca PLC2,136,12681,131
Carnival Plc ADS1,256,47081,130
Carnival Plc ADS1,256,47081,130
Deutsche Bank Aktiengesellschaft2,570,53980,716
Deutsche Bank Aktiengesellschaft2,570,53980,716
Deutsche Bank Aktiengesellschaft2,570,53980,716
Essex Property Trust316,86380,493
Essex Property Trust316,86380,493
Emerson Electric Company1,278,08080,315
Emerson Electric Company1,278,08080,315
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund1,783,61680,198
Fastenal Company1,465,50680,149
Interface1,845,93579,965
The Bank of Kentucky Financial Corp.2,002,75379,871
BlackRock Maryland Municipal Bond Trust1,758,08579,833
Air Products and Chemicals417,91079,805
Air Products and Chemicals417,91079,805
First Trust Senior Floating Rate Income Fund II1,595,58279,789
Enerplus Corporation9,906,17779,745
Autodesk619,90779,726
Autodesk619,90779,726
Autodesk619,90779,726
eBay Inc.2,279,00179,583
National Rural Utilities Cooperative Finance Corp3,769,97979,546
Amphenol Corporation1,115,43579,385
Essex Property Trust308,00479,240
CBS Corporation1,141,43879,170
American Express Company939,78079,168
Centenera Mng Corp.817,80379,140
Centenera Mng Corp.817,80379,140
Lamprell559,56279,139
Bausch Health Companies3,221,79079,095
Hess Corporation1,474,25379,049
Anthem United, Inc.416,25979,037
Anthem United, Inc.416,25979,037
Cavium1,196,66478,908
Cavium1,196,66478,908
Karelia Tobacco Co Inc1,085,11778,790
Deere & Company723,75378,789
Interups Inc.715,35578,782
Interups Inc.715,35578,782
Ingersoll-Rand plc (Ireland)1,156,50178,573
Pioneer Exploration, Inc.597,36278,566
VeriSign14,118,31478,560
priceline.com Incorporated44,09978,496
Republic Services1,230,17378,399
Cummins Inc.483,02378,356
American International Group1,983,98478,190
American International Group1,983,98478,190
American International Group1,983,98478,190
CBS Corporation1,425,85078,050
The Bank of Kentucky Financial Corp.1,444,68477,811
Sport Chalet515,36677,650
Sport Chalet515,36677,650
Sport Chalet515,36677,650
The Bank of Kentucky Financial Corp.1,437,91077,546
The Bank of Kentucky Financial Corp.1,437,91077,546
The Bank of Kentucky Financial Corp.1,437,91077,546
BlackRock Maryland Municipal Bond Trust1,649,00977,404
BlackRock Maryland Municipal Bond Trust1,649,00977,404
LinkedIn Corporation5,378,37177,269
Fastenal Company1,695,18877,267
Fastenal Company1,695,18877,267
Sport Chalet474,93177,228
Invesco Plc2,469,75177,228
Sport Chalet474,93177,228
Deutsche Bank Aktiengesellschaft2,569,80977,145
Becton418,27576,729
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi672,95276,583
The Bank of Kentucky Financial Corp.1,513,68876,333
AZZ Incorporated1,169,42976,328
Berkshire Hathaway Inc.35376,325
Cognizant Technology Solutions Corporation1,051,53976,184
Parker-Hannifin Corporation475,10376,168
Diamondhead Casino Corp.415,09775,873
D.R. Horton1,899,23975,836
D.R. Horton1,899,23975,836
FAMOUS DAVES OF AMERICA INC 1,112,50475,750
FAMOUS DAVES OF AMERICA INC 1,112,50475,750
FAMOUS DAVES OF AMERICA INC 1,112,50475,750
Vanguard Short-Term Corporate Bond ETF936,57275,703
Informa5,181,10075,592
Consolidated Graphics973,25275,585
Allstate Corporation (The)720,79175,475
Microchip Technology Incorporated1,048,87075,434
Microchip Technology Incorporated1,048,87075,434
ServiceNow12,890,07375,396
Fastenal Company1,441,88275,396
Fastenal Company1,441,88275,396
Fastenal Company1,441,88275,396
F5 Networks465,30575,392
F5 Networks465,30575,392
F5 Networks465,30575,392
Essex Property Trust311,35175,151
WestRock1,546,43674,972
Illinois Tool Works Inc.624,91674,892
Indo Tambangraya Megah PT681,87374,672
Hasbro747,43374,608
Corning Incorporated2,253,10574,578
Informa4,964,25774,565
Hasbro763,34674,555
CH Energy Group1,341,82974,525
Gartner841,46874,428
Cognizant Technology Solutions Corporation1,171,94274,395
Cognizant Technology Solutions Corporation1,171,94274,395
Cognizant Technology Solutions Corporation1,171,94274,395
Fomento Economico Mexicano S.A.B. de C.V.846,92074,351
Fomento Economico Mexicano S.A.B. de C.V.846,92074,351
Fomento Economico Mexicano S.A.B. de C.V.846,92074,351
iShares NASDAQ Biotechnology Index Fund770,90474,338
iShares NASDAQ Biotechnology Index Fund770,90474,338
iShares NASDAQ Biotechnology Index Fund770,90474,338
NuVasive963,97374,148
ISHARES IV PLC671,95174,116
ISHARES IV PLC671,95174,116
ISHARES IV PLC671,95174,116
iShares1,344,02074,109
Concho Resources Inc.539,51674,103
Acco Brands Corporation6,216,83173,980
Acco Brands Corporation6,216,83173,980
IEG Holdings Corp834,62973,856
IEG Holdings Corp834,62973,856
Lennar Corporation1,384,83873,818
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND2,054,21273,714
Cummins Inc.487,48273,707
ICICI Bank Limited8,592,10373,549
Essex Property Trust317,06273,410
Crown Equity Holdings, Inc.733,61673,347
Crown Equity Holdings, Inc.733,61673,347
International Consolidated Airlines Group SA1,573,35773,129
International Consolidated Airlines Group SA1,573,35773,129
International Consolidated Airlines Group SA1,573,35773,129
National Rural Utilities Cooperative Finance Corp3,070,38472,952
Russell Exchange Traded Funds Trust Russell Small Cap Contrari552,18172,844
Marriott International771,58972,669
Cedar Fair1,004,55172,427
United States Oil Fund, LP6,609,11072,236
The Hain Celestial Group1,941,64372,229
Fiserv725,66272,181
Advanced Micro Devices2,826,36072,131
Advanced Micro Devices2,826,36072,131
Tesla Exploratin Services Inc.51,168,66372,125
iShares Trust iShares Barclays GNMA Bond Fund638,41072,058
iShares Trust iShares Barclays GNMA Bond Fund638,41072,058
Credicorp Ltd.472,98571,998
F5 Networks417,27471,958
F5 Networks417,27471,958
F5 Networks417,27471,958
eBay Inc.2,140,05771,843
Electronic Arts Inc.679,42771,829
American Airlines Group1,961,14171,800
ICICI Bank Limited9,597,24371,693
iShares Trust iShares Barclays GNMA Bond Fund650,28771,639
Palo Alto Networks379,79571,535
Deutsche Bank Aktiengesellschaft2,304,66371,515
Deutsche Bank Aktiengesellschaft2,304,66371,515
AO Mosenergo937,53271,384
Astrazeneca PLC1,762,78771,269
Astrazeneca PLC1,762,78771,269
BlackRock Maryland Municipal Bond Trust1,593,35871,221
Becton396,06271,185
Ares Capital Corporation4,341,95871,164
Ares Capital Corporation4,341,95871,164
Deutsche Bank Aktiengesellschaft2,277,81171,114
AmerisourceBergen Corporation (Holding Co)858,09271,007
AmerisourceBergen Corporation (Holding Co)858,09271,007
Russell Breweries Inc466,71070,931
Anthem United, Inc.565,33770,843
Metals USA Holdings Corp.953,80770,686
Chemical Financial Corporation1,459,24070,642
Cabot Oil & Gas Corporation2,469,72070,635
Chemical Financial Corporation1,380,59170,617
Novo Nordisk A/S1,528,30170,411
Equifax521,94670,243
Marathon Oil Corporation4,431,35770,062
CITIZENS FINANCIAL GROUP INC/RI1,798,01269,944
CITIZENS FINANCIAL GROUP INC/RI1,798,01269,944
CITIZENS FINANCIAL GROUP INC/RI1,798,01269,944
AmeriGas Partners1,511,33669,870
Devon Energy Corporation1,583,40569,843
Essex Property Trust284,35769,727
Essex Property Trust284,35769,727
Essex Property Trust284,35769,727
Cummins Inc.521,15769,648
Cummins Inc.521,15769,648
Cummins Inc.521,15769,648
Russell Exchange Traded Funds Trust Russell Small Cap Contrari647,57569,639
Russell Exchange Traded Funds Trust Russell Small Cap Contrari647,57569,639
Russell Exchange Traded Funds Trust Russell Small Cap Contrari647,57569,639
Public Service Enterprise Group Incorporated1,662,29769,601
Tiffany & Co.957,10369,514
AmeriGas Partners1,545,52469,457
AmeriGas Partners1,545,52469,457
AmeriGas Partners1,472,57969,344
American Express Company876,08469,305
Deutsche Bank Aktiengesellschaft2,481,82869,243
Deutsche Bank Aktiengesellschaft2,481,82869,243
Deutsche Bank Aktiengesellschaft2,481,82869,243
Cabot Oil & Gas Corporation2,651,95169,217
Cedar Fair1,063,93669,146
B2Digital, Inc.24,686,76069,123
B2Digital, Inc.24,686,76069,123
Hess Midstream Partners LP1,473,02369,070
India Cement Ltd.465,04869,036
The Bank of Kentucky Financial Corp.1,300,44368,950
The Bank of Kentucky Financial Corp.1,300,44368,950
NuVasive921,77468,838
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 542,43868,744
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 542,43868,744
IJJ Corp.463,42568,732
AmeriGas Partners1,520,89368,697
Ross Stores1,067,32268,629
Zebra Technologies Corporation985,25168,583
IEG Holdings Corp807,26768,560
Coherent291,05068,447
Coherent291,05068,447
Cedar Fair1,064,48668,254
Cedar Fair1,064,48668,254
General Electric Capital Corporation6,164,75368,242
General Electric Capital Corporation6,164,75368,242
General Electric Capital Corporation6,164,75368,242
iShares FTSE China (HK Listed) Index Fund1,794,20568,197
Bausch Health Companies2,760,95068,197
Cognizant Technology Solutions Corporation939,36868,143
Cognizant Technology Solutions Corporation939,36868,143
PAREXEL International Corporation783,99268,136
Dollar General Corporation972,97968,097
Emerson Electric Company1,248,11668,035
Cognizant Technology Solutions Corporation860,61467,981
Cognizant Technology Solutions Corporation860,61467,981
Cognizant Technology Solutions Corporation860,61467,981
Fidelity National Information Services881,37167,891
Burlington Stores Inc551,08467,800
British American Tobacco Industries1,011,31367,749
Cognizant Technology Solutions Corporation953,44967,714
Blackberry8,478,06567,654
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND2,407,09667,558
Freeport-McMoran Copper & Gold6,219,67867,544
AMERISAFE1,148,90367,532
Redux Holdings, Inc.705,04567,510
KeyCorp4,490,82467,494
Fluor Corporation1,314,67167,470
Cognizant Technology Solutions Corporation1,015,42867,424
Interactive Intelligence Group1,118,08567,242
Express Scripts Holding Company952,77267,201
Hasbro826,75867,174
Hasbro826,75867,174
Hasbro826,75867,174
IJJ Corp.480,00867,115
The Bank of Kentucky Financial Corp.1,422,05866,935
The Bank of Kentucky Financial Corp.1,422,05866,935
The Bank of Kentucky Financial Corp.1,422,05866,935
BankUnited2,214,89766,891
Amphenol Corporation1,029,98466,865
Metals USA Holdings Corp.910,70066,864
Reynolds American Inc1,027,73366,843
iShares NASDAQ Biotechnology Index Fund230,22366,641
Standard Parking Corporation235,85966,575
Realty Income Corporation994,33666,552
iShares Trust iShares Barclays GNMA Bond Fund606,97266,470
iShares Trust iShares Barclays GNMA Bond Fund606,97266,470
iShares Trust iShares Barclays GNMA Bond Fund606,97266,470
Baxano Surgical, Inc.1,096,84066,402
AmerisourceBergen Corporation (Holding Co)821,80866,384
Autodesk506,14666,352
Autodesk506,14666,352
Autodesk506,14666,352
Interups Inc.614,65366,328
Columbus McKinnon Corporation2,608,54266,309
Essex Property Trust276,65666,140
Essex Property Trust276,65666,140
Essex Property Trust276,65666,140
Royal Dutch Shell PLC1,320,08466,096
CIGNA High Income Shares353,51966,085
CIGNA High Income Shares353,51966,085
Expedition Mining Inc458,91966,057
Pegasystems Inc.1,131,24066,008
Cedar Fair970,40765,803
West Pharmaceutical Services882,26165,728
Zoetis1,261,91265,633
Cameco Corporation6,786,94365,629
Cameco Corporation6,786,94365,629
Corning Incorporated2,050,74665,603
Baxano Surgical, Inc.1,045,40765,599
Baxano Surgical, Inc.1,045,40765,599
Stargaze Entertainment Group Inc.518,24865,589
ABIOMED523,84665,586
Bio-Rad Laboratories328,46065,475
ConAgra Foods1,387,39465,361
Baxter International Inc.1,372,59365,337
Fastenal Company1,267,46765,275
Dollar Tree933,34365,260
CH Energy Group1,314,23765,251
CH Energy Group1,314,23765,251
CH Energy Group1,314,23765,251
Public Service Enterprise Group Incorporated1,470,97765,237
Clorox Company (The)437,52865,077
ONYX Pharmaceuticals232,12765,019
ABIOMED505,35464,979
InterDigital820,05164,948
IJJ Corp.492,44964,930
IJJ Corp.492,44964,930
IJJ Corp.492,44964,930
Air Products and Chemicals395,00364,813
Cedar Fair1,026,25864,664
Cedar Fair1,026,25864,664
Cedar Fair1,026,25864,664
CBS Corporation1,145,72564,413
CBS Corporation1,145,72564,413
CBS Corporation1,145,72564,413
Greenbrier Companies1,219,50864,328
Greenbrier Companies1,219,50864,328
Greenbrier Companies1,219,50864,328
AmeriGas Partners1,408,38864,306
Coherent285,60164,257
Boston Properties471,03164,197
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi615,17964,084
ABB Ltd2,388,98664,071
LTC Properties1,337,51864,067
Symantec Corporation2,552,09764,057
IJJ Corp.461,55463,995
Gray Television4,049,50563,980
Gray Television4,049,50563,980
Gray Television4,049,50563,980
ING Group3,470,62863,929
AMERISAFE1,096,07463,791
AMERISAFE1,096,07463,791
Coherent309,68963,685
ISHARES IV PLC1,333,56163,642
eBay Inc.1,682,91863,515
PPG Industries576,20863,360
Analog Devices711,52863,348
Boston Scientific Corporation1,792,23263,338
Boston Scientific Corporation1,792,23263,338
Boston Scientific Corporation1,792,23263,338
Indo Tambangraya Megah PT583,73363,328
Cintas Corporation562,06963,290
Astrazeneca PLC1,855,40563,250
Cheniere Energy1,447,96663,131
Helmerich & Payne935,67162,969
The Bank of Kentucky Financial Corp.1,230,34462,772
National Financial Partners Corporation988,65262,758
eBay Inc.1,631,27362,741
eBay Inc.1,631,27362,741
Cognizant Technology Solutions Corporation1,053,94062,731
Kinross Gold Corporation15,401,31862,684
Interups Inc.596,04962,561
Greenbrier Companies1,298,14862,506
General Dynamics Corporation402,10962,392
National Financial Partners Corporation877,06462,368
Entergy Corporation816,16162,321
Entergy Corporation816,16162,321
International Consolidated Airlines Group SA293,37662,237
International Consolidated Airlines Group SA293,37662,237
Scana Corporation859,84862,228
Columbus McKinnon Corporation1,809,88162,170
B2Digital, Inc.23,588,77662,038
Apache Corporation970,99962,017
Marathon Petroleum Corporation1,525,91061,937
Columbus McKinnon Corporation2,490,40361,812
Align Technology180,51761,762
Align Technology180,51761,762
Align Technology180,51761,762
NiSource2,559,40761,707
Beacon Roofing Supply1,203,49561,678
Beacon Roofing Supply1,203,49561,678
Astronics Corporation1,368,51361,651
InterDigital835,87661,646
LTC Properties1,185,38261,627
AmTrust Financial Services3,335,83161,580
Enerplus Corporation9,582,45561,423
Dr Pepper Snapple Group672,57061,413
Cavium1,053,07261,289
Discover Financial Services860,88961,262
Archer1,527,60461,227
iShares Trust689,45461,219
AmeriGas Partners1,530,46361,173
Albero Corp.715,20261,143
Foothills Exploration, Inc902,69961,131
Cabot Oil & Gas Corporation2,568,07761,122
Cabot Oil & Gas Corporation2,568,07761,122
Cabot Oil & Gas Corporation2,568,07761,122
INCEPTION MINING INC.378,50261,063
INCEPTION MINING INC.378,50261,063
INCEPTION MINING INC.378,50261,063
Fastenal Company1,457,98560,914
Clorox Company (The)379,44260,884
Citrix Systems713,66260,818
CITIZENS FINANCIAL GROUP INC/RI1,759,76060,800
AmeriGas Partners1,439,41760,771
AmeriGas Partners1,439,41760,771
AmeriGas Partners1,439,41760,771
AmTrust Financial Services4,012,36860,748
Kreisler Manufacturing Corp.2,045,57760,712
NN2,211,16760,698
AMP Ltd.608,07260,668
ConAgra Foods1,607,54460,555
Allstate Corporation (The)684,55860,544
Eagle Bancorp1,013,65860,514
iBrands Corp.1,884,56460,399
iBrands Corp.1,884,56460,399
iBrands Corp.1,884,56460,399
Nexstar Broadcasting Group1,046,33760,384
ProShares Trust ProShares UltraShort Nasdaq Biotechnology1,257,59660,379
Carnival Plc ADS909,63360,372
ING Group4,215,35560,364
ING Group4,215,35560,364
ING Group4,215,35560,364
Colliers International Group796,64160,305
Colliers International Group796,64160,305
Colliers International Group796,64160,305
Archer1,389,85160,277
Allstate Corporation (The)634,82660,181
PPG Industries582,07660,164
General Dynamics Corporation322,61960,139
General Dynamics Corporation322,61960,139
General Dynamics Corporation322,61960,139
Magellan Minerals Ltd.781,11560,075
Citrix Systems572,82860,056
Citrix Systems572,82860,056
Citrix Systems572,82860,056
International Consolidated Airlines Group SA303,62559,861
Ferrum Americas Mining, Inc.1,666,69559,852
Ferrum Americas Mining, Inc.1,666,69559,852
Ferrum Americas Mining, Inc.1,666,69559,852
CBS Corporation937,71159,809
Russell Breweries Inc496,43059,800
Align Technology210,21559,769
Align Technology210,21559,769
Yamana Gold Inc.13,862,79859,750
T-Mobile US Inc1,278,28859,723
Huron Consulting Group Inc.25,732,66059,629
Corning Incorporated1,992,34059,611
Corning Incorporated1,992,34059,611
Enersys858,93559,414
Enersys858,93559,414
JD.com Inc2,272,72259,295
Columbus McKinnon Corporation1,967,15459,290
Columbus McKinnon Corporation1,967,15459,290
Columbus McKinnon Corporation1,967,15459,290
Intertainment Media, Inc.688,38259,166
Dollar General Corporation848,29759,152
Intuitive Surgical56,50059,091
Corning Incorporated1,951,72758,963
Corning Incorporated1,951,72758,963
Corning Incorporated1,951,72758,963
Discover Financial Services862,09658,960
First Trust2,564,22258,844
USD Partners LP501,87758,824
Russell Breweries Inc420,18958,777
Monro Muffler Brake960,63458,761
Huntington Bancshares Incorporated4,929,60958,760
Huntington Bancshares Incorporated4,929,60958,760
Huntington Bancshares Incorporated4,929,60958,760
Kinross Gold Corporation13,945,24858,708
Eagle Bancorp927,34858,701
Omnicom Group Inc.800,44658,624
Carnival Plc ADS1,022,43658,596
Carnival Plc ADS1,022,43658,596
Carnival Plc ADS1,022,43658,596
vTv Therapeutics Inc.673,41358,586
Lamprell429,76158,520
Lamprell429,76158,520
Lamprell429,76158,520
ABB Ltd2,463,86558,494
Integrated Research Ltd.1,072,79958,477
Vanguard International Equity Index Funds Vanguard Global ex-U1,041,41058,434
National Grid Transco Plc929,71558,404
Russell Breweries Inc431,55558,378
H. B. Fuller Company1,086,79858,340
H. B. Fuller Company1,086,79858,340
H. B. Fuller Company1,086,79858,340
Nordstrom1,122,86858,254
STARWOOD PROPERTY TRUST20,790,71058,217
Beacon Roofing Supply912,85558,204
Jacobs Engineering Group Inc.995,39458,190
Jacobs Engineering Group Inc.995,39458,190
Jacobs Engineering Group Inc.995,39458,190
CornerWorld Corp.437,27858,185
eBay Inc.1,603,43258,142
eBay Inc.1,603,43258,142
eBay Inc.1,603,43258,142
Enersys838,40358,008
HPC Acquisitions, Inc.3,732,46357,965
Fastenal Company1,325,84457,714
Intertainment Media, Inc.709,58257,675
Martin Marietta Materials335,21657,615
Martin Marietta Materials335,21657,615
Electronic Arts Inc.643,23257,584
Fifth Third Bancorp2,000,46257,412
Fifth Third Bancorp2,000,46257,412
Fifth Third Bancorp2,000,46257,412
Russell Exchange Traded Funds Trust Russell Small Cap Contrari485,82857,406
Baxter International Inc.1,106,56457,387
PPG Industries545,59957,331
Cedar Fair1,000,64857,327
AMP Ltd.385,62157,268
AMP Ltd.385,62157,268
United States Steel Corporation3,036,09057,260
Signet International Holdings, Inc.767,82257,226
ABB Ltd2,312,00157,222
ABB Ltd2,312,00157,222
International Consolidated Airlines Group SA297,40857,135
Humet-PBC North America, Inc.199,06857,030
Humet-PBC North America, Inc.199,06857,030
Humet-PBC North America, Inc.199,06857,030
Enerplus Corporation7,348,32957,023
Enerplus Corporation7,348,32957,023
Enerplus Corporation7,348,32957,023
Sappi Limited544,71357,014
Callon Petroleum Company5,071,99157,009
Callon Petroleum Company5,071,99157,009
Essex Property Trust255,81056,969
Hydrodynex, Inc.1,117,70656,936
Citrix Systems646,33556,878
Allstate Corporation (The)603,74656,863
Allstate Corporation (The)603,74656,863
Concho Resources Inc.431,42756,827
Concho Resources Inc.431,42756,827
Eastman Chemical Company610,96656,600
Allstate Corporation (The)620,14156,599
Allstate Corporation (The)620,14156,599
Allstate Corporation (The)620,14156,599
Buckeye Technologies825,50656,596
Carmax Mining Corp.810,64556,584
Noble Energy Inc.1,997,43756,528
CleanPath Resources Corp.790,26256,526
Mohawk Industries246,23356,509
Redux Holdings, Inc.699,09556,507
Mascota Resources Corp1,646,53756,493
Pentair879,00156,465
Illumina188,15256,433
Illumina188,15256,433
Illumina188,15256,433
Globus Medical1,117,76456,401
Globus Medical1,117,76456,401
Globus Medical1,117,76456,401
LEAP TECHNOLOGY INC / DE464,95256,362
Consolidated Graphics747,81956,311
Dollar Tree713,36256,305
Six Flags Entertainment Corporation New1,048,50056,211
CBS Corporation952,27056,183
PPG Industries549,39256,166
Cummins Inc.421,96456,120
Cummins Inc.421,96456,120
Cummins Inc.421,96456,120
LTC Properties1,091,19156,077
Mohawk Industries231,97156,065
Drew Industries Incorporated571,91056,059
Russell Breweries Inc427,06756,052
Discover Financial Services728,32456,021
Envision Healthcare Holdings, Inc.1,245,75455,996
Envision Healthcare Holdings, Inc.1,245,75455,996
F5 Networks426,49255,965
Gray Television3,558,52755,869
Humet-PBC North America, Inc.187,61355,840
Humet-PBC North America, Inc.187,61355,840
Humet-PBC North America, Inc.187,61355,840
Martin Marietta Materials324,64155,797
Apache Corporation1,320,88255,768
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio1,081,74855,738
Kreisler Manufacturing Corp.2,387,69955,682
Eagle Bancorp961,25755,657
Noble Energy Inc.1,620,39855,645
Vanguard Energy Corporation461,26555,522
CH Energy Group1,173,45955,482
CH Energy Group1,173,45955,482
CH Energy Group1,173,45955,482
Helios Advantage Income Fund2,434,92055,468
Helios Advantage Income Fund2,434,92055,468
Helios Advantage Income Fund2,434,92055,468
Darling International Inc.2,558,14255,385
Sport Chalet386,17855,385
Allstate Corporation (The)800,30655,364
Fastenal Company1,149,77555,339
Fastenal Company1,149,77555,339
Fastenal Company1,149,77555,339
Greenbrier Companies1,196,38955,334
Indo Tambangraya Megah PT491,97255,307
Deutsche Bank Aktiengesellschaft1,864,98455,185
Fidelity National Information Services1,020,72655,170
Capital One Financial Corp768,80555,161
Core Laboratories N.V.490,33955,079
INCEPTION MINING INC.334,58055,035
AZZ Incorporated923,01854,920
Magellan Minerals Ltd.770,54654,917
CleanPath Resources Corp.987,12154,834
CleanPath Resources Corp.987,12154,834
CleanPath Resources Corp.987,12154,834
Huntington Bancshares Incorporated3,711,39754,780
Huntington Bancshares Incorporated3,711,39754,780
Huntington Bancshares Incorporated3,711,39754,780
Eldorado Gold Corporation13,929,42154,744
Illinois Tool Works Inc.394,87254,706
Illinois Tool Works Inc.394,87254,706
Illinois Tool Works Inc.394,87254,706
AutoZone71,15354,670
Magellan Minerals Ltd.772,57954,650
Baxano Surgical, Inc.844,69154,601
Allstate Corporation (The)669,78854,580
United Continental Holdings1,039,55254,544
Buckeye Technologies852,46454,498
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 481,31154,479
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF607,42254,411
eBay Inc.1,931,17054,208
eBay Inc.1,931,17054,208
eBay Inc.1,931,17054,208
Clorox Company (The)350,72754,061
Clorox Company (The)350,72754,061
Clorox Company (The)350,72754,061
Buckeye Technologies754,14853,997
NN2,142,04453,979
CBS Corporation928,91153,877
CBS Corporation928,91153,877
Karelia Tobacco Co Inc693,61653,735
ING Group3,088,47053,708
Beacon Roofing Supply1,095,50653,680
Darden Restaurants558,63453,639
Advanced Micro Devices2,902,85553,586
Advanced Micro Devices2,902,85553,586
Advanced Micro Devices2,902,85553,586
Acco Brands Corporation5,556,72253,567
Michael Kors Holdings Limited1,141,51453,411
H. B. Fuller Company919,81353,404
H. B. Fuller Company919,81353,404
Blackstone / GSO Strategic Credit Fund1,720,77353,380
Blackstone / GSO Strategic Credit Fund1,720,77353,380
Interface1,419,50053,372
Healthcare Services Group986,08653,218
iShares FTSE China (HK Listed) Index Fund1,337,50753,114
Discover Financial Services822,21453,014
Discover Financial Services822,21453,014
CSRA Inc.1,641,82952,981
CSRA Inc.1,641,82952,981
Hasbro666,73052,892
Sport Chalet386,33952,871
Exelon Corporation1,403,19152,858
Exelon Corporation1,403,19152,858
Illinois Tool Works Inc.417,05652,838
Illinois Tool Works Inc.417,05652,838
Illinois Tool Works Inc.417,05652,838
BlackRock Maryland Municipal Bond Trust1,399,41052,787
Exxon Mobil Corporation643,65852,767
Clorox Company (The)390,04552,754
Clorox Company (The)390,04552,754
Clorox Company (The)390,04552,754
IEG Holdings Corp626,91652,717
HEALTHEQUITY INC1,042,08452,708
Carnival Plc ADS1,077,09052,586
Twitter11,133,51352,562
Edison International830,56252,524
Colliers International Group786,75852,523
Healthcare Services Group1,217,41352,458
ConAgra Foods1,299,41052,419
Woodward837,95952,356
UAN Power Corp.1,352,68052,322
International Paper Company920,61252,310
PAREXEL International Corporation828,59352,293
iShares Trust255,78952,266
W.P. Carey Inc.809,70152,251
Alamos Gold Inc. New8,020,37352,212
Archer1,210,24952,198
Archer1,210,24952,198
ONEOK999,09652,113
Arthur J. Gallagher & Co.706,53352,073
Arthur J. Gallagher & Co.706,53352,073
Arthur J. Gallagher & Co.706,53352,073
Eagle Bancorp849,12152,051
Eagle Bancorp849,12152,051
Eagle Bancorp849,12152,051
Freeport-McMoran Copper & Gold3,699,00351,934
Freeport-McMoran Copper & Gold3,699,00351,934
The Hain Celestial Group1,337,69451,930
Best Buy Co.904,79251,872
Analog Devices601,70551,849
Analog Devices601,70551,849
V.F. Corporation924,73751,831
Goldman Sachs Group879,95651,813
Goldman Sachs Group879,95651,813
Goldman Sachs Group879,95651,813
iShares Trust iShares Barclays GNMA Bond Fund522,35551,797
Select Asset Inc.716,74151,683
Beacon Roofing Supply1,050,66651,652
PAREXEL International Corporation743,63651,646
American Tower Corporation (REIT)377,80151,637
American Tower Corporation (REIT)377,80151,637
Astrazeneca PLC1,653,52051,489
Illinois Tool Works Inc.347,98551,486
Greenbrier Companies1,194,07051,466
Cabot Oil & Gas Corporation1,922,62151,432
Cabot Oil & Gas Corporation1,922,62151,432
Russell Exchange Traded Funds Trust Russell Small Cap Contrari413,74751,355
XBiotech Inc.774,01451,300
ABB Ltd2,059,31351,278
Blackstone / GSO Strategic Credit Fund1,738,20451,190
Lydall989,33551,149
ConAgra Foods1,515,94151,148
ConAgra Foods1,515,94151,148
Loews Corporation1,122,12651,080
Loews Corporation1,122,12651,080
Loews Corporation1,122,12651,080
INCEPTION MINING INC.327,20551,029
Bausch Health Companies2,757,85050,939
Bausch Health Companies2,757,85050,939
Bausch Health Companies2,757,85050,939
Archer1,110,81850,908
Archer1,110,81850,908
Archer1,110,81850,908
Yahoo! Inc.1,179,33550,830
Cantel Medical Corp.493,11650,727
Buckeye Technologies888,75950,659
Buckeye Technologies888,75950,659
Sappi Limited552,39750,493
Kinder Morgan2,627,66550,398
Newfield Exploration Company1,158,17550,335
Allstate Corporation (The)607,46150,195
Allstate Corporation (The)607,46150,195
Allstate Corporation (The)607,46150,195
Informa2,576,53850,062
Informa2,576,53850,062
Informa2,576,53850,062
Interups Inc.527,11450,054
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 462,99350,034
Astronics Corporation1,202,25349,856
Balchem Corporation604,70349,839
CITIZENS FINANCIAL GROUP INC/RI2,016,01849,817
CenturyLink1,814,05149,760
Lydall927,39149,707
Jacobs Engineering Group Inc.898,35849,662
USLIFE Income Fund790,67149,576
Cantel Medical Corp.526,41049,573
Cantel Medical Corp.526,41049,573
Pegasystems Inc.1,130,45349,571
Activision Blizzard1,118,54049,552
Brookfield Office Properties Inc.2,120,06249,524
Sport Chalet376,33349,496
Chemical Financial Corporation1,201,13049,439
Novo Nordisk A/S1,150,80249,358
Cantel Medical Corp.615,28849,284
International Paper Company1,026,70049,262
iShares MSCI ACWI Index Fund767,65749,252
iShares MSCI ACWI Index Fund767,65749,252
iShares MSCI ACWI Index Fund767,65749,252
CenturyLink2,641,17649,233
CenturyLink2,641,17649,233
CenturyLink2,641,17649,233
Align Technology195,96749,212
NuVasive738,16949,206
Grupo Financiero Galicia S.A.1,782,00649,130
Grupo Financiero Galicia S.A.1,782,00649,130
Grupo Financiero Galicia S.A.1,782,00649,130
Edison International635,73949,060
Edison International635,73949,060
Cabot Oil & Gas Corporation2,194,68749,051
Cabot Oil & Gas Corporation2,194,68749,051
Cabot Oil & Gas Corporation2,194,68749,051
iShares470,48349,024
iShares470,48349,024
iShares470,48349,024
Russell Exchange Traded Funds Trust Russell Small Cap Contrari412,04448,980
Helios Advantage Income Fund1,867,48948,966
International Paper Company864,16448,921
iShares FTSE China (HK Listed) Index Fund1,269,50148,865
Healthcare Services Group1,042,80248,835
Integrated Research Ltd.967,31648,830
The Hain Celestial Group1,371,60248,802
ONEOK879,96448,787
CH Energy Group1,031,02648,768
Clorox Company (The)389,16248,714
Mallinckrodt Plc697,81948,694
D.R. Horton1,612,39748,694
FVI Fondo Valores Inmobiliarios2,125,74748,681
Alexandria Real Estate Equities341,27048,649
Alexandria Real Estate Equities341,27048,649
Colliers International Group805,18948,593
Ritchie Bros. Auctioneers Incorporated1,385,25748,581
Apache Corporation1,035,83348,425
Apache Corporation1,035,83348,425
Apache Corporation1,035,83348,425
AZZ Incorporated867,72048,418
MKS Instruments973,48048,411
iSoftStone Holdings Limited1,686,06248,407
iSoftStone Holdings Limited1,686,06248,407
iSoftStone Holdings Limited1,686,06248,407
Greenbrier Companies1,369,73148,352
iShares MSCI ACWI ex US Index Fund1,152,26748,350
iShares MSCI ACWI ex US Index Fund1,152,26748,350
iShares MSCI ACWI ex US Index Fund1,152,26748,350
AvalonBay Communities240,52848,281
Darling International Inc.2,508,38348,261
Darling International Inc.2,508,38348,261
Darling International Inc.2,508,38348,261
ABB Ltd2,216,35948,250
ABB Ltd2,216,35948,250
ABB Ltd2,216,35948,250
Cadence Design Systems1,113,31248,218
Cadence Design Systems1,113,31248,218
Cadence Design Systems1,113,31248,218
Grupo Financiero Galicia S.A.1,458,53648,103
Grupo Financiero Galicia S.A.1,458,53648,103
Grupo Financiero Galicia S.A.1,458,53648,103
Chemical Financial Corporation1,313,59348,090
Chemical Financial Corporation1,313,59348,090
Chemical Financial Corporation1,313,59348,090
Edison International614,33348,036
Discover Financial Services681,55447,988
Discover Financial Services681,55447,988
Discover Financial Services681,55447,988
Charles River Laboratories International330,18647,959
Anthem United, Inc.289,80847,927
Aflac Incorporated957,17247,859
Aflac Incorporated957,17247,859
The Hain Celestial Group1,161,70547,803
Best Buy Co.696,38947,681
General Dynamics Corporation303,02347,635
General Dynamics Corporation303,02347,635
Iren SPA246,95947,635
Iren SPA246,95947,635
General Dynamics Corporation303,02347,635
CAM Group, Inc.992,91747,631
Magellan Minerals Ltd.832,78247,519
Magellan Minerals Ltd.832,78247,519
Magellan Minerals Ltd.832,78247,519
Illinois Tool Works Inc.358,66947,513
Hancock Holding Company968,76047,469
Analog Devices579,07247,457
Cantel Medical Corp.609,11447,456
Entergy Corporation616,15047,277
Cantel Medical Corp.605,47847,214
Patterson Companies1,005,12447,190
iShares459,98347,153
iShares459,98347,153
Haemonetics Corporation525,13347,094
Haemonetics Corporation525,13347,094
Haemonetics Corporation525,13347,094
National Rural Utilities Cooperative Finance Corp1,944,83947,084
National Rural Utilities Cooperative Finance Corp1,944,83947,084
HealthSouth Corporation1,159,95347,058
Steven Madden1,177,88447,056
Herbalife LTD.23,167,98747,049
Cedar Fair893,67947,025
Public Service Enterprise Group Incorporated1,092,62046,995
Marsh & McLennan Companies636,00546,993
OMNOVA Solutions Inc.4,817,03146,966
Dollar Tree598,50946,958
Archer1,145,86246,946
Archer1,145,86246,946
Archer1,145,86246,946
Iamgold Corporation8,079,07346,939
Iamgold Corporation8,079,07346,939
Iamgold Corporation8,079,07346,939
Balchem Corporation603,49146,898
Blackberry4,190,56046,850
Blackberry4,190,56046,850
Darden Restaurants559,51646,815
Electronic Arts Inc.547,95246,795
Boston Scientific Corporation1,966,08446,793
Ducommun Incorporated1,459,85346,788
Ducommun Incorporated1,459,85346,788
Neogen Corporation676,15946,729
Ishares Income Trust Sector Index Fd878,68546,721
Ishares Income Trust Sector Index Fd878,68546,721
Carmax Mining Corp.615,95646,696
Carmax Mining Corp.615,95646,696
INCEPTION MINING INC.304,74146,650
American Outdoor Brands1,753,79946,634
Illinois Tool Works Inc.325,39946,614
Carmax Mining Corp.639,34046,590
Carmax Mining Corp.639,34046,590
Carmax Mining Corp.639,34046,590
Liberty Broadband Corporation536,65246,555
Norbord1,809,92146,550
Kinross Gold Corporation14,339,69146,461
Kinross Gold Corporation14,339,69146,461
Kinross Gold Corporation14,339,69146,461
Andeavor450,34446,453
Andeavor450,34446,453
Church & Dwight Company651,89546,433
iShares MSCI Europe Financials Sector Index Fund376,78146,361
LEAP TECHNOLOGY INC / DE327,09546,311
Astronics Corporation1,519,55546,301
Iren SPA269,51746,280
Iren SPA269,51746,280
Iren SPA269,51746,280
Jacobs Engineering Group Inc.892,21946,147
Ducommun Incorporated1,460,82046,133
CNP Assurances SA1,576,68946,055
CNP Assurances SA1,576,68946,055
Regal Beloit Corporation564,32446,021
Balchem Corporation592,90345,968
ABB Ltd2,434,50945,939
ABB Ltd2,434,50945,939
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal1,975,81945,858
Integra LifeSciences Holdings Corporation554,53145,776
ING Group4,292,82245,761
ING Group4,292,82245,761
ING Group4,292,82245,761
LAS VEGAS RAILWAY EXPRESS, INC.715,51245,715
Astronics Corporation1,440,27445,700
Suburban Propane Partners1,372,15345,693
Citrix Systems547,67845,672
British American Tobacco Industries1,094,55345,665
iShares FTSE EPRA/NAREIT North America Index Fund784,48845,649
Balchem Corporation561,18745,620
Astronics Corporation1,223,05345,620
Balchem Corporation561,18745,620
ABB Ltd2,397,22245,571
ABB Ltd2,397,22245,571
ABB Ltd2,397,22245,571
First Trust2,203,11645,556
First Trust2,203,11645,556
First Trust2,203,11645,556
Cummins Inc.355,41045,545
Hancock Holding Company999,23845,516
Eagle Bancorp922,38145,502
Grand Canyon Education1,126,43645,497
CenturyLink3,000,45645,459
CenturyLink3,000,45645,459
CenturyLink3,000,45645,459
HAWKER ENERGY, INC.40,488,00045,456
HAWKER ENERGY, INC.40,488,00045,456
Air Products and Chemicals285,73645,443
Balchem Corporation463,01945,441
Balchem Corporation463,01945,441
Balchem Corporation463,01945,441
Emergent Biosolutions1,122,93145,422
Emergent Biosolutions1,122,93145,422
Monro Muffler Brake870,73145,365
Insteel Industries1,251,04445,338
Columbus McKinnon Corporation2,541,24545,335
iSoftStone Holdings Limited1,341,83745,300
OMNOVA Solutions Inc.4,573,65245,280
Air Lease Corporation1,582,61345,203
Ferrum Americas Mining, Inc.1,548,77845,162
U.S. Stem Cell, Inc.771,03945,076
Patterson Companies996,48045,070
iShares MSCI Europe Financials Sector Index Fund364,63145,057
Carmax Mining Corp.717,73545,025
Carmax Mining Corp.717,73545,025
Carmax Mining Corp.717,73545,025
Neogen Corporation686,09344,973
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 433,31744,962
Balchem Corporation557,03544,898
Mohawk Industries383,40744,843
Mohawk Industries383,40744,843
Interface1,278,86644,837
Interface1,278,86644,837
Interface1,278,86644,837
CleanPath Resources Corp.790,64044,829
CleanPath Resources Corp.790,64044,829
HCP1,609,81544,801
Motorola Solutions388,85844,734
Motorola Solutions388,85844,734
ConAgra Foods1,250,57444,721
iShares Trust276,32544,666
Bottomline Technologies894,37544,566
Bottomline Technologies894,37544,566
Bottomline Technologies894,37544,566
Worldpay Group PLC731,91344,536
Steven Madden1,154,55044,508
Ferrum Americas Mining, Inc.1,398,63344,505
Interface1,287,07144,391
Copart732,00044,353
Sport Chalet364,55944,352
Libbey2,481,90744,302
Charles River Laboratories International409,98244,286
Charles River Laboratories International409,98244,286
Charles River Laboratories International393,90044,219
Charles River Laboratories International393,90044,219
Charles River Laboratories International393,90044,219
Coherent282,53944,195
Coherent282,53944,195
Coherent282,53944,195
RLI Corp.645,49444,125
The Hanover Insurance Group368,76644,089
The Hanover Insurance Group368,76644,089
The Hanover Insurance Group368,76644,089
Edison International609,50744,038
Autodesk419,30643,954
Best Buy Co.893,69343,926
Autodesk391,28143,924
Autodesk391,28143,924
FireEye Inc42,191,71443,913
Cadence Design Systems1,111,03543,853
Cadence Design Systems1,111,03543,853
Patrick Industries1,480,91943,849
IEG Holdings Corp527,44443,773
Precision Drilling Corporation10,450,68543,684
Landstar Development Group, Inc.509,81043,666
Landstar Development Group, Inc.509,84143,642
Alamos Gold Inc. New7,666,16743,621
Alamos Gold Inc. New7,666,16743,621
Alamos Gold Inc. New7,666,16743,621
Loews Corporation931,51543,606
Expedition Mining Inc373,56643,602
Jacobs Engineering Group Inc.748,30043,602
Jacobs Engineering Group Inc.801,34243,585
Citrix Systems547,23643,550
Banco de Guayaquil SA4,758,99743,497
Banco de Guayaquil SA4,758,99743,497
Banco de Guayaquil SA4,758,99743,497
International Consolidated Airlines Group SA232,32343,488
Eagle Bancorp648,27543,467
Eagle Bancorp648,27543,467
British American Tobacco Industries655,02843,441
Clorox Company (The)327,41043,188
Clorox Company (The)327,41043,188
Boston Scientific Corporation1,319,63243,152
Boston Scientific Corporation1,319,63243,152
Boston Scientific Corporation1,319,63243,152
Darling International Inc.2,170,26343,145
Darling International Inc.2,170,26343,145
Darling International Inc.2,170,26343,145
Cedar Fair911,36643,107
Cedar Fair911,36643,107
Cedar Fair911,36643,107
CleanPath Resources Corp.795,20843,101
Rockwell Diamonds, Inc.266,09043,097
Kinross Gold Corporation12,264,03243,048
ENERGY TRANSFER PARTNERS1,163,34743,044
Portland General Electric Company1,007,65942,916
Russell Exchange Traded Funds Trust Russell Small Cap Contrari409,54642,899
Discover Financial Services758,34742,883
Manhattan Associates822,20442,796
iShares FTSE EPRA/NAREIT North America Index Fund690,21642,730
Edge Resources Inc.847,82442,679
LAS VEGAS RAILWAY EXPRESS, INC.819,87642,673
LAS VEGAS RAILWAY EXPRESS, INC.819,87642,673
LAS VEGAS RAILWAY EXPRESS, INC.819,87642,673
Harley-Davidson809,55442,573
Discover Financial Services720,99542,524
Discover Financial Services720,99542,524
Discover Financial Services720,99542,524
Knight Transportation1,146,90542,493
Aflac Incorporated590,98442,472
Corning Incorporated1,543,62542,465
Corning Incorporated1,543,62542,465
Corning Incorporated1,543,62542,465
Comerica Incorporated617,73942,433
Comerica Incorporated617,73942,433
Comerica Incorporated617,73942,433
The Providence Service Corporation1,312,78642,403
United Resource Holdings Group, Inc.539,50042,346
British American Tobacco Industries331,72242,343
Edison International669,19642,339
Edison International669,19642,339
Edison International669,19642,339
Petrominerales Ltd520,11042,264
Martin Marietta Materials235,90942,254
AZZ Incorporated867,30542,238
AZZ Incorporated867,30542,238
British American Tobacco Industries836,67742,209
British American Tobacco Industries836,67742,209
British American Tobacco Industries836,67742,209
Integer Holdings Corporation825,06242,202
British American Tobacco Industries674,86342,145
British American Tobacco Industries674,86342,145
The Providence Service Corporation1,169,55642,104
Colliers International Group999,54742,051
Expedition Mining Inc291,98342,028
F5 Networks294,21041,947
Charles River Laboratories International382,56341,873
iSoftStone Holdings Limited1,279,57241,867
Parsley Energy1,287,61941,861
Globus Medical1,259,29441,745
CASEY CONTAINER CORP346,90241,681
Crimson Exploration Inc.412,50241,577
Colliers International Group754,49741,520
Colliers International Group754,49741,520
Colliers International Group754,49741,520
RLI Corp.691,67741,516
Security Devices International Inc.495,47841,417
Align Technology186,29441,392
Manhattan Associates858,84641,277
Foothills Exploration, Inc551,31241,242
IJJ Corp.330,04441,193
Altair Gold, Inc.1,312,94741,175
Dorman Products496,16041,068
CleanPath Resources Corp.736,81140,982
AutoZone68,83640,966
AutoZone68,83640,966
FOX FACTORY HOLDING950,31940,959
FOX FACTORY HOLDING950,31940,959
Dorman Products498,55140,947
CleanPath Resources Corp.733,37540,945
First Trust Senior Floating Rate Income Fund II895,62140,831
Apache Corporation1,060,65840,815
AZZ Incorporated798,73540,815
Charles River Laboratories International403,29840,794
NN2,233,64140,764
CNOOC Limited372,56440,763
Mead Johnson Nutrition Company457,41840,747
Alexandria Real Estate Equities322,63540,707
Alexandria Real Estate Equities322,63540,707
Alexandria Real Estate Equities322,63540,707
Centenera Mng Corp.606,99340,644
National Grid Transco Plc846,99140,639
National Grid Transco Plc846,99140,639
First Trust Exchange-Traded Fund II First Trust BICK Index Fun2,077,27540,611
Colliers International Group816,81840,595
Colliers International Group816,81840,595
Autodesk402,46940,575
IDEXX Laboratories260,77540,547
Church & Dwight Company845,92640,536
Fidelity National Information Services503,61940,522
PIMCO California Municipal Income Fund399,49740,514
CBS Corporation851,80040,486
Cigna Corporation251,54940,454
Cantel Medical Corp.411,24140,451
Cantel Medical Corp.411,24140,451
Cantel Medical Corp.411,24140,451
Archer958,35540,414
Carmax Mining Corp.640,38840,383
Ducommun Incorporated1,402,26140,371
Hartford Financial Services Group728,31640,371
H. B. Fuller Company945,59540,349
H. B. Fuller Company945,59540,349
H. B. Fuller Company945,59540,349
Buckeye Technologies813,13340,289
Mountain Province Diamonds Inc.7,686,11340,276
Realty Income Corporation729,44540,250
iShares Trust239,54340,244
iShares Trust239,54340,244
iShares Trust239,54340,244
Ducommun Incorporated1,413,45940,212
Jazz Pharmaceuticals plc330,85440,192
Moody's Corporation286,64640,142
Moody's Corporation286,64640,142
Ritchie Bros. Auctioneers Incorporated1,396,42940,134
ING Group2,654,63140,059
Iamgold Corporation6,565,65040,050
ISHARES IV PLC453,00239,934
Ferrum Americas Mining, Inc.1,062,68539,903
Ferrum Americas Mining, Inc.1,062,68539,903
Ferrum Americas Mining, Inc.1,062,68539,903
First Trust Senior Floating Rate Income Fund II947,38339,872
FOX FACTORY HOLDING1,735,29939,861
Novo Nordisk A/S957,97439,843
European Real Estate Investment Trust Ltd.817,41039,832
Ingevity Corp637,16339,803
CoreStream Energy, Inc.700,23339,745
CoreStream Energy, Inc.700,23339,745
CoreStream Energy, Inc.700,23339,745
Globus Medical1,336,34039,716
Great Plains Energy Inc1,309,50139,679
The Advisory Board Company739,61939,660
The Advisory Board Company739,61939,660
Take-Two Interactive Software878,91539,622
Constellation Brands Inc237,76839,587
Aercap Holdings N.V.1,027,86839,563
ANSYS321,95339,514
ANSYS321,95339,514
Ducommun Incorporated1,193,53939,493
Ducommun Incorporated1,193,53939,493
Ducommun Incorporated1,193,53939,493
AmTrust Financial Services2,932,16439,467
AmTrust Financial Services2,932,16439,467
ABIOMED96,45739,455
ABIOMED96,45739,455
ABIOMED96,45739,455
BankUnited1,109,04939,449
BankUnited1,109,04939,449
Chemical Financial Corporation893,52339,430
Cardtronics9,536,78039,422
CleanPath Resources Corp.798,63639,413
CleanPath Resources Corp.798,63639,413
CleanPath Resources Corp.798,63639,413
Dycom Industries353,35639,374
Actuant Corporation1,537,06939,349
Actuant Corporation1,537,06939,349
Palo Alto Networks246,92339,341
Exelon Corporation1,180,84739,320
Ameren Illinois Company534,12539,285
Ameren Illinois Company534,12539,285
Alexandria Real Estate Equities314,01839,218
Multi-Color Corporation551,02739,124
Astrazeneca PLC1,189,36439,081
Lic Housing Finance Ltd.175,05639,061
PIMCO Income Strategy Fund1,337,67238,927
Lydall760,88938,904
FNB United Corp.2,809,92938,834
Whole Foods Market1,367,98138,785
Foothills Exploration, Inc786,25938,746
Astronics Corporation1,301,61438,724
Astronics Corporation1,301,61438,724
Fiserv335,60538,697
Electronic Arts Inc.490,17038,679
Electronic Arts Inc.490,17038,679
Electronic Arts Inc.490,17038,679
Globus Medical1,305,12438,659
Church & Dwight Company587,80638,654
Church & Dwight Company587,80638,654
Church & Dwight Company587,80638,654
Novo Nordisk A/S1,127,12438,638
The Hanover Insurance Group398,22638,600
Diebold1,256,24638,566
U.S. Stem Cell, Inc.736,65038,541
Manhattan Associates668,71438,532
Dr Pepper Snapple Group435,49838,529
Dr Pepper Snapple Group435,49838,529
Dorman Products602,18538,481
Steel Partners Holdings LP1,539,86538,481
iShares Trust227,74538,425
ONEOK747,54538,415
Portland General Electric Company840,50338,402
H. B. Fuller Company750,50438,358
Greenbrier Companies969,19738,322
Greenbrier Companies969,19738,322
Greenbrier Companies969,19738,322
FNB United Corp.2,723,02038,203
FNB United Corp.2,723,02038,203
Ishares Income Trust Sector Index Fd671,72738,121
Great Plains Energy Inc1,300,86138,044
Cerner Corporation615,93538,034
Gulfport Energy Corporation1,345,31938,005
Koppers Holdings Inc.1,180,66137,994
Bottomline Technologies1,477,36737,954
eWELLNESS HEALTHCARE Corp554,29337,864
The Providence Service Corporation1,082,73837,851
Great Plains Energy Inc1,291,49337,825
CNOOC Limited291,53737,812
CNOOC Limited291,53737,812
Applied Industrial Technologies574,60137,808
Applied Industrial Technologies574,60137,808
Seagate Technology.979,80037,772
E*TRADE Financial Corporation1,294,94237,709
Sterling Bancorp2,154,38037,702
Intuitive Surgical51,99037,683
Hartford Financial Services Group783,53837,664
International Consolidated Airlines Group SA215,97237,648
Core-Mark Holding Company1,051,47137,643
Sherwin-Williams Company (The)107,24637,641
Norfolk Souther Corporation335,95737,618
Iren SPA242,26237,618
INFORMATION ANALYSIS INC210,86937,591
FNB United Corp.2,801,14937,590
FNB United Corp.2,801,14937,590
FNB United Corp.2,801,14937,590
Charles River Laboratories International332,09237,587
Charles River Laboratories International332,09237,587
Charles River Laboratories International332,09237,587
Multi-Color Corporation460,52137,579
Arthur J. Gallagher & Co.573,97137,467
Arthur J. Gallagher & Co.573,97137,467
Arthur J. Gallagher & Co.573,97137,467
CNOOC Limited201,68437,463
Air Products and Chemicals261,77837,449
CAM Group, Inc.742,15937,413
CAM Group, Inc.742,15937,413
CAM Group, Inc.742,15937,413
iShares MSCI Europe Financials Sector Index Fund302,90537,413
Loews Corporation799,12637,377
Medidata Solutions6,546,29037,361
Bottomline Technologies1,077,00437,350
Tetra Technologies1,050,20237,250
Integrated Research Ltd.883,90637,240
LKQ Corporation1,128,97137,199
Portland General Electric Company835,78637,125
Hartford Financial Services Group705,60737,094
Healthcare Services Group937,10837,090
RLI Corp.677,96737,031
McCormick & Company265,84237,016
McCormick & Company265,84237,016
CNOOC Limited308,92737,009
LKQ Corporation1,559,21637,001
LKQ Corporation1,559,21637,001
LKQ Corporation1,559,21637,001
Brookfield Office Properties Inc.1,759,83436,956
Hancock Holding Company1,161,41736,873
Hexcel Corporation642,00536,862
Gap1,247,42836,837
Gray Television2,688,22636,828
Church & Dwight Company692,46536,811
Church & Dwight Company692,46536,811
Church & Dwight Company692,46536,811
ISHARES IV PLC333,36736,802
J.B. Hunt Transport Services402,18236,751
Labor Smart, Inc.267,26036,744
Align Technology244,64636,727
Level 3 Communications790,43036,659
Insteel Industries1,402,31336,614
Eastman Chemical Company366,13936,599
Eastman Chemical Company366,13936,599
Eastman Chemical Company366,13936,599
Nearmap Ltd.727,70436,596
Core-Mark Holding Company1,172,39136,567
Apache Corporation796,34636,472
Apache Corporation796,34636,472
Parsley Energy1,313,83936,460
Astronics Corporation1,013,31836,449
Astronics Corporation1,013,31836,449
Astronics Corporation1,013,31836,449
Microsemi Corporation777,40136,382
Alamos Gold Inc. New7,156,70036,357
Alamos Gold Inc. New7,156,70036,357
Indianapolis Power & Light Co.1,235,84436,346
C.R. Bard114,84336,302
Markel Corporation34,96936,299
Markel Corporation34,96936,299
Markel Corporation34,96936,299
Callon Petroleum Company2,311,34936,288
Best Buy Co.636,80536,273
Best Buy Co.636,80536,273
Charles River Laboratories International402,97136,247
Spirent Communications Plc.568,31836,224
HPC Acquisitions, Inc.1,813,78936,203
Praxair299,13036,143
Kite Pharma, Inc.646,39136,108
THEDIRECTORY.COM, INC.458,61136,093
The Hanover Insurance Group400,75736,091
First Trust2,122,08736,089
First Trust2,122,08736,089
First Trust2,122,08736,089
Granite Real Estate Inc.884,90436,077
Granite Real Estate Inc.884,90436,077
Granite Real Estate Inc.884,90436,077
Darling International Inc.2,056,09636,025
Darling International Inc.2,056,09636,025
Colliers International Group637,38735,981
NICE-Systems Limited332,50435,981
NICE-Systems Limited332,50435,981
IBERIABANK Corporation437,17435,915
Phillips 66 Partners738,79035,905
Foothills Exploration, Inc674,41035,878
Foothills Exploration, Inc674,41035,878
Foothills Exploration, Inc674,41035,878
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund328,28535,797
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund328,28535,797
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund328,28535,797
CNOOC Limited248,85635,728
The Hanover Insurance Group403,05435,723
Alamos Gold Inc. New6,855,77935,718
Cerner Corporation529,79535,703
Carmax Mining Corp.556,10335,664
Fiserv291,40435,651
JPMorgan Chase Bank NA1,263,23435,648
Carnival Plc ADS723,03835,645
Carnival Plc ADS723,03835,645
Carnival Plc ADS723,03835,645
Karelia Tobacco Co Inc571,42335,640
Eplus Inc.378,60735,626
Eplus Inc.378,60735,626
Eplus Inc.378,60735,626
Gray Television2,416,68035,621
Gray Television2,416,68035,621
Gray Television2,416,68035,621
Granite Real Estate Inc.915,93335,620
Granite Real Estate Inc.915,93335,620
Granite Real Estate Inc.915,93335,620
Hershey332,05735,591
Hershey332,05735,591
Hershey332,05735,591
Newfield Exploration Company964,04835,582
Jack Henry & Associates281,03835,558
Jack Henry & Associates281,03835,558
Jack Henry & Associates281,03835,558
Great Plains Energy Inc1,301,93235,529
Diebold1,266,32435,457
Advanced Micro Devices2,365,09335,453
Advanced Micro Devices2,365,09335,453
Advanced Micro Devices2,365,09335,453
Canopy Growth Corporation816,77635,423
Globus Medical817,94435,401
Globus Medical817,94435,401
Globus Medical817,94435,401
CBS Corporation809,15435,375
CBS Corporation809,15435,375
CBS Corporation809,15435,375
VOIP PAL.com, Inc.273,02735,340
Eagle Bancorp725,03035,317
Eagle Bancorp725,03035,317
Eagle Bancorp725,03035,317
ABIOMED121,06235,228
ConAgra Foods1,269,61535,219
IBERIABANK Corporation444,74135,179
Dorman Products490,97635,163
Dorman Products490,97635,163
FVI Fondo Valores Inmobiliarios1,343,23535,152
FVI Fondo Valores Inmobiliarios1,343,23535,152
Ducommun Incorporated966,63935,108
Ducommun Incorporated966,63935,108
Ducommun Incorporated966,63935,108
Ctrip.com International10,133,54835,101
IBERIABANK Corporation430,61135,094
ITC Holdings Corp.754,89435,086
Richmont Mines3,490,58335,080
Haemonetics Corporation781,79535,079
Darden Restaurants570,90535,007
PacWest Bancorp1,051,61634,997
Vascular Solutions725,23334,978
Darling International Inc.1,929,06234,975
Bottomline Technologies1,477,34334,939
Qorvo626,72834,935
Avery Dennison Corporation303,94534,910
Illumina124,96634,903
Illumina124,96634,903
Illumina124,96634,903
First Tractor Co. Ltd.820,72134,903
Steven Madden1,009,62534,892
CIGNA High Income Shares208,43634,891
Whirlpool Corporation215,17234,891
Teledyne Technologies Incorporated322,95434,855
Cypress Semiconductor Corporation2,320,02134,847
Cypress Semiconductor Corporation2,320,02134,847
iShares1,378,32034,846
Synaptics Incorporated594,73634,840
CITIZENS FINANCIAL GROUP INC/RI1,070,09734,778
Roper Technologies150,11434,756
Coach950,02634,732
AutoZone60,84334,710
Texas Capital Bancshares631,28334,671
Karelia Tobacco Co Inc606,83834,596
Karelia Tobacco Co Inc606,83834,596
Karelia Tobacco Co Inc606,83834,596
Granite Real Estate Inc.854,69234,590
E*TRADE Financial Corporation791,76834,529
E*TRADE Financial Corporation791,76834,529
Hexcel Corporation520,09934,525
Hexcel Corporation520,09934,525
Hexcel Corporation520,09934,525
Kennametal Inc.1,036,51234,495
Kennametal Inc.1,036,51234,495
Kennametal Inc.1,036,51234,495
IBERIABANK Corporation454,79634,474
IBERIABANK Corporation454,79634,474
IBERIABANK Corporation454,79634,474
INFORMATION ANALYSIS INC215,24534,425
INFORMATION ANALYSIS INC215,24534,425
INFORMATION ANALYSIS INC215,24534,425
J.M. Smucker Company (The)253,90134,415
Carmax Mining Corp.644,36934,378
F5 Networks285,14334,378
F5 Networks285,14334,378
Charles River Laboratories International412,35434,366
Landstar Development Group, Inc.359,16334,361
Landstar Development Group, Inc.359,16334,361
Landstar Development Group, Inc.359,16334,361
E*TRADE Financial Corporation560,91334,305
E*TRADE Financial Corporation560,91334,305
E*TRADE Financial Corporation560,91334,305
Rightmove Plc3,214,67334,267
Buffalo Wild Wings224,13034,236
Atmos Energy Corporation432,73634,183
VICTORY ENERGY CORP879,54734,139
American Financial Group357,55034,117
Albero Corp.323,09434,099
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 350,12834,091
PVH Corp.297,30334,043
Cadence Design Systems534,36433,936
Hexcel Corporation622,12033,936
TotalFinaElf711,10433,919
Italian Food & Beverage Corp196,01733,885
Italian Food & Beverage Corp196,01733,885
Italian Food & Beverage Corp196,01733,885
Zions Bancorporation1,092,00333,873
Karelia Tobacco Co Inc487,40333,854
Align Technology161,59733,843
Align Technology161,59733,843
Align Technology161,59733,843
Goldman Sachs Group806,47733,798
Goldman Sachs Group806,47733,798
Goldman Sachs Group806,47733,798
Republic Services669,85233,794
First Trust Exchange-Traded Fund II First Trust ISE Global Pla1,237,48533,636
Analog Devices350,66733,635
Analog Devices350,66733,635
Analog Devices350,66733,635
Carrizo Oil & Gas1,963,02733,627
Carrizo Oil & Gas1,963,02733,627
Henry Schein206,11233,592
Pattern Energy Group7,484,17433,577
Cerner Corporation586,88633,576
CSRA Inc.1,247,69033,563
Citrix Systems327,35133,539
Citrix Systems327,35133,539
Citrix Systems327,35133,539
Copart592,92433,535
Copart592,92433,535
Copart592,92433,535
KeyCorp2,266,50433,498
KeyCorp2,266,50433,498
KeyCorp2,266,50433,498
Aspen Pharmacare Holdings plc297,52333,469
Aareal Bank AG1,022,62933,387
TE Connectivity Ltd.518,28933,367
Gold Reserve Inc333,06033,329
American Financial Group335,39333,328
Integrated Research Ltd.517,30833,321
Integrated Research Ltd.517,30833,321
Integrated Research Ltd.517,30833,321
Cabot Oil & Gas Corporation1,392,95133,306
Parker-Hannifin Corporation223,29533,303
Crimson Exploration Inc.407,88233,292
Crimson Exploration Inc.407,88233,292
Crimson Exploration Inc.407,88233,292
Vectren Corporation663,02333,285
Altair Gold, Inc.973,14033,264
Altair Gold, Inc.973,14033,264
Altair Gold, Inc.973,14033,264
Iren SPA229,79033,236
Fluor Corporation725,47333,212
American Tower Corporation (REIT)292,89733,192
Sunoco1,143,29333,168
Voestalpine AG354,35333,158
Buffalo Wild Wings211,98833,144
CleanPath Resources Corp.690,76133,143
LAS VEGAS RAILWAY EXPRESS, INC.575,23033,100
Darling International Inc.2,102,88333,100
Colliers International Group700,49633,063
Atmos Energy Corporation443,82533,052
LEAP TECHNOLOGY INC / DE232,46333,029
Dycom Industries349,38533,018
Dycom Industries349,38533,018
Dycom Industries349,38533,018
Arista Networks, Inc.104,95633,003
Arista Networks, Inc.104,95633,003
Hexcel Corporation624,46632,964
Enpro Industries409,20232,954
Enpro Industries409,20232,954
RingCentral3,008,85232,949
Progressive Corporation (The)747,02032,936
Alaska Power & Telephone Co.366,61932,907
M/A-COM Technology Solutions Holdings776,34332,869
NRG Energy828,46632,806
NRG Energy828,46632,806
Omnicom Group Inc.385,80932,794
Liberty Broadband Corporation379,48232,786
Quanta Services1,171,24432,782
Host Marriott Financial Trust1,770,18632,731
Copart755,72132,640
IEG Holdings Corp424,98832,627
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund299,31432,609
Eastman Chemical Company481,62732,596
The Providence Service Corporation979,39332,562
Oceaneering International1,183,01432,547
Wynn Resorts333,61632,502
Copart679,97532,490
Copart679,97532,490
Copart679,97532,490
BT Group plc1,688,44232,487
BT Group plc1,688,44232,487
Honda Motor Company1,109,06832,462
Honda Motor Company1,109,06832,462
Honda Motor Company1,109,06832,462
iSoftStone Holdings Limited1,031,17332,441
Mettler-Toledo International77,11932,376
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund549,64932,342
Fiserv250,67432,328
C.R. Bard130,07332,327
Beacon Roofing Supply767,50932,287
Euronet Worldwide377,40732,275
Cooper Companies126,77032,263
Cooper Companies126,77032,263
Cooper Companies126,77032,263
Dominion Diamond Corporation2,554,05532,258
Interval Leisure Group1,877,78632,241
Iren SPA232,68432,218
Fifth Third Bancorp1,061,75932,213
iShares Trust iShares Barclays GNMA Bond Fund342,89332,189
Alexandria Real Estate Equities279,19432,172
Alexandria Real Estate Equities279,19432,172
Alexandria Real Estate Equities279,19432,172
OMNOVA Solutions Inc.3,802,07432,089
Atmos Energy Corporation386,79432,085
HealthSouth Corporation748,67532,050
Healthcare Services Group741,83632,040
Healthcare Services Group741,83632,040
Healthcare Services Group741,83632,040
The Hain Celestial Group1,074,42932,019
The Hain Celestial Group1,074,42932,019
The Hain Celestial Group1,074,42932,019
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund283,89032,008
Black Hills Corporation532,19731,991
United Natural Foods798,57331,975
Neogen Corporation570,62931,922
Lennox International173,74931,907
ING Group2,583,64431,883
WPP plc269,88231,772
Fluor Corporation754,30431,756
Masimo Corporation340,36431,742
iShares Gold Trust2,581,53231,728
iShares Gold Trust2,581,53231,728
iShares Gold Trust2,581,53231,728
CNOOC Limited185,20431,714
CNOOC Limited185,20431,714
CNOOC Limited185,20431,714
Sherwin-Williams Company (The)114,62431,713
iShares S&P Global Clean Energy Index Fund192,76831,710
iShares S&P Global Clean Energy Index Fund192,76831,710
Ameren Illinois Company486,01731,704
Ameren Illinois Company486,01731,704
Ameren Illinois Company486,01731,704
Indianapolis Power & Light Co.964,51131,684
Dorman Products351,77431,666
Dorman Products351,77431,666
Dorman Products351,77431,666
Alaska Power & Telephone Co.430,60731,653
Aeolus Pharmaceuticals, Inc.1,771,56731,642
Marathon Oil Corporation2,203,90831,604
Marathon Oil Corporation2,203,90831,604
Marathon Oil Corporation2,203,90831,604
International Paper Company605,75531,547
International Paper Company605,75531,547
International Paper Company605,75531,547
FMC Corporation452,70331,503
First Sentry Bancshares Inc.788,95831,462
Carnival Plc ADS620,15431,454
Comerica Incorporated428,66531,429
Marriott International288,85131,358
Marriott International288,85131,358
Marriott International288,85131,358
LKQ Corporation883,86631,343
Albero Corp.382,01331,318
Albero Corp.382,01331,318
Cerner Corporation470,99431,307
Charles Schwab Corporation991,15931,290
Darling International Inc.2,314,95331,275
H. B. Fuller Company606,27531,259
Discover Financial Services502,44231,246
Aareal Bank AG1,175,44231,245
Aareal Bank AG1,175,44231,245
Aareal Bank AG1,175,44231,245
Cerner Corporation437,80231,224
Cerner Corporation437,80231,224
Olin Corporation949,70431,217
Fresenius Medical Care Corporation620,01031,216
Fresenius Medical Care Corporation620,01031,216
Fresenius Medical Care Corporation620,01031,216
Alexandria Real Estate Equities289,09431,208
Jack Henry & Associates239,33031,198
Jack Henry & Associates239,33031,198
Jack Henry & Associates239,33031,198
Moody's Corporation256,33731,190
Hewlett Packard Enterprise Co1,368,99031,143
Cooper Companies129,92631,108
Carrizo Oil & Gas1,084,91331,092
The Hanover Insurance Group412,00531,074
Lennar Corporation794,92431,034
Lennar Corporation794,92431,034
Lennar Corporation794,92431,034
Express Scripts Holding Company490,10431,031
Express Scripts Holding Company490,10431,031
NuVasive626,10331,030
Air Methods Corporation984,94131,015
iShares Gold Trust2,443,82831,013
Italian Food & Beverage Corp173,64130,915
Diebold1,244,56830,852
E*TRADE Financial Corporation884,09530,844
Landstar Development Group, Inc.452,90230,833
Arista Networks, Inc.120,67430,808
Horace Mann Educators Corporation749,97830,787
Darling International Inc.2,120,07330,784
EMCOR Group442,88830,726
EMCOR Group442,88830,726
BorgWarner Inc.600,37130,674
Synopsys516,63030,662
British American Tobacco Industries447,34830,660
E*TRADE Financial Corporation805,89930,649
EQT Corporation469,77930,648
EQT Corporation469,77930,648
ZAGG Inc3,781,41830,629
Diebold1,338,39930,582
Diebold1,338,39930,582
Regal Beloit Corporation513,91630,573
Deutsche Telekom1,078,23430,557
Deutsche Telekom1,078,23430,557
CH Energy Group660,20930,533
ABB Ltd1,300,20130,425
Arcosa, Inc.995,75430,421
Arcosa, Inc.995,75430,421
Dick's Sporting Goods Inc624,97130,412
Huron Consulting Group Inc.591,99630,376
Huron Consulting Group Inc.591,99630,376
Huron Consulting Group Inc.591,99630,376
Canada Strategic Metals, Inc.1,181,79830,360
CACI International166,67230,338
Atmos Energy Corporation294,38930,302
ISHARES V PLC528,28430,237
Core-Mark Holding Company914,23330,224
ConAgra Foods845,50830,210
ConAgra Foods845,50830,210
ConAgra Foods845,50830,210
Albero Corp.236,12130,197
Lennox International180,46130,190
Hancock Holding Company779,61230,166
CH Energy Group650,46230,130
CH Energy Group650,46230,130
SPS Commerce409,45330,058
Burlington Stores Inc191,66030,030
INTERNATIONAL TEXTILE GROUP INC549,66030,010
Alexandria Real Estate Equities229,68629,996
Granite Real Estate Inc.752,03629,962
Cerner Corporation508,15129,906
Continental Resources575,12029,884
Synergy Resources Corporation4,309,61129,866
Granite Real Estate Inc.972,95329,832
Balchem Corporation321,05629,795
CNOOC Limited195,41329,790
CNOOC Limited195,41329,790
Hershey277,43729,790
CNOOC Limited195,41329,790
BioMarin Pharmaceutical Inc.26,198,33329,752
BioMarin Pharmaceutical Inc.26,198,33329,752
Helen of Troy Limited345,17229,743
Marsh & McLennan Companies372,87029,737
Marsh & McLennan Companies372,87029,737
Marsh & McLennan Companies372,87029,737
Carrizo Oil & Gas1,707,02829,735
CONDUENT Inc2,149,84529,732
Clorox Company (The)220,36729,712
Honda Motor Company1,122,07729,680
Honda Motor Company1,122,07729,680
Honda Motor Company1,122,07729,680
PriceSmart321,48229,640
ABIOMED91,15929,631
ABIOMED91,15929,631
ABIOMED91,15929,631
Dorman Products484,21729,605
iShares Commodity Optimized Trust966,54529,594
Cooper Companies99,85029,572
COLUMBIA PROPERTY TRUST, INC.1,302,02929,570
COLUMBIA PROPERTY TRUST, INC.1,302,02929,570
COLUMBIA PROPERTY TRUST, INC.1,302,02929,570
SVB Financial Group267,24729,540
PIMCO Dynamic Income Fund1,360,36529,537
Devon Energy Corporation803,88229,511
Devon Energy Corporation803,88229,511
British American Tobacco Industries925,63129,491
British American Tobacco Industries925,63129,491
British American Tobacco Industries925,63129,491
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND1,121,84429,455
Horace Mann Educators Corporation748,34229,448
NetEase122,25629,437
Equifax277,51129,414
Equifax277,51129,414
Mylan Inc.771,57029,412
Oceaneering International1,085,67829,401
INFORMATION ANALYSIS INC196,08529,399
Dorman Products430,28429,393
Dorman Products430,28429,393
Dorman Products430,28429,393
UBS AG (London Branch)2,157,83929,391
Expeditors International of Washington401,83329,374
Expeditors International of Washington401,83329,374
Expeditors International of Washington401,83329,374
All Marketing Solutions Inc.456,88929,332
All Marketing Solutions Inc.456,88929,332
Fresenius Medical Care Corporation599,64429,316
Fresenius Medical Care Corporation599,64429,316
CDW Corp444,09129,309
CDW Corp444,09129,309
PVH Corp.315,30229,308
Matica Enterprises Inc967,69829,303
Air Products and Chemicals194,64129,264
Sears Holdings Corporation2,552,56329,253
Hershey267,93029,249
ETERNITY HEALTHCARE INC.1,740,51929,225
Eplus Inc.315,78729,194
Eplus Inc.315,78729,194
Brunswick Corporation476,72929,175
Edison International513,78929,167
Edison International513,78929,167
Edison International513,78929,167
Multi-Color Corporation441,87829,163
Eplus Inc.387,56829,145
Honda Motor Company985,57429,134
Horace Mann Educators Corporation794,22029,108
Pacific Premier Bancorp Inc1,099,61629,096
LKQ Corporation993,08529,068
Buffalo Wild Wings206,44329,055
McCormick & Company290,78629,055
Moody's Corporation259,32329,055
First Trust1,451,49129,016
ANSYS313,27429,013
ABAXIS410,07128,959
HealthSonix, Inc.598,02728,945
iShares S&P Global Clean Energy Index Fund200,92128,939
iShares S&P Global Clean Energy Index Fund200,92128,939
iShares S&P Global Clean Energy Index Fund200,92128,939
iShares1,252,29928,892
Core-Mark Holding Company898,48428,877
Core-Mark Holding Company898,48428,877
HealthSonix, Inc.622,98828,875
INFORMATION ANALYSIS INC206,64528,872
Neogen Corporation506,52428,871
Neogen Corporation506,52428,871
COLUMBIA PROPERTY TRUST, INC.1,282,32228,866
Hershey309,77428,828
Hershey309,77428,828
Hershey309,77428,828
PriceSmart343,71328,790
CommVault Systems436,91628,770
CommVault Systems436,91628,770
CommVault Systems436,91628,770
Brunswick Corporation458,04728,733
Shoprite Holdings Ltd.668,92828,709
Bottomline Technologies1,233,36428,706
IShares Plc.1,994,39928,706
Hartford Financial Services Group645,64228,697
Hartford Financial Services Group645,64228,697
Air Products and Chemicals212,10428,697
Hartford Financial Services Group645,64228,697
Celestica2,647,46028,673
Pinnacle West Capital Corporation336,32628,654
Cooper Companies143,31428,647
Albero Corp.308,87528,645
FireEye Inc22,836,34828,642
FireEye Inc22,836,34828,642
Kreisler Manufacturing Corp.971,21728,641
Tyme Technologies, Inc.1,973,57828,638
athenahealth226,94928,623
Brown-Forman Corporation Class B 542,21628,619
ICU Medical153,91328,605
Wachovia Corporation21,84228,583
Cadence Design Systems657,27228,579
Cadence Design Systems657,27228,579
Cadence Design Systems657,27228,579
GSM Fund Group Inc568,12228,571
GSM Fund Group Inc568,12228,571
GSM Fund Group Inc568,12228,571
Avery Dennison Corporation290,47828,565
Avery Dennison Corporation290,47828,565
Mascota Resources Corp838,24328,493
Oshkosh Truck Corporation464,63328,486
American Financial Group379,80828,486
Foothills Exploration, Inc540,67028,467
Foothills Exploration, Inc540,67028,467
Foothills Exploration, Inc540,67028,467
Euronet Worldwide349,82028,465
Alaska Power & Telephone Co.307,98228,401
Inmarsat Plc.156,92828,373
Inmarsat Plc.156,92828,373
Granite Real Estate Inc.811,23128,373
Inmarsat Plc.156,92828,373
First Trust1,533,50428,372
Hexcel Corporation494,61328,360
Hexcel Corporation494,61328,360
Hexcel Corporation494,61328,360
Destination XL Group Inc6,543,37628,333
Dominion Diamond Corporation2,255,11828,325
Best Buy Co.741,84928,322
Plexus Corp.489,70528,305
Old Dominion Freight Line330,73228,301
Berry Petroleum Company644,67928,269
Metals USA Holdings Corp.395,98728,257
Vulcan Materials Company248,37428,249
Teradata Corporation910,53028,225
Haemonetics Corporation695,46528,216
The Descartes Systems Group Inc.774,72328,184
Inphi Corporation718,78528,183
Microsemi Corporation671,30328,181
CommVault Systems463,46028,179
CommVault Systems463,46028,179
PriceSmart321,60128,171
Marsh & McLennan Companies361,22028,160
AmeriGas Partners1,112,96228,159
AmeriGas Partners1,112,96228,159
AmeriGas Partners1,112,96228,159
F5 Networks221,59228,154
Hartford Financial Services Group550,53328,149
Hartford Financial Services Group550,53328,149
Hartford Financial Services Group550,53328,149
Core-Mark Holding Company890,39628,120
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund254,85528,065
Mettler-Toledo International47,64128,038
Subsea 7 SA ADR 264,87728,019
Blackhawk Bancorp, Inc.638,95027,986
Blackhawk Bancorp, Inc.638,95027,986
Waters Corporation176,41127,960
Best Buy Co.393,26127,945
KLA-Tencor Corporation312,25627,943
KLA-Tencor Corporation312,25627,943
KLA-Tencor Corporation312,25627,943
Hexcel Corporation630,27427,920
Signature Bank235,67827,915
IHI Corp139,69527,914
IHI Corp139,69527,914
IHI Corp139,69527,914
Deutsche Telekom981,82827,904
International Paper Company691,10727,893
International Paper Company691,10727,893
International Paper Company691,10727,893
Baker Hughes Incorporated511,52627,882
Masimo Corporation305,77427,881
Exchange Bank (Santa Rosa, CA)706,05327,874
Exchange Bank (Santa Rosa, CA)706,05327,874
Exchange Bank (Santa Rosa, CA)706,05327,874
Bankshares Fayetteville Inc.21,10027,832
CenturyLink1,668,04027,823
INFORMATION ANALYSIS INC205,82427,822
Clorox Company (The)208,75327,813
Huron Consulting Group Inc.643,67227,806
IBERIABANK Corporation432,47027,799
IBERIABANK Corporation432,47027,799
IBERIABANK Corporation432,47027,799
Markel Corporation28,48427,797
Church & Dwight Company556,46327,751
Astronics Corporation848,10927,750
Astronics Corporation848,10927,750
iShares S&P Global Clean Energy Index Fund194,88827,746
Gentherm Inc746,48727,731
Pinnacle West Capital Corporation325,56427,724
COLUMBIA PROPERTY TRUST, INC.1,206,94827,699
The Middleby Corporation227,81227,681
High Country Bancorp, Inc.383,60827,673
Indianapolis Power & Light Co.400,62827,672
Indianapolis Power & Light Co.400,62827,672
Indianapolis Power & Light Co.400,62827,672
Pegasystems Inc.938,35827,672
Horace Mann Educators Corporation731,99827,669
Buffalo Wild Wings218,09427,632
W.T.B. Financial Corp.382,90627,626
Haemonetics Corporation699,40827,619
Advanced Micro Devices1,896,32827,593
Olin Corporation1,344,23527,584
Illumina4,834,94127,572
INTERNATIONAL TEXTILE GROUP INC532,63527,537
Huron Consulting Group Inc.673,25927,536
Huron Consulting Group Inc.673,25927,536
Huron Consulting Group Inc.673,25927,536
Atmos Energy Corporation328,24227,520
Atmos Energy Corporation328,24227,520
Huron Consulting Group Inc.653,63127,518
Albero Corp.356,80427,501
Albero Corp.356,80427,501
Albero Corp.356,80427,501
Balchem Corporation350,76527,482
Balchem Corporation350,76527,482
Balchem Corporation350,76527,482
Alexandria Real Estate Equities250,82127,478
BorgWarner Inc.536,37927,477
BorgWarner Inc.536,37927,477
ABB Ltd1,219,89927,459
Aspen Technology263,18427,439
Aspen Technology263,18427,439
Henry Schein149,91327,436
Old Dominion Freight Line399,63627,419
Central Fund of Canada Limited1,958,18127,415
Hershey250,93027,414
Gap1,063,87627,405
Gap1,063,87627,405
Gap1,063,87627,405
Corporate Office Properties Trust833,37227,359
Corporate Office Properties Trust833,37227,359
Summit Materials1,474,68827,354
RSP Permian704,71527,328
Church & Dwight Company526,07527,293
Apache Corporation786,61427,262
Apache Corporation786,61427,262
CAM Group, Inc.711,72727,237
CAM Group, Inc.711,72727,237
CAM Group, Inc.711,72727,237
Tata Motors Ltd680,86827,222
Yahoo Japan Corp26,523,00027,153
India Cement Ltd.177,76227,150
Markel Corporation27,81927,148
CommVault Systems516,57427,120
Jack Henry & Associates263,73727,109
Ferrum Americas Mining, Inc.878,01527,068
MSCI Inc479,63727,061
Alleghany Corporation43,97327,029
Eastman Chemical Company298,45127,006
Eastman Chemical Company298,45127,006
Stericycle336,77926,989
Nucor Corporation466,38626,989
Dover Corporation266,98226,963
Invacare Corporation1,447,77826,929
Invacare Corporation1,447,77826,929
Invacare Corporation1,447,77826,929
Aramark661,95126,883
Aramark661,95126,883
Avery Dennison Corporation303,25526,798
Mettler-Toledo International55,93826,789
Align Technology233,51226,787
Parametric Technology Corporation604,39326,781
Copart778,67326,762
Copart778,67326,762
Mascota Resources Corp700,32326,759
CH Energy Group598,02626,756
Baker Hughes Incorporated446,80726,728
Analog Devices293,23626,722
Five9, Inc.771,35126,666
Five9, Inc.771,35126,666
Five9, Inc.771,35126,666
Community Healthcare Trust Inc989,04826,665
Community Healthcare Trust Inc989,04826,665
Jack Henry & Associates256,69626,663
First Sentry Bancshares Inc.675,14926,662
Cabot Oil & Gas Corporation1,061,95526,634
Ferro Corporation1,193,11226,607
Ferro Corporation1,193,11226,607
Alexandria Real Estate Equities220,81626,603
Knight Transportation848,51926,602
HudBay Minerals Inc5,634,79926,596
HudBay Minerals Inc5,634,79926,596
HudBay Minerals Inc5,634,79926,596
Hercules Technology Growth Capital1,756,12626,570
INTERNATIONAL TEXTILE GROUP INC586,73926,534
INTERNATIONAL TEXTILE GROUP INC586,73926,534
INTERNATIONAL TEXTILE GROUP INC586,73926,534
Archer575,91126,515
Harley-Davidson490,81226,513
Dover Corporation289,90626,495
Dover Corporation289,90626,495
CH Energy Group630,13726,472
Zayo Group Holdings, Inc.890,49826,457
Varian Medical Systems265,77326,453
Vanguard Intermediate-Term Corporate Bond ETF301,15026,399
Atmos Energy Corporation284,68726,398
Atmos Energy Corporation284,68726,398
Atmos Energy Corporation284,68726,398
Ferro Corporation1,118,79626,393
CommVault Systems467,02226,363
Korn/Ferry International763,18326,352
Inogen276,98626,342
Comerica Incorporated345,24326,329
Comerica Incorporated345,24326,329
Carrizo Oil & Gas945,37826,328
Carrizo Oil & Gas945,37826,328
Carrizo Oil & Gas945,37826,328
Central Fund of Canada Limited2,045,43726,305
Gramercy Capital Corp998,75326,268
Viacom Inc.687,65226,262
Albero Corp.278,39226,260
Albero Corp.278,39226,260
Albero Corp.278,39226,260
Dominion Diamond Corporation2,695,81126,257
Oshkosh Truck Corporation381,13826,252
Korn/Ferry International833,39126,244
Oshkosh Truck Corporation382,64326,244
Alleghany Corporation44,09526,227
Hershey273,98226,191
Honda Motor Company904,95326,171
Metals USA Holdings Corp.341,43926,170
Metals USA Holdings Corp.341,43926,170
First Trust1,501,95826,164
M&T Bank Corporation225,13226,138
Rockwell Collins248,73126,136
Olin Corporation1,295,99126,062
Cerner Corporation496,96126,061
Cerner Corporation496,96126,061
Cerner Corporation496,96126,061
IShares Plc.798,28126,038
FMC Corporation291,11925,971
FMC Corporation291,11925,971
FMC Corporation291,11925,971
Pinnacle West Capital Corporation311,30025,955
Carmax Mining Corp.437,43625,906
ICU Medical204,97125,903
Huntington Bancshares Incorporated1,855,35025,901
Cerner Corporation433,07725,892
Cerner Corporation433,07725,892
Cerner Corporation433,07725,892
Cooper Companies109,95225,890
Cooper Companies109,95225,890
Cooper Companies109,95225,890
Church & Dwight Company515,92525,884
Patterson-UTI Energy1,066,21325,878
NewLead Holdings Ltd.366,78625,855
Carrizo Oil & Gas636,48725,852
The Kroger Company1,051,87925,845
FNB United Corp.2,626,53125,845
FNB United Corp.2,626,53125,845
FNB United Corp.2,626,53125,845
Honda Motor Company941,52025,788
ABAXIS486,11325,774
Plexus Corp.489,81225,748
Foothills Exploration, Inc730,50625,729
iSoftStone Holdings Limited856,55825,679
Darden Restaurants283,79025,667
BHP Billiton plc723,90225,663
BHP Billiton plc723,90225,663
iShares S&P Global Clean Energy Index Fund201,62325,642
Galp Energia, SA882,05825,597
CornerWorld Corp.279,81525,576
CornerWorld Corp.279,81525,576
CornerWorld Corp.279,81525,576
Innocap, Inc.113,76125,572
Criteo778,27625,566
Criteo778,27625,566
Criteo778,27625,566
Regions Financial Corporation2,587,66225,541
Diodes Incorporated740,74725,534
Diodes Incorporated740,74725,534
Diodes Incorporated740,74725,534
Marsh & McLennan Companies379,64825,533
Palo Alto Networks190,81225,532
TriMas Corporation1,371,41625,521
Omnicell666,34625,521
Ixia2,041,35625,518
PACCAR Inc.446,02425,486
American Campus Communities Inc615,52525,477
American Campus Communities Inc615,52525,477
American Campus Communities Inc615,52525,477
Brunswick Corporation522,14625,470
Nordstrom546,15125,458
EMCOR Group426,62125,436
Palo Alto Networks225,73625,436
Astronics Corporation834,54925,413
Astronics Corporation834,54925,413
Astronics Corporation834,54925,413
Allegheny & Western Railway Co.1,406,18025,409
Validus Holdings509,92925,404
CMG HOLDINGS GROUP, INC.58,83725,380
CMG HOLDINGS GROUP, INC.58,83725,380
Arista Networks, Inc.98,56725,380
CMG HOLDINGS GROUP, INC.58,83725,380
Arista Networks, Inc.98,56725,380
Arista Networks, Inc.98,56725,380
Comerica Incorporated292,23125,368
CMG HOLDINGS GROUP, INC.35,69725,357
Bankshares Fayetteville Inc.19,45225,325
Advanced Micro Devices2,517,34425,301
Marriott International375,61325,290
Celestica2,041,66025,275
Celestica2,041,66025,275
Atmos Energy Corporation280,05525,244
Atmos Energy Corporation280,05525,244
Atmos Energy Corporation280,05525,244
Actuant Corporation1,086,03925,241
ITT Educational Services, Inc.569,12225,195
United Community Financial Corp.1,198,55925,194
Five9, Inc.576,11925,188
Five9, Inc.576,11925,188
Five9, Inc.576,11925,188
Canada Strategic Metals, Inc.883,25025,183
Canada Strategic Metals, Inc.883,25025,183
Ducommun Incorporated1,101,99125,170
Alamos Gold Inc. New6,978,81825,123
Alamos Gold Inc. New6,978,81825,123
Alamos Gold Inc. New6,978,81825,123
Healthcare Services Group625,00525,113
Healthcare Services Group625,00525,113
Healthcare Services Group625,00525,113
LAS VEGAS RAILWAY EXPRESS, INC.439,71925,096
Ameren Illinois Company458,72225,078
Cemex S.A.B. de C.V.14,397,42125,052
Cemex S.A.B. de C.V.14,397,42125,052
INAPA-Investimentos Participacoes e Gestao S.A.223,08325,045
INAPA-Investimentos Participacoes e Gestao S.A.223,08325,045
INAPA-Investimentos Participacoes e Gestao S.A.223,08325,045
Bankshares Fayetteville Inc.19,23525,034
Bankshares Fayetteville Inc.19,23525,034
Honda Motor Company825,86424,990
Ameren Illinois Company457,21624,958
Affiliated Managers Group167,82524,950
Affiliated Managers Group167,82524,950
Affiliated Managers Group167,82524,950
iShares220,94624,930
SMG Indium Resources Ltd.225,19324,920
Unilever NV540,44124,915
EQT Corporation342,51924,874
Physicians Realty Trust1,154,14924,860
Coty Inc1,056,91924,838
Church & Dwight Company512,15124,813
Church & Dwight Company512,15124,813
Steven Madden819,19324,789
Steven Madden819,19324,789
Steven Madden819,19324,789
NICE-Systems Limited314,79424,780
Toll Brothers Inc.829,46424,767
C.R. Bard110,43424,766
Buffalo Wild Wings233,71024,703
Buffalo Wild Wings233,71024,703
Arista Networks, Inc.104,72724,672
Archer595,68424,649
Reinsurance Group of America191,97624,648
HudBay Minerals Inc4,400,31224,642
HudBay Minerals Inc4,400,31224,642
HudBay Minerals Inc4,400,31224,642
The Middleby Corporation180,53624,634
National Beverage Corp.559,11624,630
Islet Holdings, Inc.210,15924,628
NAVIENT CORP1,701,79324,625
CenturyLink2,051,90324,603
Analog Devices316,08824,593
iShares MSCI ACWI Index Fund357,18024,580
BHP Billiton Limited449,16024,554
Masimo Corporation412,65224,548
Helios Advantage Income Fund926,87424,543
Helios Advantage Income Fund926,87424,543
Corporate Office Properties Trust865,46124,536
Central Fund of Canada Limited1,931,29424,470
Central Fund of Canada Limited1,931,29424,470
iShares Gold Trust1,987,66324,469
Copart769,17824,453
John Bean Technologies Corporation249,39824,441
Affiliated Managers Group168,78824,424
Prologis, Inc.456,17624,423
iShares S&P Global Clean Energy Index Fund196,63824,401
Moody's Corporation224,70724,334
Microsemi Corporation471,95424,320
Progressive Corporation (The)620,70324,319
Canada Strategic Metals, Inc.904,36224,309
KSW Inc254,67324,308
KSW Inc254,67324,308
KSW Inc254,67324,308
Hercules Technology Growth Capital1,791,50124,292
MGM Growth Properties LLC932,02924,261
Fresenius Medical Care Corporation501,69424,248
TEGNA1,108,08624,222
Deutsche Telekom884,15324,209
iShares MSCI ACWI Index Fund369,63724,209
India Cement Ltd.162,85724,193
CommVault Systems476,22324,192
Texas Roadhouse619,46224,176
LeapLab Corp.160,32824,166
Lincoln National Corporation368,85224,143
Diodes Incorporated842,03024,141
FNB United Corp.1,704,63424,137
Ally Financial Inc1,238,09024,105
Huntington Bancshares Incorporated1,799,45224,095
Parsley Energy718,35024,073
Expedia166,93624,029
Euronet Worldwide286,60724,009
Euronet Worldwide286,60724,009
Euronet Worldwide286,60724,009
Huron Consulting Group Inc.699,77224,002
CornerWorld Corp.199,29124,001
DoubleLine Income Solutions Fund1,199,63923,981
DoubleLine Income Solutions Fund1,199,63923,981
DoubleLine Income Solutions Fund1,199,63923,981
Cooper Companies133,67223,963
Lennar Corporation468,44423,957
Deutsche Annington Immobilien SE862,00923,956
Willis Towers Watson180,36323,947
Deutsche Annington Immobilien SE877,98923,896
Deutsche Annington Immobilien SE877,98923,896
Deutsche Annington Immobilien SE877,98923,896
The NASDAQ OMX Group353,65523,886
BioMarin Pharmaceutical Inc.16,363,93123,870
Carriage Services879,81623,861
Hartford Financial Services Group556,87723,845
AptarGroup276,25623,844
AptarGroup276,25623,844
Atmos Energy Corporation277,27523,815
CBRE Group628,53123,808
CBRE Group628,53123,808
India Cement Ltd.146,85423,796
Genuine Parts Company247,70723,783
Genuine Parts Company247,70723,783
Genuine Parts Company247,70723,783
Lincoln National Corporation351,80023,774
IBERIABANK Corporation353,96123,759
Praxsyn Corporation687,41423,743
Tesoro Petroleum Corporation298,10923,716
Autodesk273,98123,692
COLUMBIA PROPERTY TRUST, INC.1,222,75823,660
COLUMBIA PROPERTY TRUST, INC.1,222,75823,660
COLUMBIA PROPERTY TRUST, INC.1,222,75823,660
Cantel Medical Corp.317,69923,652
Cantel Medical Corp.317,69923,652
Cantel Medical Corp.317,69923,652
ABAXIS487,03123,621
Cooper Companies108,37723,615
AptarGroup262,85223,614
American Campus Communities Inc496,23423,610
American Campus Communities Inc496,23423,610
Ferro Corporation1,505,07123,600
Ferro Corporation1,505,07123,600
Ferro Corporation1,505,07123,600
Atmos Energy Corporation280,08523,594
Motorcar Parts of America835,13923,584
ON Semiconductor Corporation1,522,43723,582
Zimmer Holdings181,32423,577
W.W. Grainger76,41623,566
W.W. Grainger76,41623,566
W.W. Grainger76,41623,566
Regeneron Pharmaceuticals58,56523,543
Coach497,22423,540
Petrominerales Ltd211,22023,529
Central Fund of Canada Limited1,907,43423,519
Ameren Illinois Company477,43123,479
Hormel Foods Corporation549,72023,462
Hormel Foods Corporation549,72023,462
Hormel Foods Corporation549,72023,462
The Providence Service Corporation1,007,00123,453
The Providence Service Corporation1,007,00123,453
The Providence Service Corporation1,007,00123,453
ABAXIS473,51123,448
RBC Bearings Incorporated306,55623,446
Ericsson3,251,70723,444
Jack Henry & Associates251,54623,419
OMNOVA Solutions Inc.3,189,93023,382
Darden Restaurants192,46823,380
iShares S&P Global Clean Energy Index Fund211,09123,370
GSM Fund Group Inc426,83323,369
GSM Fund Group Inc426,83323,369
GSM Fund Group Inc426,83323,369
BroadSoft464,10223,345
BroadSoft464,10223,345
CMG HOLDINGS GROUP, INC.55,05723,317
The Advisory Board Company521,06523,313
ProAssurance Corporation444,18523,311
ABIOMED81,62223,310
ABIOMED81,62223,310
Central Fund of Canada Limited1,738,71923,299
BHP Billiton Limited506,43323,292
INAPA-Investimentos Participacoes e Gestao S.A.179,69323,291
First Trust Energy Income and Growth Fund1,137,41723,282
The Kroger Company946,00823,271
Newell Rubbermaid Inc.1,251,38523,265
Newell Rubbermaid Inc.1,251,38523,265
Deutsche Annington Immobilien SE856,37323,264
Copart434,26923,259
Genuine Parts Company253,32323,252
Genuine Parts Company253,32323,252
Genuine Parts Company253,32323,252
Range Energy Resources, Inc.599,95323,250
Beacon Roofing Supply545,11823,233
Beacon Roofing Supply545,11823,233
Beacon Roofing Supply545,11823,233
BGS Acquisition Corp.392,20723,230
Alleghany Corporation44,23223,222
Boston Scientific Corporation935,96723,204
DoubleLine Income Solutions Fund1,091,76623,200
DoubleLine Income Solutions Fund1,091,76623,200
eUnits 2 Year U.S. Market Participation Trust520,19623,194
Hanmi Financial Corporation753,53723,171
iShares Gold Trust1,926,34223,154
iShares Gold Trust1,926,34223,154
iShares Gold Trust1,926,34223,154
Iamgold Corporation4,484,29823,138
Pimco California Municipal Income Fund II231,18623,117
Nordstrom483,00123,102
Global Payments Inc.243,09923,102
Campbell Soup Company603,93023,026
Hercules Technology Growth Capital1,817,96922,998
Hercules Technology Growth Capital1,817,96922,998
Hercules Technology Growth Capital1,817,96922,998
Hasbro249,12222,996
Hasbro249,12222,996
Hasbro249,12222,996
PAA Natural Gas Storage731,95722,989
IL2M International Corp.141,57822,977
Hercules Technology Growth Capital1,734,68622,968
Deutsche Borse AG911,57222,908
AptarGroup265,42922,900
Multi-Strategy Growth & Income Fund780,74122,876
VALE S.A.4,160,19722,849
Eldorado Gold Corporation6,691,58022,816
Consolidated Communications Holdings1,871,03222,807
AmeriGas Partners738,76022,806
AmeriGas Partners738,76022,806
Gap938,35722,792
Carriage Services963,55622,788
Baker Hughes a GE Co621,82922,772
Baker Hughes a GE Co621,82922,772
Pinnacle Financial Partners420,52222,743
American Housing Income Trust, Inc.273,27822,674
American Housing Income Trust, Inc.273,27822,674
Copart365,94622,662
Hercules Technology Growth Capital1,755,82122,650
Diamondback Energy231,13322,642
Diamondback Energy231,13322,642
THC Biomed International Ltd.998,31122,622
Nordstrom485,63822,616
IDEXX Laboratories200,41822,593
Brown & Brown763,90122,542
Eplus Inc.316,62122,534
Eplus Inc.316,62122,534
Eplus Inc.316,62122,534
Annaly Capital Management Inc1,847,72122,524
Annaly Capital Management Inc1,847,72122,524
ScanSource558,56822,510
DoubleLine Income Solutions Fund1,113,23922,477
China Mobile (Hong Kong) Ltd.444,36622,470
China Mobile (Hong Kong) Ltd.444,36622,470
Annaly Capital Management Inc1,863,07822,450
Community Bank System408,23522,445
National Australia Bank Ltd. (Victoria, Australia)1,069,61422,398
Carriage Services829,80422,371
CommVault Systems420,66622,351
Xylem Inc.425,91322,340
Aspen Technology271,77222,333
Aspen Technology271,77222,333
Aspen Technology271,77222,333
Motorola Solutions292,72422,328
Alexion Pharmaceuticals183,77522,284
ON Semiconductor Corporation1,586,16922,268
Annaly Capital Management Inc2,163,86522,266
Annaly Capital Management Inc2,163,86522,266
Annaly Capital Management Inc2,163,86522,266
CA Inc.672,71622,253
Generac Holdlings Inc.484,30322,244
TRINET GROUP INC1,028,25922,242
PAA Natural Gas Storage702,72022,213
NewLead Holdings Ltd.367,36522,181
International Paper Company436,76322,180
NEVRO CORP212,37922,170
AutoZone21,64522,166
Inmarsat Plc.147,55722,165
FleetCor Technologies146,35522,163
iShares MSCI709,52022,162
ABIOMED118,08522,130
Fresenius Medical Care Corporation505,29922,118
DYNACQ HEALTHCARE INC19,390,00022,114
DYNACQ HEALTHCARE INC19,390,00022,114
CMG HOLDINGS GROUP, INC.51,19822,107
CMG HOLDINGS GROUP, INC.51,19822,107
CMG HOLDINGS GROUP, INC.51,19822,107
Lincoln National Corporation469,29322,048
Equity One719,83722,034
iShares430,42922,025
Cabot Oil & Gas Corporation852,92422,007
MSCI Inc380,44422,004
The AES Corporation1,995,13021,985
The AES Corporation1,995,13021,985
Globus Medical973,98421,983
AptarGroup252,96921,972
Royal Boskalis Westminster NV427,75121,965
BHP Billiton Limited616,32821,936
LaSalle Hotel Properties735,76921,926
Akamai Technologies413,26121,900
Aramark575,67221,895
Diodes Incorporated731,18621,883
Diodes Incorporated731,18621,883
Canada Strategic Metals, Inc.913,29621,882
Canada Strategic Metals, Inc.913,29621,882
Canada Strategic Metals, Inc.913,29621,882
Markel Corporation23,56021,881
Old Dominion Freight Line229,45721,853
Fluor Corporation447,71921,840
Fluor Corporation447,71921,840
Fluor Corporation447,71921,840
Applied Industrial Technologies466,67021,813
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund196,46621,782
Dover Corporation271,28321,760
SLM Corporation2,909,58121,735
Alaska Power & Telephone Co.350,33721,708
Under Armour640,56221,691
Inmarsat Plc.121,64721,674
T. Rowe Price Group325,40121,639
Libbey1,483,46321,629
iShares MSCI460,86821,606
DoubleLine Income Solutions Fund1,045,73221,594
Omnicom Group Inc.260,31221,581
Roper Technologies118,22621,572
Deutsche Annington Immobilien SE795,19521,563
Deutsche Annington Immobilien SE795,19521,563
Brown & Brown779,84921,494
PAA Natural Gas Storage818,16121,494
Brown & Brown779,84921,494
Brown & Brown779,84921,494
Educational Development Corporation498,19021,492
Home Retail Group plc588,01321,487
Islet Holdings, Inc.201,79621,465
Islet Holdings, Inc.201,79621,465
Islet Holdings, Inc.201,79621,465
Lincoln National Corporation291,82721,443
Brunswick Corporation388,28621,441
Ionis Pharmaceuticals514,51621,439
Ionis Pharmaceuticals514,51621,439
Ionis Pharmaceuticals514,51621,439
BorgWarner Inc.505,76921,424
Opus Bank605,54221,418
Gentex Corporation1,216,27621,358
Equinix47,83321,348
Equinix47,83321,348
COLUMBIA PROPERTY TRUST, INC.979,85621,331
COLUMBIA PROPERTY TRUST, INC.979,85621,331
Campbell Soup Company525,88021,318
Campbell Soup Company525,88021,318
Campbell Soup Company525,88021,318
Alamos Gold Inc. New2,653,72621,309
Mettler-Toledo International37,66421,302
Mettler-Toledo International37,66421,302
Malibu Boats1,426,88021,261
ABAXIS476,16221,260
ABAXIS476,16221,260
Expeditors International of Washington376,19021,252
BorgWarner Inc.492,28921,247
BorgWarner Inc.492,28921,247
BorgWarner Inc.492,28921,247
Comerica Incorporated289,99221,238
Bottomline Technologies442,17321,225
Bottomline Technologies442,17321,225
Bottomline Technologies442,17321,225
ABIOMED125,81321,211
ABIOMED125,81321,211
Deutsche Annington Immobilien SE873,76221,172
Deutsche Annington Immobilien SE873,76221,172
Deutsche Annington Immobilien SE873,76221,172
Italian Food & Beverage Corp134,46421,159
Exchange Income Corporation514,93021,156
Annaly Capital Management Inc1,778,06821,141
Cantel Medical Corp.316,05921,140
Boston Scientific Corporation724,52221,135
Boston Scientific Corporation724,52221,135
DENTSPLY International Inc.353,29821,132
DENTSPLY International Inc.353,29821,132
AptarGroup225,88421,094
AptarGroup225,88421,094
AptarGroup225,88421,094
Cypress Semiconductor Corporation1,384,08221,093
Owens-Illinois1,220,25421,038
DaVita Inc.318,30221,029
CACI International124,70421,019
CACI International124,70421,019
CACI International124,70421,019
Fiserv285,06820,949
Fiserv285,06820,949
Fiserv285,06820,949
Canada Strategic Metals, Inc.723,74720,946
Brunswick Corporation374,12520,941
Brunswick Corporation374,12520,941
ABAXIS405,57920,936
CMG HOLDINGS GROUP, INC.50,27620,919
Carriage Services817,12620,918
Carriage Services817,12620,918
NICE-Systems Limited307,57720,910
Annaly Capital Management Inc1,989,37520,890
Deutsche Annington Immobilien SE802,60120,878
Central Garden & Pet Company667,09320,847
Central Garden & Pet Company667,09320,847
Central Garden & Pet Company667,09320,847
MSCI Inc336,12320,841
Cemex S.A.B. de C.V.16,496,53820,841
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF217,65620,831
AvalonBay Communities113,37220,815
The AES Corporation1,618,66220,800
CMG HOLDINGS GROUP, INC.71,87320,775
Arrow Electronics351,00720,770
CITIZENS FINANCIAL GROUP INC/RI698,32020,759
CITIZENS FINANCIAL GROUP INC/RI698,32020,759
CITIZENS FINANCIAL GROUP INC/RI698,32020,759
Enbridge Energy Management LLC815,67320,750
Generac Holdlings Inc.401,01720,745
Generac Holdlings Inc.401,01720,745
Generac Holdlings Inc.401,01720,745
Spirit Aerosystems Holdings2,862,35620,736
AptarGroup194,83120,727
AptarGroup194,83120,727
Haemonetics Corporation571,59620,697
Cooper Companies87,14320,663
Cooper Companies87,14320,663
Old Dominion Freight Line167,20420,647
Boston Scientific Corporation829,50220,630
Nucor Corporation345,32520,624
American Campus Communities Inc480,46120,603
American Campus Communities Inc480,46120,603
American Campus Communities Inc480,46120,603
BorgWarner Inc.492,92920,600
CenturyLink862,59620,597
Bright Horizons Family Solutions Inc161,84120,572
Crown Cork & Seal Company365,46620,559
Hanmi Financial Corporation722,60320,559
Brunswick Corporation318,76620,554
Brunswick Corporation318,76620,554
Brunswick Corporation318,76620,554
Genuine Parts Company214,86920,552
ENI S.p.A.621,36320,548
ENI S.p.A.621,36320,548
Generac Holdlings Inc.565,53520,530
Amdocs Limited354,54920,511
Newfield Exploration Company720,38620,502
AmTrust Financial Services2,035,52020,498
Harley-Davidson338,57420,484
Turquoise Hill Resources Ltd.6,895,25520,478
CASEY CONTAINER CORP158,67120,434
LaSalle Hotel Properties705,44820,423
Intercept Pharmaceuticals7,425,09820,416
Fresenius Medical Care Corporation630,00220,405
Fresenius Medical Care Corporation630,00220,405
Fresenius Medical Care Corporation630,00220,405
Alexion Pharmaceuticals167,68420,403
Alaska Power & Telephone Co.337,76720,397
Alaska Power & Telephone Co.337,76720,397
Alaska Power & Telephone Co.337,76720,397
The Middleby Corporation164,94520,390
Annaly Capital Management Inc1,833,52320,371
Genuine Parts Company202,75820,368
iShares Gold Trust1,692,84820,331
McCormick & Company208,39620,329
Monro Muffler Brake486,90920,328
BHP Billiton Limited406,45720,328
BHP Billiton Limited406,45720,328
BHP Billiton Limited406,45720,328
InterXion Holding N.V.561,13720,323
NICE-Systems Limited303,58120,323
COLUMBIA PROPERTY TRUST, INC.907,98120,322
The Descartes Systems Group Inc.767,91020,319
The Descartes Systems Group Inc.767,91020,319
The Descartes Systems Group Inc.767,91020,319
Community Bank System364,15020,308
ServisFirst Bancshares, Inc.391,19320,307
Subsea 7 SA ADR 191,32120,274
Pacira Pharmaceuticals5,369,05220,268
Infinity Cross Border Acquisition Corporation214,91320,245
Knight Transportation705,36320,236
Diebold1,237,56820,232
PacWest Bancorp471,32820,225
Pinnacle West Capital Corporation266,12620,221
HudBay Minerals Inc2,714,04220,220
Align Technology215,52920,207
Hanesbrands Inc.819,80620,200
The NASDAQ OMX Group290,68720,188
BMC Stock Holdings945,27620,181
BMC Stock Holdings945,27620,181
Boston Properties164,08620,163
Boston Properties164,08620,163
Hormel Foods Corporation541,64020,154
Hormel Foods Corporation541,64020,154
Hormel Foods Corporation541,64020,154
Alliance Creative Group, Inc.134,05320,120
Alliance Creative Group, Inc.134,05320,120
Alliance Creative Group, Inc.134,05320,120
iShares MSCI All Country Asia ex Japan Index Fund263,85920,105
The NASDAQ OMX Group281,07720,095
Annaly Capital Management Inc2,044,59520,078
Annaly Capital Management Inc2,044,59520,078
Annaly Capital Management Inc2,044,59520,078
Ferro Corporation961,33120,043
Ferro Corporation961,33120,043
Ferro Corporation961,33120,043
Ferro Corporation1,094,64320,021
UBM Plc566,96320,017
iShares MSCI511,50520,011
iShares MSCI511,50520,011
iShares MSCI511,50520,011
Education Realty Trust Inc.556,19519,984
Education Realty Trust Inc.556,19519,984
Glatfelter921,16619,972
Broadridge Financial Solutions294,49719,963
Black Hills Corporation269,34619,950
Crown Cork & Seal Company349,39019,946
Community Bank of Santa Maria (CA)195,96619,937
Community Bank of Santa Maria (CA)195,96619,937
Community Bank of Santa Maria (CA)195,96619,937
Islet Holdings, Inc.191,34219,909
Advanced Micro Devices1,562,99019,885
Advanced Micro Devices1,562,99019,885
Expeditors International of Washington351,94219,879
Fresenius Medical Care Corporation471,57519,869
McCormick & Company203,39819,832
The Kroger Company887,31719,830
Monro Muffler Brake288,27919,820
Monro Muffler Brake288,27919,820
Bankshares Fayetteville Inc.15,69819,811
POWERSHARES DB AGRICULTURE FUND614,79419,801
Rio Tinto467,52619,780
CF Industries Holdings445,27019,771
CF Industries Holdings445,27019,771
CF Industries Holdings445,27019,771
Deutsche Annington Immobilien SE778,54219,760
Carrizo Oil & Gas928,19019,752
Arista Networks, Inc.93,66519,734
Arista Networks, Inc.93,66519,734
Arista Networks, Inc.93,66519,734
iShares MSCI ACWI ex US Index Fund432,31119,708
Generac Holdlings Inc.396,42119,700
Generac Holdlings Inc.396,42119,700
Generac Holdlings Inc.396,42119,700
Diebold1,648,08019,695
Diebold1,648,08019,695
Diebold1,648,08019,695
BHP Billiton plc648,26219,694
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF319,14319,690
Chesapeake Lodging Trust730,04419,689
Chesapeake Lodging Trust730,04419,689
Coherent178,06719,683
Western Union Company (The)944,93419,673
MB Financial Inc.517,16119,673
CommVault Systems303,73619,664
Standex International Corporation211,71419,661
Alamos Gold Inc. New2,735,43419,640
Annaly Capital Management Inc1,965,78319,638
Annaly Capital Management Inc1,965,78319,638
Brown & Brown707,35819,615
Brown & Brown707,35819,615
Brown & Brown707,35819,615
Ryder System297,29519,607
Aspen Technology211,39719,605
Aspen Technology211,39719,605
Chesapeake Lodging Trust723,68619,605
Aspen Technology211,39719,605
Euronet Worldwide191,41519,597
Euronet Worldwide191,41519,597
Euronet Worldwide191,41519,597
Petrominerales Ltd213,82019,591
ISHARES VI PLC870,15719,591
CASEY CONTAINER CORP152,79019,578
CASEY CONTAINER CORP152,79019,578
CASEY CONTAINER CORP152,79019,578
INFORMATION ANALYSIS INC164,35619,558
PrivateBancorp329,33919,553
Fluor Corporation371,40919,542
Apache Corporation744,30419,539
Apache Corporation744,30419,539
Apache Corporation744,30419,539
CenturyLink1,033,42119,532
Annaly Capital Management Inc1,872,61519,532
CenturyLink1,033,42119,532
Gulfport Energy Corporation1,135,54819,521
Alexion Pharmaceuticals159,19919,510
Informa2,048,29619,499
Informa2,048,29619,499
Informa2,048,29619,499
Enpro Industries343,16819,499
lululemon athletica inc.160,31319,494
lululemon athletica inc.160,31319,494
lululemon athletica inc.160,31319,494
Genuine Parts Company210,11119,490
Inchcape PLC369,80819,488
Inchcape PLC369,80819,488
Inchcape PLC369,80819,488
Bankshares Fayetteville Inc.15,56519,465
Bankshares Fayetteville Inc.15,56519,465
Bankshares Fayetteville Inc.15,56519,465
Altair Gold, Inc.528,73519,463
Altair Gold, Inc.528,73519,463
Proto Labs289,37519,462
Hanmi Financial Corporation628,25419,444
Eastman Chemical Company231,35319,432
Community Bank of Santa Maria (CA)277,83219,420
Core-Mark Holding Company522,80019,411
IAC/InterActiveCorp164,84619,383
MercadoLibre106,69619,368
BCSB Bancorp1,871,24419,367
BCSB Bancorp1,871,24419,367
Banco de Guayaquil SA1,413,35219,362
AutoZone23,08819,356
AutoZone23,08819,356
AutoZone23,08819,356
HD Supply Holdings, Inc.536,58719,355
Darden Restaurants180,71319,346
Darden Restaurants180,71319,346
Darden Restaurants180,71319,346
Peoples Financial Corporation1,062,72619,342
Liberty Media Corporation18,544,00019,332
Sina Corporation616,66019,309
E*TRADE Financial Corporation439,71419,295
E*TRADE Financial Corporation439,71419,295
E*TRADE Financial Corporation439,71419,295
Allscripts Healthcare Solutions1,464,18019,284
JPMorgan Chase Bank NA612,10719,282
Alaska Power & Telephone Co.292,76419,281
FMC Corporation260,65219,277
FMC Corporation260,65219,277
FMC Corporation260,65219,277
Deutsche Telekom686,58619,273
Deutsche Telekom686,58619,273
Deutsche Telekom686,58619,273
CMG HOLDINGS GROUP, INC.43,24819,267
CACI International138,19019,257
CACI International138,19019,257
Everest Re Group101,24519,232
Hostess Brands1,407,06319,222
Lloyds Banking Group Plc7,508,28619,221
Lloyds Banking Group Plc7,508,28619,221
Host Marriott Financial Trust1,234,57719,221
Lloyds Banking Group Plc7,508,28619,221
Celanese Corporation194,83219,212
Western Alliance Bancorporation511,60919,208
Huntington Bancshares Incorporated1,420,13519,198
Cypress Semiconductor Corporation1,231,50419,188
Cypress Semiconductor Corporation1,231,50419,188
Cypress Semiconductor Corporation1,231,50419,188
Blackhawk Bancorp, Inc.635,78019,181
Patterson Companies975,33419,176
Huntsman Corporation993,88319,172
iShares Gold Trust1,605,73719,172
Huntsman Corporation993,88319,172
Huntsman Corporation993,88319,172
Marathon Oil Corporation1,617,65219,168
DSW Inc.935,09019,150
Advanced Micro Devices1,861,87819,139
The Descartes Systems Group Inc.588,62519,130
The Descartes Systems Group Inc.588,62519,130
The Descartes Systems Group Inc.588,62519,130
India Cement Ltd.138,25519,124
India Cement Ltd.138,25519,124
India Cement Ltd.138,25519,124
Plexus Corp.408,70119,119
Hanmi Financial Corporation725,20819,102
Raymond James Financial238,10019,100
Semtech Corporation688,66019,096
Mistras Group Inc813,47119,092
Hercules Technology Growth Capital1,727,14619,085
Hercules Technology Growth Capital1,727,14619,085
Hercules Technology Growth Capital1,727,14619,085
Petrominerales Ltd228,48419,070
Campbell Soup Company396,16419,060
Wake Forest Bancshares, Inc.317,74219,026
Bottomline Technologies379,45219,007
Petroleo Brasileiro S.A.- Petrobras2,034,82218,985
First Trust NASDAQ-100 Ex-Technology Sector Index Fund246,23618,975
First Trust NASDAQ-100 Ex-Technology Sector Index Fund246,23618,975
First Trust NASDAQ-100 Ex-Technology Sector Index Fund246,23618,975
ENERGY TRANSFER PARTNERS1,036,41418,955
Boston Scientific Corporation683,72918,952
Islet Holdings, Inc.168,73718,919
Boston Properties145,48918,919
Masonite International304,05218,902
Deutsche Borse AG658,01418,902
Motorola Solutions218,99318,882
Workday207,69418,864
Curtiss-Wright Corporation184,53618,843
Curtiss-Wright Corporation184,53618,843
Curtiss-Wright Corporation184,53618,843
China Unicom (Hong Kong) Ltd1,340,89318,813
China Unicom (Hong Kong) Ltd1,340,89318,813
Nokia Corporation3,230,69418,803
Nokia Corporation3,230,69418,803
MSCI Inc347,24918,800
Inmarsat Plc.120,65818,786
Fifth Third Bancorp739,01918,771
Dover Corporation233,46618,759
Enbridge Energy Management LLC1,211,40618,729
Enbridge Energy Management LLC1,211,40618,729
DSW Inc.871,13118,712
DSW Inc.871,13118,712
Linear Technology Corporation315,49518,707
Chesapeake Lodging Trust590,92018,697
Chesapeake Lodging Trust590,92018,697
Chesapeake Lodging Trust590,92018,697
Raymond James Financial244,63318,656
American Campus Communities Inc366,46418,641
F5 Networks149,52018,636
Infinity Cross Border Acquisition Corporation225,53418,636
IL2M International Corp.126,78618,627
IL2M International Corp.126,78618,627
IL2M International Corp.126,78618,627
Matador Resources Company782,76318,621
Colony NorthStar, Inc.1,498,14418,620
Bankshares Fayetteville Inc.15,57118,609
Colony NorthStar, Inc.1,481,14418,603
Black Hills Corporation296,22918,599
Black Hills Corporation296,22918,599
Black Hills Corporation296,22918,599
Owens Corning Inc422,79318,595
Burlington Stores Inc114,28418,590
Carlisle Companies Incorporated171,63518,590
Burlington Stores Inc114,28418,590
Carlisle Companies Incorporated171,63518,590
Burlington Stores Inc114,28418,590
Carlisle Companies Incorporated171,63518,590
NCI Building Systems1,112,91618,586
CommVault Systems314,02018,556
CommVault Systems314,02018,556
CommVault Systems314,02018,556
Cavco Industries125,74018,552
Cavco Industries125,74018,552
Leucadia National Corporation708,27418,528
Kayne Anderson MLP Investment Company1,346,08318,522
Masimo Corporation172,50118,522
Kayne Anderson MLP Investment Company1,346,08318,522
Kayne Anderson MLP Investment Company1,346,08318,522
Masimo Corporation172,50118,522
First Trust Advantaged Short Duration High Yield Bond Fund295,50218,493
Crown Marketing1,147,38618,485
Galp Energia, SA634,09018,484
Dover Corporation260,49418,481
Dover Corporation260,49418,481
Dover Corporation260,49418,481
Olin Corporation609,69218,462
Interface Inc.968,85118,457
Coach457,69518,435
Coach457,69518,435
Crimson Exploration Inc.170,07518,434
Crimson Exploration Inc.170,07518,434
Crimson Exploration Inc.170,07518,434
Bright Horizons Family Solutions Inc165,23618,415
Bright Horizons Family Solutions Inc165,23618,415
Bright Horizons Family Solutions Inc165,23618,415
Rockwell Collins218,25018,407
Radius Bancorp Inc.405,82518,356
CenturyLink778,62718,352
Team559,90818,314
Dover Corporation249,84718,288
Dover Corporation249,84718,288
Dover Corporation249,84718,288
FutureFuel Corp.1,621,15918,286
Xilinx1,830,93118,285
NRG Energy977,70218,283
TripAdvisor289,19518,272
Korn/Ferry International461,94918,264
Korn/Ferry International461,94918,264
Korn/Ferry International461,94918,264
Canada Strategic Metals, Inc.682,43318,262
FleetCor Technologies86,59618,241
FleetCor Technologies86,59618,241
FleetCor Technologies86,59618,241
FMC Corporation192,59018,231
Diamondrock Hospitality Company1,481,94018,198
Diamondrock Hospitality Company1,481,94018,198
Diamondrock Hospitality Company1,481,94018,198
Illumina91,34518,197
Gramercy Property Trust, Inc.601,27818,189
Carriage Services740,91418,189
Carriage Services740,91418,189
Carriage Services740,91418,189
American Housing Income Trust, Inc.239,28018,177
Brown & Brown352,97018,165
Chesapeake Lodging Trust740,73718,127
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal576,84218,108
Innocap, Inc.89,40218,091
CONDUENT Inc995,31218,085
CONDUENT Inc995,31218,085
CONDUENT Inc995,31218,085
Avery Dennison Corporation224,31818,080
American Financial Group168,44218,080
American Financial Group168,44218,080
American Financial Group168,44218,080
International Spirit & Beverage Group, Inc. 443,93418,068
International Spirit & Beverage Group, Inc. 443,93418,068
International Spirit & Beverage Group, Inc. 443,93418,068
Univest Corporation of Pennsylvania773,24618,064
Hibbett Sports452,10118,039
American Housing Income Trust, Inc.266,27318,027
American Housing Income Trust, Inc.266,27318,027
American Housing Income Trust, Inc.266,27318,027
ManpowerGroup249,42518,022
First Trust Advantaged Short Duration High Yield Bond Fund342,27618,012
China Natural Gas, Inc.237,60318,002
China Natural Gas, Inc.237,60318,002
Iamgold Corporation4,888,02317,988
Iamgold Corporation4,888,02317,988
Iamgold Corporation4,888,02317,988
Interface Inc.1,076,58417,969
American Campus Communities Inc465,20517,966
Quest Management Inc.212,23717,962
Chesapeake Lodging Trust749,24017,953
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF268,55617,934
Aspen Technology227,24217,927
Leucadia National Corporation689,44617,927
Affiliated Managers Group87,33617,926
AptarGroup190,51317,923
AptarGroup190,51317,923
AptarGroup190,51317,923
Diodes Incorporated516,48317,922
Community Bank of Santa Maria (CA)146,84117,917
IntercontinentalExchange260,63917,905
Endurance Specialty Holdings Ltd273,42817,897
Diodes Incorporated744,09317,894
BorgWarner Inc.465,72117,889
Terreno Realty Corporation650,16917,886
Horizon Technology Finance Corporation1,013,79617,884
Diodes Incorporated744,18317,883
Opus Bank738,73217,877
Belden Inc236,94217,873
W.W. Grainger63,24117,857
W.W. Grainger63,24117,857
W.W. Grainger63,24117,857
Haemonetics Corporation178,41517,850
Haemonetics Corporation178,41517,850
Haemonetics Corporation178,41517,850
Spirit Airlines419,26917,831
Hanesbrands Inc.768,94417,809
HCP468,68617,786
Brixmor Property Group Inc.945,33717,772
Brixmor Property Group Inc.945,33717,772
Cadence Design Systems565,66217,761
Community Bank of Santa Maria (CA)156,23117,760
Community Bank of Santa Maria (CA)156,23117,760
Peoples Financial Corporation1,005,30917,753
Radius Bancorp Inc.328,13817,749
Community Bank System368,68717,737
Aareal Bank AG393,58117,696
Bed Bath & Beyond Inc.410,41417,693
Inmarsat Plc.102,88417,681
Arista Networks, Inc.93,21617,675
Arista Networks, Inc.93,21617,675
China Biologic Products141,86317,659
Flowers Foods909,75817,658
IDACORP191,25417,642
IDACORP191,25417,642
IDACORP191,25417,642
Brown & Brown365,91517,633
Brown & Brown365,91517,633
Aareal Bank AG512,50017,631
Duke Realty Corporation647,52117,618
BorgWarner Inc.506,83017,606
BorgWarner Inc.506,83017,606
BorgWarner Inc.506,83017,606
Black Hills Corporation287,60217,604
Black Hills Corporation287,60217,604
Black Hills Corporation287,60217,604
Islet Holdings, Inc.163,66117,598
ENERGY TRANSFER PARTNERS961,45817,585
Cimarex Energy Co147,14917,582
Mead Johnson Nutrition Company222,12317,550
BT Group plc689,50817,535
ABIOMED122,34817,532
All Marketing Solutions Inc.371,86217,512
Watts Water Technologies270,00417,508
Manhattan Associates412,83417,492
Manhattan Associates412,83417,492
Manhattan Associates412,83417,492
Curtiss-Wright Corporation146,94817,491
Curtiss-Wright Corporation146,94817,491
Curtiss-Wright Corporation146,94817,491
Comerica Incorporated255,01717,488
Australian Pacific Coal Ltd.907,67917,473
Australian Pacific Coal Ltd.907,67917,473
Australian Pacific Coal Ltd.907,67917,473
Canopy Growth Corporation649,92417,464
Canopy Growth Corporation649,92417,464
Canopy Growth Corporation649,92417,464
Inchcape PLC305,29017,463
Integrated Research Ltd.387,11917,460
Integrated Research Ltd.387,11917,460
Carlisle Companies Incorporated170,21617,460
Integrated Research Ltd.387,11917,460
Coach422,24017,451
Expeditors International of Washington338,69517,449
Community Healthcare Trust Inc795,42617,436
Crown Cork & Seal Company329,16317,429
Fifth Third Bancorp740,57417,425
Fifth Third Bancorp740,57417,425
Fifth Third Bancorp740,57417,425
Hibbett Sports589,80517,400
First Trust High Income Long Short Fund680,65117,396
Domtar Corporation468,26817,387
American Axle & Manufacturing Holdings1,565,42517,377
American Axle & Manufacturing Holdings1,565,42517,377
American Axle & Manufacturing Holdings1,565,42517,377
IAC/InterActiveCorp277,74917,351
Alliant Energy Corporation409,94917,348
Alliant Energy Corporation409,94917,348
Alliant Energy Corporation409,94917,348
Community Bank System313,98017,347
Community Bank System313,98017,347
Illumina99,95017,342
Harley-Davidson359,45817,329
Crown Cork & Seal Company290,39317,324
Deutsche Telekom671,43817,316
Syngenta AG197,50517,301
IDACORP196,71617,298
Beacon Roofing Supply537,66817,292
AvalonBay Communities97,19217,285
E*TRADE Financial Corporation348,61917,281
Dupont Fabros Technology418,93917,281
BHP Billiton Limited357,76417,277
BHP Billiton Limited357,76417,277
Fifth Third Bancorp617,44617,277
BHP Billiton Limited357,76417,277
Fifth Third Bancorp617,44617,277
iShares MSCI All Country Asia ex Japan Index Fund212,54017,271
iShares MSCI All Country Asia ex Japan Index Fund212,54017,271
iShares MSCI All Country Asia ex Japan Index Fund212,54017,271
CACI International171,07417,262
Diodes Incorporated534,52717,244
Diodes Incorporated534,52717,244
Diodes Incorporated534,52717,244
Alexion Pharmaceuticals127,48117,233
Alexion Pharmaceuticals127,48117,233
American Housing Income Trust, Inc.237,65917,223
ON Semiconductor Corporation14,022,78317,219
CoreStream Energy, Inc.275,30017,211
CoreStream Energy, Inc.275,30017,211
WellPoint Inc.9,825,00017,206
NIC Inc.731,64317,193
Best Buy Co.324,58817,191
Best Buy Co.324,58817,191
Best Buy Co.324,58817,191
Gramercy Capital Corp1,783,22917,190
KLA-Tencor Corporation162,09117,182
Inmarsat Plc.103,34517,182
American Financial Group153,02817,173
Crimson Exploration Inc.146,02717,156
National Fuel Gas Company335,09117,151
National Fuel Gas Company335,09117,151
Alkermes plc364,39817,138
Lithia Motors181,82017,133
IPG Photonics Corporation92,54717,128
AMN Healthcare Services Inc536,94717,111
China Mobile (Hong Kong) Ltd.277,99917,102
Fifth Third Bancorp834,92517,084
Prudential Public Limited Company478,08817,072
ScanSource467,33517,057
Reinsurance Group of America157,88817,041
American Campus Communities Inc359,83717,020
Cypress Semiconductor Corporation1,140,77117,020
Expeditors International of Washington263,09417,020
Fiserv229,67817,017
Fiserv229,67817,017
Fiserv229,67817,017
FMC Corporation190,43817,009
FMC Corporation190,43817,009
Vanguard Energy Corporation181,85616,995
Matica Enterprises Inc663,39316,990
Therapy Cells, Inc.457,09016,987
Core-Mark Holding Company748,27316,985
Core-Mark Holding Company748,27316,985
Core-Mark Holding Company748,27316,985
iShares MSCI381,83916,952
J.B. Hunt Transport Services139,26116,928
J.B. Hunt Transport Services139,26116,928
J.B. Hunt Transport Services139,26116,928
Gulfport Energy Corporation1,147,23016,921
Northern Trust Corporation202,35516,915
The Ultimate Software Group82,71316,906
Gap521,66616,896
Gap521,66616,896
Gap521,66616,896
TESARO3,582,36216,881
CoreStream Energy, Inc.292,49116,856
Bright Horizons Family Solutions Inc164,35516,850
Bright Horizons Family Solutions Inc164,35516,850
Bright Horizons Family Solutions Inc164,35516,850
Generac Holdlings Inc.451,57516,834
CACI International127,09516,820
Crown Cork & Seal Company281,58616,816
Crown Cork & Seal Company281,58616,816
American Housing Income Trust, Inc.232,94516,808
American Housing Income Trust, Inc.232,94516,808
American Housing Income Trust, Inc.232,94516,808
Illumina98,47316,803
Genuine Parts Company181,70416,791
CIGNA High Income Shares114,62516,790
Islet Holdings, Inc.186,34616,772
Kayne Anderson MLP Investment Company889,69116,770
Campbell Soup Company508,18616,764
Campbell Soup Company508,18616,764
Campbell Soup Company508,18616,764
Jack Henry & Associates195,91016,759
Calavo Growers174,13116,742
Calavo Growers174,13116,742
Calavo Growers174,13116,742
American Campus Communities Inc351,69516,737
Canada Coal Inc813,78516,724
Canada Coal Inc813,78516,724
Perficient829,70816,719
HudBay Minerals Inc2,904,60616,700
IDACORP179,17816,674
IDACORP179,17816,674
IDACORP179,17816,674
American Campus Communities Inc405,97716,658
Encore Capital Group Inc389,34316,641
Encore Capital Group Inc389,34316,641
Gulfport Energy Corporation1,160,20616,638
Carriage Services647,13316,638
Infinity Energy Resources, Inc.656,22516,636
MGM Growth Properties LLC685,66216,636
Infinity Energy Resources, Inc.656,22516,636
MGM Growth Properties LLC685,66216,636
Infinity Energy Resources, Inc.656,22516,636
MGM Growth Properties LLC685,66216,636
Janus Capital Group1,056,06316,634
Encore Capital Group Inc414,23416,632
ABAXIS200,34816,630
ABAXIS200,34816,630
ABAXIS200,34816,630
CACI International132,62216,584
Arrow Electronics242,61816,555
Arrow Electronics242,61816,555
POSCO256,52916,547
Herbalife LTD.16,463,00016,536
Franklin Templeton Limited Duration Income Trust653,32316,533
Cavco Industries79,38116,484
Cavco Industries79,38116,484
Cavco Industries79,38116,484
NRG Energy1,470,12516,480
Dave & Buster's Entertainment419,07016,419
Matador Resources Company768,06416,414
Korn/Ferry International780,33316,387
Cavco Industries107,32016,378
Ameren Illinois Company277,60916,377
Toyota Tsusho Corp.141,09616,375
Cypress Semiconductor Corporation1,199,47316,373
Generac Holdlings Inc.452,85616,361
Alexion Pharmaceuticals146,67316,348
Mohawk Industries81,57516,342
Raymond James Financial280,72516,341
The Weir Group667,58616,329
Horizon Technology Finance Corporation819,14816,326
CornerWorld Corp.147,37016,313
CornerWorld Corp.147,37016,313
CornerWorld Corp.147,37016,313
International Spirit & Beverage Group, Inc. 354,54116,312
International Spirit & Beverage Group, Inc. 354,54116,312
Advanced Micro Devices1,306,51516,304
Ishares Broad Commodity Index ETF408,01516,296
Boston Properties132,38816,286
Pacira Pharmaceuticals340,97116,265
Vail Resorts103,63716,259
Lennar Corporation384,08116,242
National Health Investors206,87216,235
Fifth Third Bancorp623,51516,186
Alliance Creative Group, Inc.63,80816,175
Ferrum Americas Mining, Inc.488,72516,165
NorthWestern Corporation264,74616,155
Robert Half International Inc.426,24416,137
John Bean Technologies Corporation183,37116,130
Software AG92,92216,124
Software AG92,92216,124
Software AG92,92216,124
Rio Tinto482,69616,121
Silgan Holdings318,39816,108
Vantiv286,14016,102
Campbell Soup Company281,20716,097
Darden Restaurants161,19516,096
Darden Restaurants161,19516,096
Darden Restaurants161,19516,096
Domtar Corporation324,93316,091
NorthWestern Corporation273,97216,082
National Australia Bank Ltd. (Victoria, Australia)672,74816,079
Cavco Industries124,00716,078
First Trust NASDAQ-100 Ex-Technology Sector Index Fund235,89216,076
First Trust NASDAQ-100 Ex-Technology Sector Index Fund235,89216,076
Dex One Corporation134,14116,071
Dex One Corporation134,14116,071
Dex One Corporation134,14116,071
CACI International111,48816,057
CACI International111,48816,057
CACI International111,48816,057
Innocap, Inc.91,84816,049
AptarGroup208,42116,047
Hewlett Packard Enterprise Co1,090,87216,046
Bankshares Fayetteville Inc.12,79116,022
Bankshares Fayetteville Inc.12,79116,022
Bankshares Fayetteville Inc.12,79116,022
CACI International136,58416,021
ManTech International Corporation305,78215,990
ManTech International Corporation305,78215,990
ManTech International Corporation305,78215,990
Apogee Enterprises357,62515,982
Affiliated Managers Group84,16415,956
ILG596,47715,943
Limited Brands225,18415,936
Carlisle Companies Incorporated158,48015,931
Carlisle Companies Incorporated158,48015,931
Carlisle Companies Incorporated158,48015,931
Tableau Software287,82315,908
Banco de Guayaquil SA1,437,75915,887
Beacon Roofing Supply500,83015,887
Beacon Roofing Supply500,83015,887
Beacon Roofing Supply500,83015,887
Garmin Ltd.330,05915,879
IDACORP191,35015,875
Domtar Corporation365,41715,854
Domtar Corporation365,41715,854
Matthews International Corporation233,94115,826
CoreStream Energy, Inc.285,44515,819
Proto Labs263,51515,787
Domtar Corporation410,81115,783
Aspen Technology267,81315,779
IDACORP184,81515,775
Federal Realty Investment Trust124,56315,763
Federal Realty Investment Trust124,56315,763
Federal Realty Investment Trust124,56315,763
Rockwell Automation128,70915,747
First Trust NASDAQ-100 Ex-Technology Sector Index Fund261,73015,743
IHI Corp94,23015,739
Discovery Communications597,89515,731
IL2M International Corp.105,35515,727
IShares Plc.271,74015,718
IShares Plc.271,74015,718
Vertex Pharmaceuticals Incorporated180,22315,717
Kayne Anderson MLP Investment Company864,66115,711
Software AG85,53715,626
Software AG85,53715,626
Select Income REIT580,81915,624
CMG HOLDINGS GROUP, INC.50,65915,594
CMG HOLDINGS GROUP, INC.50,65915,594
FactSet Research Systems Inc.77,90015,589
FactSet Research Systems Inc.77,90015,589
FactSet Research Systems Inc.77,90015,589
International Spirit & Beverage Group, Inc. 348,74415,586
AptarGroup201,32315,585
First Trust High Income Long Short Fund553,66915,574
Bright Horizons Family Solutions Inc165,57115,564
First Trust NASDAQ-100 Equal Weighted Index Fund290,98215,562
Inogen259,81215,562
Orange SA960,59215,552
Aspen Technology247,55815,549
Aspen Technology247,55815,549
Interface Inc.790,90415,542
Ishares Canadian Dex Universe Bond Index Fund238,83915,534
CF Industries Holdings365,11615,532
Celanese Corporation139,81315,527
Celanese Corporation139,81315,527
Celanese Corporation139,81315,527
Diamondrock Hospitality Company1,373,50215,507
Affiliated Managers Group81,63315,498
Affiliated Managers Group81,63315,498
Camping World Holdings379,87415,475
Camping World Holdings379,87415,475
FutureFuel Corp.982,64015,466
FutureFuel Corp.982,64015,466
IDACORP197,26315,442
Domtar Corporation422,76415,441
Community Bank System287,24415,440
Equifax130,93115,439
Arrow Electronics196,81115,434
Canopy Growth Corporation526,84315,431
Canopy Growth Corporation526,84315,431
Canopy Growth Corporation526,84315,431
Federal Realty Investment Trust130,71315,429
Federal Realty Investment Trust130,71315,429
Federal Realty Investment Trust130,71315,429
Fortune Brands Home & Security229,45415,425
Fortune Brands Home & Security229,45415,425
Community Bank of Santa Maria (CA)250,18115,423
Community Bank of Santa Maria (CA)250,18115,423
Community Bank of Santa Maria (CA)250,18115,423
ENI S.p.A.533,24615,394
IntercontinentalExchange57,15215,394
First Trust NASDAQ-100 Equal Weighted Index Fund298,05115,380
Central Garden & Pet Company407,57815,369
Belden Inc251,23815,356
Belden Inc251,23815,356
Belden Inc251,23815,356
Australian Pacific Coal Ltd.679,08915,354
CARVANA CO.750,07315,354
Australian Pacific Coal Ltd.679,08915,354
Australian Pacific Coal Ltd.679,08915,354
Cadence Design Systems601,11015,348
Peoples Financial Corporation969,70015,342
The Hain Celestial Group966,07415,322
The Hain Celestial Group966,07415,322
The Hain Celestial Group966,07415,322
Altair Gold, Inc.639,75715,302
BorgWarner Inc.434,64015,290
Marathon Oil Corporation967,51915,288
Matador Resources Company626,73415,255
Gentherm Inc485,20315,245
Ameren Illinois Company269,14215,243
Matthews International Corporation250,64315,230
Limited Brands592,99115,221
Limited Brands592,99115,221
Limited Brands592,99115,221
WhiteWave Foods279,39415,206
Calpine Corporation1,030,76215,204
Calpine Corporation1,030,76215,204
Dex One Corporation127,58515,195
V Media Corp206,76415,165
CubeSmart583,75815,154
CubeSmart583,75815,154
The Kroger Company727,86415,133
Aspen Technology228,25215,110
Baker Hughes Incorporated299,32415,105
Dick's Sporting Goods Inc266,12415,093
American Financial Group138,95115,083
Verisk Analytics185,55015,082
Arrow Electronics205,28315,070
Arthur J. Gallagher & Co.244,61315,057
iShares Commodity Optimized Trust402,54315,051
CoreStream Energy, Inc.278,53315,049
Lennox International68,60115,014
Lennox International68,60115,014
Lennox International68,60115,014
First Tractor Co. Ltd.534,35915,002
Addus HomeCare Corporation235,54914,979
Addus HomeCare Corporation235,54914,979
Hawaiian Electric Industries436,56214,975
Hawaiian Electric Industries436,56214,975
Hawaiian Electric Industries436,56214,975
Kennametal Inc.370,94114,963
Altair Gold, Inc.542,09914,951
Altair Gold, Inc.542,09914,951
Altair Gold, Inc.542,09914,951
AmTrust Financial Services1,214,20414,947
Multi-Strategy Growth & Income Fund500,04514,941
Cypress Semiconductor Corporation1,174,28014,937
Cypress Semiconductor Corporation1,174,28014,937
Cypress Semiconductor Corporation1,174,28014,937
Best Buy Co.200,00814,915
Best Buy Co.200,00814,915
Best Buy Co.200,00814,915
Martin Marietta Materials67,00614,914
CIGNA High Income Shares114,38714,908
First Tractor Co. Ltd.494,80514,889
Aareal Bank AG317,40414,881
Aareal Bank AG317,40414,881
Aareal Bank AG317,40414,881
Arista Networks, Inc.99,32314,878
Canada Coal Inc309,37314,857
BHP Billiton Limited428,69814,854
Crimson Exploration Inc.150,38414,851
Crimson Exploration Inc.150,38414,851
DOCUSIGN INC286,34014,842
Regal Entertainment Group724,86014,831
ExlService Holdings312,80614,814
Opus Bank735,17814,814
Fidelity Bancorp419,06014,737
Fidelity Bancorp419,06014,737
Fidelity Bancorp419,06014,737
Highwoods Properties299,89114,734
Tractor Supply Company218,70914,731
The Descartes Systems Group Inc.518,43714,723
Diamondrock Hospitality Company1,359,12814,718
SSTL, Inc.457,67314,715
Mag Silver Corporation975,59614,713
CNOOC Limited116,24514,705
IL2M International Corp.102,06714,699
Liberty Interactive13,880,00014,692
Omnicom Group Inc.170,28414,681
HudBay Minerals Inc2,240,22314,673
Flowers Foods779,32514,660
Ballroom Dance Fitness Inc318,76614,658
Ballroom Dance Fitness Inc318,76614,658
Ballroom Dance Fitness Inc318,76614,658
Forum Energy Technologies736,96814,637
Leidos Holdings, Inc.277,46614,628
Leidos Holdings, Inc.277,46614,628
Leidos Holdings, Inc.277,46614,628
Rite Aid Corporation1,901,89514,624
Callaway Golf Company1,011,06014,589
Callaway Golf Company1,011,06014,589
Invitation Homes Inc.643,95214,586
DoubleLine Income Solutions Fund841,17114,577
DoubleLine Income Solutions Fund841,17114,577
DoubleLine Income Solutions Fund841,17114,577
AZZ Incorporated333,53614,576
IShares Plc.260,64514,562
IShares Plc.260,64514,562
IShares Plc.260,64514,562
Innocap, Inc.76,09314,552
Innocap, Inc.76,09314,552
Innocap, Inc.76,09314,552
Dycom Industries177,86614,547
Ferro Corporation956,58214,530
St. Jude Medical181,98214,515
Sonic Corp.554,36714,513
The Intertain Group Limited122,77514,505
The Intertain Group Limited122,77514,505
Keysight Technologies, Inc.347,93814,495
Federated Investors489,04814,491
New Senior Investment Group Inc.1,255,47214,488
Blackbaud164,99914,487
Blackbaud164,99914,487
DENTSPLY International Inc.243,62514,479
XL Group plc429,64514,450
Banco Bilbao Viscaya Argentaria S.A.1,617,27214,426
Banco Bilbao Viscaya Argentaria S.A.1,617,27214,426
W.W. Grainger80,20114,416
Hawaiian Electric Industries393,30514,402
Hawaiian Electric Industries393,30514,402
Hawaiian Electric Industries393,30514,402
Boston Properties108,67014,388
China Unicom (Hong Kong) Ltd1,180,96214,384
Carlisle Companies Incorporated126,51914,379
Forum Energy Technologies903,86914,372
Forum Energy Technologies903,86914,372
Bright Horizons Family Solutions Inc166,68314,370
Bright Horizons Family Solutions Inc166,68314,370
First Trust NASDAQ-100 Equal Weighted Index Fund314,02114,370
Calavo Growers171,30014,364
Lennox International91,42714,357
Semtech Corporation401,57814,357
Federal Realty Investment Trust93,12814,335
Safeguard Scientifics1,105,57914,329
Liberty Broadband Corporation198,93714,328
Liberty Broadband Corporation198,93714,328
Liberty Broadband Corporation198,93714,328
Brown & Brown332,52514,323
Alliance Creative Group, Inc.66,74414,319
ITT Educational Services, Inc.399,47614,317
Extended Stay America, Inc.715,48314,310
Extended Stay America, Inc.715,48314,310
Boston Properties114,08214,309
Boston Properties114,08214,309
Boston Properties114,08214,309
iShares MSCI All Country Asia ex Japan Index Fund185,13614,279
Pan American Silver Corp.809,98714,272
Ballroom Dance Fitness Inc377,03214,271
Brown & Brown341,72614,257
iShares MSCI All Country Asia ex Japan Index Fund180,10014,246
Dunkin' Brands Group267,95714,223
Dunkin' Brands Group267,95714,223
Boston Private Financial Holdings1,108,56814,223
iShares FTSE EPRA/NAREIT North America Index Fund212,67714,218
CREDEX CORP268,50014,217
CREDEX CORP268,50014,217
CREDEX CORP268,50014,217
KLA-Tencor Corporation155,37814,217
Alliance Creative Group, Inc.57,04214,205
Lamb Weston Holdings, Inc.193,02914,198
Lamb Weston Holdings, Inc.193,02914,198
Lamb Weston Holdings, Inc.193,02914,198
Alliance Creative Group, Inc.55,31214,196
Simpson Manufacturing Company322,96714,193
Echo Global Logistics614,97314,182
FMC Corporation193,87714,163
Lithia Motors165,35214,163
Ionis Pharmaceuticals261,93614,159
Ionis Pharmaceuticals261,93614,159
Ionis Pharmaceuticals261,93614,159
MINDBODY, Inc.720,17414,158
Fluor Corporation439,48114,151
Fluor Corporation439,48114,151
Fluor Corporation439,48114,151
CubeSmart439,14114,149
CubeSmart439,14114,149
CubeSmart439,14114,149
POSCO276,97614,148
Integer Holdings Corporation651,76214,137
Manitowoc Foodservice, Inc.871,28314,131
KB Financial Group Inc413,04414,130
Vonage Holdings Corp.2,137,28814,127
NorthWestern Corporation245,48814,123
First Trust NASDAQ-100 Ex-Technology Sector Index Fund226,15314,110
Software AG111,55514,109
Patterson Companies307,07114,106
Huntsman Corporation483,07314,105
Huntsman Corporation483,07314,105
Huntsman Corporation483,07314,105
Bigsupersearch.com, Inc.337,55614,104
Bigsupersearch.com, Inc.337,55614,104
Bigsupersearch.com, Inc.337,55614,104
Ameren Illinois Company231,49714,085
Ameren Illinois Company231,49714,085
Ameren Illinois Company231,49714,085
The Providence Service Corporation689,90514,081
The Providence Service Corporation689,90514,081
The Providence Service Corporation689,90514,081
ISC8 Inc.125,19114,079
Arthur J. Gallagher & Co.245,85914,075
Celanese Corporation131,42214,075
Eagle Energy Trust131,89914,073
Eagle Energy Trust131,89914,073
Cogent Communications Group287,61114,064
Cogent Communications Group287,61114,064
Gap639,34114,059
Apogee Enterprises235,85114,058
Alexion Pharmaceuticals117,48214,050
Nucor Corporation284,07314,049
FleetCor Technologies75,62114,045
FleetCor Technologies75,62114,045
FleetCor Technologies75,62114,045
LaSalle Hotel Properties587,46614,022
Innocap, Inc.71,25014,010
Hawaiian Electric Industries419,60014,002
iShares MSCI336,88813,997
Louisiana-Pacific Corporation629,00013,977
Louisiana-Pacific Corporation629,00013,977
Louisiana-Pacific Corporation629,00013,977
CONDUENT Inc1,314,73613,976
CONDUENT Inc1,314,73613,976
CONDUENT Inc1,314,73613,976
Zendesk, Inc.455,06313,975
First Sentry Bancshares Inc.206,60013,950
Matthews International Corporation227,66013,945
Helios Advantage Income Fund601,14213,918
ConAgra Foods651,21913,910
ConAgra Foods651,21913,910
ConAgra Foods651,21913,910
CubeSmart534,63913,879
Ballroom Dance Fitness Inc239,77113,874
Alliance Creative Group, Inc.79,24913,866
Alliance Creative Group, Inc.79,24913,866
Proto Labs271,31213,864
Expeditors International of Washington231,19813,839
Expeditors International of Washington231,19813,839
Aceto Corporation728,51313,835
BroadSoft297,19013,834
Interface Inc.630,32113,804
Cheniere Energy3,587,46513,804
Cheniere Energy3,587,46513,804
AGCO Corporation279,74513,796
Reliance Infrastructure Ltd.189,43613,792
Huntington Bancshares Incorporated1,396,98913,775
Helios Advantage Income Fund542,65713,766
Helios Advantage Income Fund542,65713,766
Helios Advantage Income Fund542,65713,766
Imerjn Inc.280,16313,753
Imerjn Inc.280,16313,753
Imerjn Inc.280,16313,753
Landec Corporation1,024,76313,742
Kresta Holdings Ltd.325,10313,741
Panera Bread Company70,48413,726
Rofin-Sinar Technologies426,46913,724
Aspen Technology248,22213,719
Retail Opportunity Investments Corp.624,33913,710
Integrated Drilling Equipment Holdings Corp.282,77613,693
Integrated Drilling Equipment Holdings Corp.282,77613,693
Integrated Drilling Equipment Holdings Corp.282,77613,693
CASEY CONTAINER CORP122,24213,683
INC Research Holdings, Inc.306,79813,676
IL2M International Corp.97,71413,670
KAR Auction Services316,30013,650
Gold Fields Limited3,166,66513,648
Laredo Petroleum Holdings934,66513,646
Cohu556,37913,637
Cohu556,37913,637
Cohu556,37913,637
Flowers Foods787,12813,626
Campbell Soup Company261,05413,614
CubeSmart470,68313,612
PACCAR Inc.231,54713,611
PACCAR Inc.202,49613,607
MGM Growth Properties LLC496,22813,596
New Ulm Telecom, Inc.185,89013,588
Hanesbrands Inc.537,90913,583
Sears Holdings Corporation1,532,20313,575
CASEY CONTAINER CORP120,87213,568
Belden Inc196,47613,556
Flow International Corporation280,24813,520
FirstService289,14013,498
MANAGED FUTURES PREMIER GRAHAM L.P.320,81213,496
The Descartes Systems Group Inc.492,80613,479
The Descartes Systems Group Inc.492,80613,479
Oxford Industries198,70913,452
IHS Markit358,20913,451
Masonite International169,54213,435
World Fuel Services Corporation290,20313,424
Motorola Solutions154,63713,414
Cullen/Frost Bankers138,13713,409
Performance Sports Group238,79713,397
ExlService Holdings240,49313,368
Ligand Pharmaceuticals Incorporated98,15113,365
CornerWorld Corp.110,64413,348
Keysight Technologies, Inc.421,19713,347
Tailored Brands850,04513,346
Booz Allen Hamilton Holding Corporation229,48913,343
Advanced Micro Devices1,926,92013,316
Lexington Realty Trust1,292,50513,314
DoubleLine Income Solutions Fund663,13413,310
Landec Corporation895,22413,294
China Natural Gas, Inc.179,93613,288
ACADIA Pharmaceuticals Inc.417,66813,286
Pegasystems Inc.277,67713,282
PACCAR Inc.200,98613,273
QTS Realty Trust, Inc.250,91813,261
Liberty Broadband Corporation185,11713,232
Imerjn Inc.246,40513,226
8x8 Inc979,05613,217
8x8 Inc979,05613,217
STERLING CONSOLIDATED Corp90,00113,214
Callaway Golf Company948,07513,207
Equinix36,64813,203
CBIZ428,82213,188
Moog Inc.170,17113,185
Moog Inc.170,17113,185
J.B. Hunt Transport Services141,62013,176
J.B. Hunt Transport Services141,62013,176
J.B. Hunt Transport Services141,62013,176
CBIZ667,72213,175
Resource Capital Corp.13,233,17613,172
Kayne Anderson Acquisition Corp1,389,69213,148
Carlisle Companies Incorporated107,06713,128
Diodes Incorporated615,09213,126
Wright Express Corporation154,58113,095
Hologic370,90113,076
Extra Space Storage Inc164,66013,076
Martin Marietta Materials59,72413,034
Arthur J. Gallagher & Co.230,48813,031
GSM Fund Group Inc260,56913,009
Callaway Golf Company1,120,32313,007
Bemis Company280,87512,992
Williams Companies422,39412,979
BlackRock Credit Allocation Income Trust I953,92412,963
Magnolia Solar Corp1,154,85012,945
Magnolia Solar Corp1,154,85012,945
Magnolia Solar Corp1,154,85012,945
Pacira Pharmaceuticals283,82212,944
MPLX LP382,29012,943
Encore Capital Group Inc2,986,44312,926
Leucadia National Corporation678,74712,923
Encore Capital Group Inc419,36212,915
Ferro Corporation935,14712,914
Addus HomeCare Corporation190,01212,899
Addus HomeCare Corporation190,01212,899
Addus HomeCare Corporation190,01212,899
BlackRock Credit Allocation Income Trust I948,92412,888
Dover Corporation174,98712,887
Paylocity Holding Corp289,79112,884
Calavo Growers176,53712,880
Calavo Growers176,53712,880
Calavo Growers176,53712,880
First Trust NASDAQ-100 Equal Weighted Index Fund212,51512,867
First Trust NASDAQ-100 Equal Weighted Index Fund212,51512,867
First Trust NASDAQ-100 Equal Weighted Index Fund212,51512,867
CubeSmart471,73012,859
Regal Entertainment Group590,06312,835
DaVita Inc.216,08912,834
DaVita Inc.216,08912,834
The Descartes Systems Group Inc.595,88612,823
CASEY CONTAINER CORP117,15412,822
CASEY CONTAINER CORP117,15412,822
Gardner Denver465,66012,815
Hormel Foods Corporation398,27912,802
Dick's Sporting Goods Inc321,34212,800
Kona Grill1,018,27812,800
Matthews International Corporation315,04212,796
Matthews International Corporation315,04212,796
Brookdale Senior Living Inc.732,81512,787
Harley-Davidson303,64612,778
Harley-Davidson303,64612,778
Harley-Davidson303,64612,778
J.B. Hunt Transport Services115,01612,776
Bright Horizons Family Solutions Inc165,33312,766
Kayne Anderson MLP Investment Company607,45612,757
Avery Dennison Corporation163,81412,744
Aceto Corporation805,77512,739
TESSCO Technologies Incorporated1,025,39612,725
Therapy Cells, Inc.330,45712,722
Central Garden & Pet Company314,12712,714
Central Garden & Pet Company314,12712,714
Central Garden & Pet Company314,12712,714
Apartment Investment and Management Company276,84912,712
CalAtlantic Group, Inc.380,03412,708
American Housing Income Trust, Inc.192,17712,691
American Housing Income Trust, Inc.192,17712,691
STATIONDIGITAL CORP755,27912,688
Brixmor Property Group Inc.455,98512,673
Bemis Company265,09212,668
Franklin Resources300,27012,653
Textron Inc.318,00612,640
First Trust510,63612,623
First Trust510,63612,623
Goldman Sachs MLP Income Opportunities Fund873,19412,612
Cohen & Steers Dividend Majors Fund208,95912,610
LendingClub Corp2,039,52112,605
CornerWorld Corp.105,68512,599
AES Tiete246,93712,594
Software AG92,02412,588
W.W. Grainger54,08412,588
Liberty Global380,78912,582
Callaway Golf Company984,39912,580
HUBSPOT INC218,12112,568
Kilroy Realty Corporation181,18612,564
Federal Realty Investment Trust94,04612,555
Williams-Sonoma245,57012,544
Radius Bancorp Inc.324,41112,540
Analog Devices194,56412,539
Crown Cork & Seal Company280,10712,537
Crown Cork & Seal Company280,10712,537
Crown Cork & Seal Company280,10712,537
Franklin Resources279,81912,534
Bankshares Fayetteville Inc.10,26512,533
CubeSmart520,12512,504
Kinder Morgan Management249,53212,494
Aceto Corporation807,25112,472
FactSet Research Systems Inc.64,69212,471
STRONGBOW RESOURCES INC.111,02212,452
Diamondrock Hospitality Company1,370,75312,446
Diamondrock Hospitality Company1,370,75312,446
Diamondrock Hospitality Company1,370,75312,446
Aareal Bank AG230,63512,424
CASEY CONTAINER CORP118,16412,416
CASEY CONTAINER CORP118,16412,416
CASEY CONTAINER CORP118,16412,416
Core-Mark Holding Company533,79412,411
Core-Mark Holding Company533,79412,411
Core-Mark Holding Company533,79412,411
Campbell Soup Company264,98412,407
Campbell Soup Company264,98412,407
CASEY CONTAINER CORP115,79912,403
Nuveen Massachusetts AMT-Free Municipal Income Fund570,10812,377
MSCI Inc238,80412,376
MSCI Inc238,80412,376
MSCI Inc238,80412,376
Lithia Motors129,55112,375
Chesapeake Lodging Trust540,06112,366
Proofpoint166,08112,349
Dycom Industries228,47612,347
Dycom Industries228,47612,347
Dycom Industries228,47612,347
The Descartes Systems Group Inc.506,96912,345
Alliance Creative Group, Inc.52,92112,342
Alliance Creative Group, Inc.52,92112,342
Alliance Creative Group, Inc.52,92112,342
Urban Outfitters357,41212,337
Italian Food & Beverage Corp82,77812,312
Lexington Realty Trust1,232,26612,298
Franklin Resources383,44112,290
Franklin Resources383,44112,290
Franklin Resources383,44112,290
Celanese Corporation117,81112,284
Celanese Corporation117,81112,284
Carlisle Companies Incorporated128,74012,283
Lloyds Banking Group Plc3,473,51512,262
Louisiana-Pacific Corporation492,64912,227
Brown & Brown324,09412,223
VOYA Financial Inc436,92212,221
New Senior Investment Group Inc.1,198,04312,220
Frontier Communications Corporation2,828,62412,218
IFAN Financial, Inc.109,38912,200
IFAN Financial, Inc.109,38912,200
IFAN Financial, Inc.109,38912,200
MSC Industrial Direct Company158,59512,198
MSC Industrial Direct Company158,59512,198
MSC Industrial Direct Company158,59512,198
CA Inc.365,35412,194
CA Inc.365,35412,194
Fidelity First Financial Corp.453,56812,190
IL2M International Corp.95,05512,186
Innocap, Inc.63,82512,185
Carlisle Companies Incorporated114,51212,185
Blackrock Enhanced Equity Dividend Trust1,342,56312,177
Blackrock Enhanced Equity Dividend Trust1,342,56312,177
BlackRock Credit Allocation Income Trust I913,38312,167
Ares Capital Corporation784,91212,166
Destination XL Group Inc6,401,49912,163
Destination XL Group Inc6,401,49912,163
Calpine Corporation803,51012,157
Bright Horizons Family Solutions Inc167,64412,153
Fair Isaac Corp79,28712,149
Carrizo Oil & Gas974,07112,147
Belden Inc226,18612,146
International Spirit & Beverage Group, Inc. 273,05312,145
Equifax97,05612,143
Equifax97,05612,143
Equifax97,05612,143
Fair Isaac Corp86,38412,137
Fair Isaac Corp86,38412,137
Hibbett Sports584,76712,134
Maximus194,95612,128
Denbury Resources5,915,26912,127
Gray Television835,92512,121
Dex One Corporation127,53912,114
Dex One Corporation127,53912,114
Dex One Corporation127,53912,114
CBIZ431,19012,086
Oxford Industries193,33312,082
Hanesbrands Inc.581,66312,076
lululemon athletica inc.202,33612,073
BlackRock Credit Allocation Income Trust I894,17112,027
Domtar Corporation251,87512,024
Domtar Corporation251,87512,024
Domtar Corporation251,87512,024
Bemis Company263,80612,021
Bemis Company263,80612,021
Sprott Resource1,180,91712,019
CAM Group, Inc.244,06412,015
First Trust NASDAQ-100 Ex-Technology Sector Index Fund176,53312,014
First Trust NASDAQ-100 Ex-Technology Sector Index Fund176,53312,014
First Trust NASDAQ-100 Ex-Technology Sector Index Fund176,53312,014
Innophos Holdings307,73712,010
DOCUSIGN INC299,14611,990
DOCUSIGN INC299,14611,990
DOCUSIGN INC299,14611,990
Dycom Industries139,50811,981
Dycom Industries139,50811,981
Baytex Energy Corp2,806,10411,927
Calavo Growers140,96211,898
Liberty Gold Corp.285,28311,896
Alexion Pharmaceuticals122,15711,895
Alexion Pharmaceuticals122,15711,895
Alexion Pharmaceuticals122,15711,895
Noble Corporation1,874,11211,883
AutoNation243,81011,876
Hologic5,143,64611,866
HUBSPOT INC195,83311,858
China Internet Cafe Holdings Group, Inc.316,15711,857
China Internet Cafe Holdings Group, Inc.316,15711,857
China Internet Cafe Holdings Group, Inc.316,15711,857
Glatfelter545,06411,850
Pandora Media826,88411,849
Belden Inc283,26011,833
Belden Inc283,26011,833
Belden Inc283,26011,833
Software AG80,87611,829
Cullen/Frost Bankers134,47111,826
Cullen/Frost Bankers134,47111,826
Cullen/Frost Bankers134,47111,826
Arthur J. Gallagher & Co.232,22111,812
Parker-Hannifin Corporation94,05211,808
FleetCor Technologies76,13711,784
JDS Uniphase Corporation11,841,00011,782
Cogent Communications Group319,60511,766
Barclays PLC624,69911,765
Gabelli Dividend525,29711,761
FactSet Research Systems Inc.59,31511,751
FactSet Research Systems Inc.59,31511,751
FactSet Research Systems Inc.59,31511,751
Boston Beer Company61,49111,751
New Senior Investment Group Inc.1,168,64711,745
Glu Mobile Inc.1,455,01911,742
Glu Mobile Inc.1,455,01911,742
Glu Mobile Inc.1,455,01911,742
PSL Holdings Ltd247,32611,733
Triumph Ventures Corp420,80111,731
Hollywall Entertainment Inc.171,34411,725
Hollywall Entertainment Inc.171,34411,725
Hollywall Entertainment Inc.171,34411,725
Kayne Anderson MLP Investment Company567,79211,713
Alliance Creative Group, Inc.54,97411,701
Bemis Company229,19111,690
Tekla Healthcare Opportunities Fund587,19111,688
Avery Dennison Corporation103,39411,683
DoubleLine Income Solutions Fund609,82411,678
Ultragenyx Pharmaceutical Inc.164,53811,672
Mitel Networks Corporation1,584,36511,661
Multi-Color Corporation331,69611,638
Multi-Color Corporation331,69611,638
ON Semiconductor Corporation704,70511,634
Boston Properties86,89511,633
Eastman Chemical Company143,94611,631
NCR Corporation360,84011,617
The Kroger Company495,47011,613
The Kroger Company495,47011,613
The Kroger Company495,47011,613
MSC Industrial Direct Company112,71511,583
The Graystone Company, Inc.98,19711,581
Federated Investors320,89311,579
ClearBridge Energy MLP Fund Inc.914,37811,576
International Spirit & Beverage Group, Inc. 250,21011,571
Eldorado Gold Corporation4,381,27411,567
Lexington Realty Trust1,166,88411,563
Broadridge Financial Solutions142,97811,556
Broadridge Financial Solutions142,97811,556
CoreSite Realty Corporation155,94811,547
BHP Billiton Limited317,85511,545
Loews Corporation280,34911,536
Banco Bradesco Sa1,164,72511,519
Banco Bradesco Sa1,164,72511,519
Banco Bradesco Sa1,164,72511,519
Emergent Biosolutions365,04911,510
Wright Express Corporation155,69211,508
Wright Express Corporation155,69211,508
Wright Express Corporation155,69211,508
lululemon athletica inc.188,52011,496
Chesapeake Lodging Trust413,31011,494
EXACT Sciences Corporation243,82211,489
EXACT Sciences Corporation243,82211,489
BHP Billiton Limited283,15011,475
BHP Billiton Limited283,15011,475
Extra Space Storage Inc143,45611,465
Extra Space Storage Inc143,45611,465
FactSet Research Systems Inc.63,45211,429
FactSet Research Systems Inc.63,45211,429
Nokia Corporation1,852,03711,408
Hormel Foods Corporation334,38811,407
Shire plc58,67211,373
The Descartes Systems Group Inc.496,56611,371
AutoZone15,97111,363
Aspen Technology242,81911,362
iShares210,65711,362
Oxford Industries197,91311,333
Owens Corning Inc184,50311,323
Barclays PLC422,54011,316
Murphy Oil Corporation372,15011,314
Safeguard Scientifics949,91211,304
Affiliated Managers Group68,85711,289
IFAN Financial, Inc.94,28711,277
IFAN Financial, Inc.94,28711,277
Integrated Drilling Equipment Holdings Corp.352,56911,240
Integrated Drilling Equipment Holdings Corp.352,56911,240
Subsea 7 SA ADR 106,05111,240
Integrated Drilling Equipment Holdings Corp.352,56911,240
Mitsubishi UFJ Financial Group Inc2,306,49911,234
Mitsubishi UFJ Financial Group Inc2,306,49911,234
Callaway Golf Company592,10911,232
Callaway Golf Company592,10911,232
Callaway Golf Company592,10911,232
Matica Enterprises Inc521,30511,222
Aqua Bounty Technologies Inc367,87911,212
Matador Resources Company721,51411,205
Matador Resources Company721,51411,205
Franklin Resources377,62911,201
Franklin Resources377,62911,201
Franklin Resources377,62911,201
Affiliated Managers Group67,46511,191
Northern Trust Corporation115,06211,185
Home Retail Group plc329,50711,184
Nuveen Massachusetts AMT-Free Municipal Income Fund540,64611,181
The RMR Group340,70011,165
Subsea 7 SA ADR 105,72711,163
Brocade Communications Systems11,119,66511,162
iShares MSCI All Country Asia ex Japan Index Fund137,01311,150
NetApp311,10011,144
Ishares III Plc221,66411,143
Home Retail Group plc348,43611,142
Callaway Golf Company1,005,65711,132
Dave & Buster's Entertainment233,75211,127
Dave & Buster's Entertainment233,75211,127
Dave & Buster's Entertainment233,75211,127
Hanesbrands Inc.505,23211,125
Hanesbrands Inc.505,23211,125
Hanesbrands Inc.505,23211,125
American States Water Company251,03811,122
BCSB Bancorp1,279,25611,117
Cullen/Frost Bankers102,52611,097
Cullen/Frost Bankers102,52611,097
Cullen/Frost Bankers102,52611,097
Seattle Genetics205,23811,085
Cohu689,49311,079
Cohu689,49311,079
Cohu689,49311,079
GrubHub144,06211,066
GrubHub144,06211,066
GrubHub144,06211,066
iShares MSCI ACWI Index Fund174,81611,058
Oxford Industries155,51911,048
First Trust473,18511,043
Bemis Company225,99511,042
LEAP TECHNOLOGY INC / DE89,87511,042
LEAP TECHNOLOGY INC / DE89,87511,042
LEAP TECHNOLOGY INC / DE89,87511,042
Flexion Therapeutics456,38411,035
Ionis Pharmaceuticals216,71011,023
Mobileye258,69911,013
Therapy Cells, Inc.290,32611,008
First Trust NASDAQ-100 Equal Weighted Index Fund197,98810,996
First Trust NASDAQ-100 Equal Weighted Index Fund197,98810,996
Flaherty & Crumrine Preferred Income Opportunity Fund Inc500,21910,990
Ionis Pharmaceuticals216,64410,985
Helios Advantage Income Fund355,34410,984
UAN Cultural & Creative Co., Ltd.242,44610,969
Barclays Africa Group Ltd534,54610,964
Boyd Gaming Corporation498,02210,962
Dunkin' Brands Group210,37810,958
CIENA Corporation293,37810,956
Boston Properties97,32410,955
Boston Properties97,32410,955
Boston Properties97,32410,955
American States Water Company230,91010,948
Infinity Energy Resources, Inc.337,17010,935
Embraer-Empresa Brasileira de Aeronautica633,26410,930
Cavco Industries93,80710,919
CoBiz Financial Inc.508,16010,915
CoBiz Financial Inc.508,16010,915
CoBiz Financial Inc.508,16010,915
Calamos Strategic Total Return Fund880,18010,905
Integrated Drilling Equipment Holdings Corp.410,13110,902
Proofpoint125,54510,901
Nuveen Massachusetts AMT-Free Municipal Income Fund544,98710,900
CIENA Corporation320,87610,882
Liberty Global62,66010,882
CIENA Corporation320,87610,882
Liberty Global62,66010,882
Liberty Global62,66010,882
CIENA Corporation320,87610,882
Just Energy Group2,141,99210,860
American States Water Company187,28710,846
FactSet Research Systems Inc.65,76210,844
Global X Funds Global X NASDAQ 500 ETF596,09610,843
BlackRock Credit Allocation Income Trust I897,08710,836
BlackRock Credit Allocation Income Trust I897,08710,836
BlackRock Credit Allocation Income Trust I897,08710,836
Cadence Design Systems323,36910,831
Hollywall Entertainment Inc.300,25710,801
Oasis Petroleum Inc.4,577,33710,801
Ironclad Performance Wear Corp277,38310,790
Netsuite Inc97,42210,783
Landec Corporation897,86710,775
Orange SA673,46510,762
Wright Express Corporation148,57010,757
Wright Express Corporation148,57010,757
Wright Express Corporation148,57010,757
IShares Plc.185,05010,751
BlackRock Credit Allocation Income Trust I816,47810,745
ChemoCentryx143,02210,738
ChemoCentryx143,02210,738
American States Water Company187,46410,715
American States Water Company187,46410,715
American States Water Company187,46410,715
Avis Budget Group392,88910,714
Discovery Communications397,55810,701
Gabelli Dividend493,54910,695
IFAN Financial, Inc.95,93210,676
Flaherty & Crumrine Preferred Income Opportunity Fund Inc499,18110,650
Carrizo Oil & Gas942,35410,641
Carrizo Oil & Gas942,35410,641
Carrizo Oil & Gas942,35410,641
RenaissanceRe Holdings Ltd.88,44210,626
Vitamin Blue Inc395,65010,623
iShares MSCI ACWI Index Fund179,45310,605
First American Minnesota Municipal Income Fund II211,96510,590
First American Minnesota Municipal Income Fund II211,96510,590
Liberty Gold Corp.286,32910,588
Liberty Gold Corp.286,32910,588
Liberty Gold Corp.286,32910,588
First Trust High Income Long Short Fund217,45910,578
Alliant Energy Corporation248,11210,572
Southwest Iowa Renewable Energy, LLC763,96210,572
CoreSite Realty Corporation94,47110,571
CoreSite Realty Corporation94,47110,571
Carbonite418,35010,568
Carbonite418,35010,568
Carbonite418,35010,568
Piedmont Office Realty Trust494,10910,564
Limited Brands195,86310,555
Flowers Foods506,56310,553
Flowers Foods506,56310,553
Flowers Foods506,56310,553
Guidewire Software175,91210,551
Desert Gold Ventures Inc.149,32110,542
Desert Gold Ventures Inc.149,32110,542
Desert Gold Ventures Inc.149,32110,542
Virtus Investment Partners107,65610,535
FleetCor Technologies60,60610,529
Chesapeake Lodging Trust432,36210,529
Chesapeake Lodging Trust432,36210,529
Chesapeake Lodging Trust432,36210,529
America Movil919,50410,518
Federated Investors353,85110,510
Federated Investors353,85110,510
Cross Country Healthcare738,32010,506
Cross Country Healthcare738,32010,506
Gramercy Capital Corp384,32110,500
Gramercy Capital Corp384,32110,500
Gramercy Capital Corp384,32110,500
First Trust Advantaged Short Duration High Yield Bond Fund146,90610,494
First Trust Advantaged Short Duration High Yield Bond Fund146,90610,494
First Trust Advantaged Short Duration High Yield Bond Fund146,90610,494
Universal Stainless & Alloy Products998,85910,488
Cavco Industries80,20510,457
Cavco Industries80,20510,457
Cavco Industries80,20510,457
Thailand Iron Works Public Co.126,04810,438
Thailand Iron Works Public Co.126,04810,438
Thailand Iron Works Public Co.126,04810,438
Home BancShares413,88910,437
State Street Corporation149,82210,433
Intercept Pharmaceuticals6,791,51010,430
Hormel Foods Corporation274,59510,415
BlackRock Credit Allocation Income Trust I779,31410,412
Libbey1,290,53010,401
NCI Building Systems606,41710,400
Carlisle Companies Incorporated103,56510,386
Carlisle Companies Incorporated103,56510,386
First Sentry Bancshares Inc.226,26510,381
First Sentry Bancshares Inc.226,26510,381
Continental Resources228,44210,377
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 290,33510,375
Alexion Pharmaceuticals83,51510,369
Alexion Pharmaceuticals83,51510,369
Alexion Pharmaceuticals83,51510,369
Lattice Inc.403,07110,355
Lattice Inc.403,07110,355
Lattice Inc.403,07110,355
AvalonBay Communities57,99610,346
Denbury Resources6,038,80210,327
Denbury Resources6,038,80210,327
Denbury Resources6,038,80210,327
SCOTTS LIQUID GOLD INC123,97510,323
The Middleby Corporation100,45110,319
The Middleby Corporation100,45110,319
Deutsche Annington Immobilien SE445,86010,304
Dunkin' Brands Group148,97510,291
Dunkin' Brands Group148,97510,291
Dunkin' Brands Group148,97510,291
Huntsman Corporation398,11210,287
Cohen & Steers Dividend Majors Fund102,14610,282
Flaherty & Crumrine Preferred Income Opportunity Fund Inc500,26610,280
Aareal Bank AG364,94010,278
Aareal Bank AG364,94010,278
Dillard's Capital Trust I170,99010,268
J.B. Hunt Transport Services111,89210,266
Ulta Salon43,07210,249
Cohu694,55510,245
iShares MSCI All Country Asia ex Japan Index Fund123,31810,242
iShares MSCI All Country Asia ex Japan Index Fund123,31810,242
KLA-Tencor Corporation107,68610,238
The Hanover Insurance Group87,56110,224
The Hanover Insurance Group87,56110,224
The Hanover Insurance Group87,56110,224
Cemex S.A.B. de C.V.1,084,34210,215
Seattle Genetics197,34810,210
Alliant Energy Corporation216,62210,209
Alliant Energy Corporation216,62210,209
EDGEWELL PERSONAL CARE Co140,20710,204
EDGEWELL PERSONAL CARE Co140,20710,204
Mobile Mini337,79310,202
National-Oilwell Varco277,63810,200
Celanese Corporation113,17710,183
Celanese Corporation113,17710,183
Celanese Corporation113,17710,183
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol371,50810,165
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol371,50810,165
CDW Corp222,24610,164
Primerica191,61810,161
Pan American Silver Corp.579,67710,156
Aberdeen Asia-Pacific Income Fund Inc2,139,94010,143
Dana Holding Corporation316,70110,137
Blackrock Diversified Income Strategies Fund163,76810,132
Dunkin' Brands Group157,91810,125
Dunkin' Brands Group157,91810,125
Dunkin' Brands Group157,91810,125
db x-trackers Sicav243,15310,122
db x-trackers Sicav243,15310,122
db x-trackers Sicav243,15310,122
Integrated Drilling Equipment Holdings Corp.437,88910,115
First Trust NASDAQ-100 Equal Weighted Index Fund185,08410,106
First Trust NASDAQ-100 Equal Weighted Index Fund185,08410,106
Federated Investors357,69010,106
First Trust NASDAQ-100 Equal Weighted Index Fund185,08410,106
iRhythm Technologies, Inc.124,45310,097
iRhythm Technologies, Inc.124,45310,097
iRhythm Technologies, Inc.124,45310,097
Cognex Corporation198,39810,091
American States Water Company251,66810,078
Aberdeen Asia-Pacific Income Fund Inc1,952,74310,076
Aberdeen Asia-Pacific Income Fund Inc1,952,74310,076
Hollywall Entertainment Inc.355,41310,072
Deutsche Telekom355,36710,071
American States Water Company189,64610,062
Calamos Strategic Total Return Fund792,79710,046
Calamos Strategic Total Return Fund792,79710,046
Calamos Strategic Total Return Fund792,79710,046
Lincoln Electric Holdings127,20710,030
Lincoln Electric Holdings127,20710,030
Lincoln Electric Holdings127,20710,030
Old Republic International Corporation577,44210,027
Deutsche Telekom370,05810,015
FMC Corporation207,13510,013
FactSet Research Systems Inc.61,6899,999
Orange SA643,4509,999
iShares MSCI ACWI ex US Index Fund240,9639,995
Nordson Corporation83,6679,986
Nordson Corporation83,6679,986
The Kroger Company483,3139,970
The Kroger Company483,3139,970
The Kroger Company483,3139,970
FactSet Research Systems Inc.59,9159,957
Desert Gold Ventures Inc.151,6719,952
Desert Gold Ventures Inc.151,6719,952
Desert Gold Ventures Inc.151,6719,952
TTM Technologies1,881,2829,935
W.W. Grainger44,1839,933
Vanguard STAR Funds Vanguard Total International Stock ETF210,0849,918
Apogee Enterprises174,4359,915
Lincoln National Corporation193,2249,913
Lincoln National Corporation193,2249,913
Lincoln National Corporation193,2249,913
Chesapeake Energy Corp.1,580,8219,912
CBRE Group354,0369,906
CREDEX CORP88,2319,904
KKR & Co. L.P.688,9209,900
Material Sciences Corporation207,1889,893
Equity Lifestyle Properties128,1899,868
Goldman Sachs Group234,1799,855
BancFirst Corporation173,6649,855
BancFirst Corporation173,6649,855
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi68,5179,853
Opus Bank502,9109,851
Smart & Final Stores, Inc.64,8109,849
Cohen & Steers Dividend Majors Fund98,4829,836
Liberty Global58,8709,836
J CREW GROUP INC.1,066,6789,835
Heritage Financial Corporation333,1569,829
Laredo Petroleum Holdings933,5539,821
AcuityAds Hldgs Inc.57,2909,812
AcuityAds Hldgs Inc.57,2909,812
Lexington Realty Trust1,194,1199,804
Lexington Realty Trust1,194,1199,804
Lexington Realty Trust1,194,1199,804
Avis Budget Group280,9419,794
First Trust Advantaged Short Duration High Yield Bond Fund157,6139,781
First Trust Advantaged Short Duration High Yield Bond Fund157,6139,781
First Trust Advantaged Short Duration High Yield Bond Fund157,6139,781
Dex One Corporation115,3359,772
Crown Cork & Seal Company178,9259,763
Louisiana-Pacific Corporation518,3319,762
Booz Allen Hamilton Holding Corporation223,1389,759
Booz Allen Hamilton Holding Corporation223,1389,759
Booz Allen Hamilton Holding Corporation223,1389,759
Bemis Company230,8839,745
Bemis Company230,8839,745
Bemis Company230,8839,745
BlackRock Credit Allocation Income Trust I784,8649,741
Aberdeen Indonesia Fund399,8389,732
Aberdeen Indonesia Fund399,8389,732
Aberdeen Asia-Pacific Income Fund Inc1,946,2009,731
Alliant Energy Corporation230,0599,719
Alliant Energy Corporation230,0599,719
Alliant Energy Corporation230,0599,719
Harley-Davidson284,7219,715
Harley-Davidson284,7219,715
Harley-Davidson284,7219,715
Koninklijke Philips Electronics328,2479,714
DTS228,2749,711
Pacer International407,6379,702
Pimco Corporate & Income Stategy Fund97,4329,696
db x-trackers Sicav219,8629,693
Ballroom Dance Fitness Inc118,1689,685
ClearBridge Energy MLP Fund Inc.685,0899,680
ClearBridge Energy MLP Fund Inc.685,0899,680
ClearBridge Energy MLP Fund Inc.685,0899,680
Piedmont Office Realty Trust444,6279,680
Calpine Corporation765,5319,675
iShares89,3449,669
iShares89,3449,669
iShares89,3449,669
Flowers Foods523,3229,665
Flowers Foods523,3229,665
Flowers Foods523,3229,665
Flowers Foods638,7069,657
Avis Budget Group429,4279,654
Avis Budget Group429,4279,654
Avis Budget Group429,4279,654
Weatherford International5,324,2469,653
Aberdeen Indonesia Fund441,8949,641
Aberdeen Indonesia Fund441,8949,641
Aberdeen Indonesia Fund441,8949,641
AZZ Incorporated221,8609,640
AZZ Incorporated221,8609,640
AZZ Incorporated221,8609,640
First Industrial Realty Trust320,2049,634
First Industrial Realty Trust320,2049,634
iRhythm Technologies, Inc.138,5609,627
Dex One Corporation109,7989,627
iRhythm Technologies, Inc.138,5609,627
iRhythm Technologies, Inc.138,5609,627
Xerox Corporation949,3629,616
Aberdeen Asia-Pacific Income Fund Inc1,969,4119,611
National-Oilwell Varco291,5759,605
AvalonBay Communities53,8379,605
AvalonBay Communities53,8379,605
Employers Holdings Inc321,6839,595
Cohen & Steers Infrastructure Fund417,1439,594
Cohen & Steers Infrastructure Fund417,1439,594
Hospitality Properites Trust321,4429,553
Imerjn Inc.187,3679,545
American Financial Group105,4249,543
American Financial Group105,4249,543
American Financial Group105,4249,543
Laredo Petroleum Holdings738,8269,532
Inchcape PLC188,6119,521
Kelly Services464,4169,511
Kelly Services464,4169,511
Kelly Services464,4169,511
Hologic209,5789,510
Avery Dennison Corporation93,1159,508
Avery Dennison Corporation93,1159,508
Avery Dennison Corporation93,1159,508
Piedmont Office Realty Trust557,9389,508
Infinity Energy Resources, Inc.330,6279,506
Relx503,1249,485
Federated Investors359,9919,482
Imerjn Inc.180,9109,470
Wipro Limited975,1949,469
Trinity Industries398,1199,465
RemSleep Holdings, Inc.900,0589,459
First Trust Advantaged Short Duration High Yield Bond Fund265,5269,453
Burlington Stores Inc99,0279,452
Burlington Stores Inc99,0279,452
Aberdeen Asia-Pacific Income Fund Inc2,187,4069,450
Aberdeen Asia-Pacific Income Fund Inc2,187,4069,450
Aberdeen Asia-Pacific Income Fund Inc2,187,4069,450
Hormel Foods Corporation272,6219,441
BlackRock Credit Allocation Income Trust I844,2949,439
BlackRock Credit Allocation Income Trust I844,2949,439
BlackRock Credit Allocation Income Trust I844,2949,439
Virtusa Corporation382,3339,437
The Graystone Company, Inc.82,4149,436
Everett SpinCo, Inc.109,8369,433
Everett SpinCo, Inc.109,8369,433
Altra Holdings324,9629,415
ClearBridge Energy MLP Fund Inc.616,3709,412
IShares Plc.177,6809,394
Jones Lang LaSalle Incorporated82,5549,394
Avis Budget Group213,9829,390
Booz Allen Hamilton Holding Corporation208,1859,382
Booz Allen Hamilton Holding Corporation208,1859,382
Booz Allen Hamilton Holding Corporation208,1859,382
Smith (A.O.) Corporation94,8549,371
Cohen & Steers Dividend Majors Fund92,4949,354
MSC Industrial Direct Company108,6209,337
Franklin Resources209,4429,322
Franklin Resources209,4429,322
FirstService141,8259,321
Cavco Industries94,0329,314
Performance Sports Group118,5219,310
IPG Photonics Corporation112,9279,299
Mobile TeleSystems1,328,2969,298
Mobile TeleSystems1,328,2969,298
Westar Energy163,7599,294
Icon Media Holdings, Inc.146,2749,293
Icon Media Holdings, Inc.146,2749,293
Icon Media Holdings, Inc.146,2749,293
Hospitality Properites Trust325,7579,280
Boston Beer Company30,9289,269
Boston Beer Company30,9289,269
Boston Beer Company30,9289,269
lululemon athletica inc.178,3959,254
Impax Laboratories569,5129,252
Helios Advantage Income Fund386,2669,247
JetBlue Airways Corporation448,5539,245
National-Oilwell Varco230,5469,244
Flextronics International Ltd.678,2149,237
Umpqua Holdings Corporation612,6379,220
American Axle & Manufacturing Holdings643,9689,215
American Axle & Manufacturing Holdings643,9689,215
Papa Bello Enterprises, Inc.128,3929,213
Avnet223,9939,197
Evercore Partners Inc114,2849,172
W.W. Grainger50,8119,172
Evercore Partners Inc114,2849,172
Nuveen Credit Strategies Income Fund981,8069,161
Cross Country Healthcare708,6469,148
ClearBridge Energy MLP Fund Inc.878,4779,145
ETERNITY HEALTHCARE INC.526,1889,145
ClearBridge Energy MLP Fund Inc.878,4779,145
ETERNITY HEALTHCARE INC.526,1889,145
ClearBridge Energy MLP Fund Inc.878,4779,145
Banco Bradesco Sa440,5459,141
Banco Bradesco Sa440,5459,141
Tenneco Automotive156,8129,137
Campbell Soup Company166,8459,126
Ballroom Dance Fitness Inc122,8739,125
American States Water Company136,0509,120
American States Water Company136,0509,120
American States Water Company136,0509,120
Canada Coal Inc207,9659,092
Canada Coal Inc207,9659,092
Canada Coal Inc207,9659,092
WebMD Health Corp182,8709,089
NN1,354,2209,087
NN1,354,2209,087
Masonite International202,2219,065
Masonite International202,2219,065
American States Water Company127,0829,061
American States Water Company127,0829,061
Ingram Micro Inc.253,9739,056
Aberdeen Asia-Pacific Income Fund Inc1,814,2489,053
Consolidated Communications Holdings731,9689,046
Consolidated Communications Holdings731,9689,046
Consolidated Communications Holdings731,9689,046
Smith & Nephew SNATS275,2589,024
Macerich Company (The)155,4149,024
Ingevity Corp195,7579,024
Aircastle Limited454,0009,017
Match Group, Inc.506,8529,016
MLP AG225,3929,005
Tanger Factory Outlet Centers230,7238,990
First Industrial Realty Trust318,5358,988
Radiant Creations Group, Inc.500,1178,982
GrubHub272,9818,979
GSM Fund Group Inc186,5598,976
Lithia Motors74,5838,973
American Financial Group93,2238,969
American Financial Group93,2238,969
Calamos Strategic Total Return Fund846,7818,968
Calamos Strategic Total Return Fund846,7818,968
Calamos Strategic Total Return Fund846,7818,968
First Sentry Bancshares Inc.330,8268,965
Federated Investors337,5748,963
Federated Investors337,5748,963
Federated Investors337,5748,963
Alliant Energy Corporation219,3048,961
Ralph Lauren Corporation88,4628,947
Avis Budget Group234,8738,940
Avis Budget Group234,8738,940
Infinity Energy Resources, Inc.340,1248,935
Home BancShares395,9128,932
Home BancShares395,9128,932
Home BancShares395,9128,932
LPBP Inc439,1408,927
Nuveen Massachusetts AMT-Free Municipal Income Fund471,6568,924
Flaherty & Crumrine Preferred Income Opportunity Fund Inc458,0398,912
Dick's Sporting Goods Inc252,7098,909
Dick's Sporting Goods Inc252,7098,909
Dick's Sporting Goods Inc252,7098,909
First Trust Exchange-Traded Fund II First Trust ISE Global Pla470,9388,905
Aceto Corporation791,9038,893
Aceto Corporation791,9038,893
New York Community Bancorp Inc677,2718,893
New York Community Bancorp Inc636,5688,892
Liberty Global258,6888,844
FTE Networks, Inc.161,0088,839
FTE Networks, Inc.161,0088,839
Lam Research Corporation5,549,0008,833
Nabors Industries Ltd.725,8718,827
CARVANA CO.601,2988,827
CARVANA CO.601,2988,827
iShares II plc.71,9838,823
Aberdeen Asia-Pacific Income Fund Inc2,079,7398,797
Aberdeen Asia-Pacific Income Fund Inc2,079,7398,797
Highwoods Properties173,4488,795
Calamos Strategic Total Return Fund724,8178,793
Calamos Strategic Total Return Fund724,8178,793
Hollywall Entertainment Inc.320,0378,792
CBOE Holdings135,4848,787
Novan506,3628,786
Therapy Cells, Inc.311,0008,777
Therapy Cells, Inc.311,0008,777
Therapy Cells, Inc.311,0008,777
Brooks Automation367,3148,762
iShares212,1068,734
iShares212,1068,734
iShares212,1068,734
Celanese Corporation91,9678,733
Genpact Limited364,0788,719
MSC Industrial Direct Company118,6368,709
ChemoCentryx123,4908,700
Casella Waste Systems339,3158,690
Casella Waste Systems339,3158,690
Casella Waste Systems339,3158,690
Aberdeen Asia-Pacific Income Fund Inc1,679,3618,688
CNP Assurances SA373,9248,686
Central Garden & Pet Company233,3508,677
Central Garden & Pet Company233,3508,677
Sunoco Logistics Partners LP305,0168,666
Iamgold Corporation2,138,6108,661
Continental Resources193,3058,656
Flaherty & Crumrine Preferred Income Opportunity Fund Inc457,2508,651
Flaherty & Crumrine Preferred Income Opportunity Fund Inc457,2508,651
Flaherty & Crumrine Preferred Income Opportunity Fund Inc457,2508,651
Noble Energy Inc.242,0438,651
Fidelity Bancorp221,0878,635
Orange SA554,0588,633
Cohen & Steers Dividend Majors Fund90,1828,631
Cohen & Steers Dividend Majors Fund90,1828,631
Cohen & Steers Dividend Majors Fund90,1828,631
iShares MSCI Far East Financials Sector Index Fund90,1818,628
First Sentry Bancshares Inc.163,7998,625
First Sentry Bancshares Inc.163,7998,625
First Sentry Bancshares Inc.163,7998,625
CIENA Corporation325,1708,619
CIENA Corporation325,1708,619
CIENA Corporation325,1708,619
Universal Health Services69,8478,605
BWX Technologies153,3868,593
BWX Technologies153,3868,593
Isagen SA506,8988,591
Isagen SA506,8988,591
Isagen SA506,8988,591
Casella Waste Systems372,9288,585
New York Community Bancorp Inc602,9488,580
Cimarex Energy Co63,8028,573
Reliance Infrastructure Ltd.118,7338,553
Performance Technologies2,105,0148,546
Calamos Strategic Total Return Fund727,6818,543
8x8 Inc585,9468,525
BancFirst Corporation117,5458,524
JetBlue Airways Corporation373,0918,519
EverBank Financial Corp.439,7158,513
Brown-Forman Corporation Class B 173,1278,486
Brown-Forman Corporation Class B 173,1278,486
Brown-Forman Corporation Class B 173,1278,486
Omega Healthcare Investors238,9888,473
Lancaster Colony Corporation47,9038,472
Lancaster Colony Corporation47,9038,472
Lancaster Colony Corporation47,9038,472
Robo 3D Ltd.259,8828,460
Robo 3D Ltd.259,8828,460
Robo 3D Ltd.259,8828,460
J.B. Hunt Transport Services104,2148,457
Ericsson1,273,3668,454
Williams Creek Gold Ltd.227,1608,448
CREDEX CORP75,6528,448
Legg Mason331,1118,447
Legg Mason331,1118,447
Legg Mason331,1118,447
Blackrock Enhanced Equity Dividend Trust1,067,4778,423
ShoreTel1,451,5058,419
Imerjn Inc.166,6928,414
Berry Petroleum Company148,2938,400
Berry Petroleum Company148,2938,400
Coty Inc729,5218,391
Cohen & Steers Dividend Majors Fund84,0938,389
Pandora Media709,1408,375
ClearBridge Energy MLP Fund Inc.564,3758,375
ClearBridge Energy MLP Fund Inc.564,3758,375
Inchcape PLC173,3988,357
Helios Advantage Income Fund359,0708,349
AutoZone12,4068,324
AutoZone12,4068,324
AutoZone12,4068,324
CDK Global, Inc.131,8278,318
CDK Global, Inc.131,8278,318
Radiant Creations Group, Inc.508,0048,306
Yelp Inc.199,1918,306
Celanese Corporation124,6848,299
Calamos Strategic Total Return Fund686,3848,292
Blueprint Medicines Corp119,0258,292
Blueprint Medicines Corp119,0258,292
NEW GOLD INC.1,905,8998,290
Infinity Energy Resources, Inc.276,4918,288
Infinity Energy Resources, Inc.276,4918,288
Alliant Energy Corporation208,9068,274
CF Industries Holdings190,0678,269
CF Industries Holdings190,0678,269
CF Industries Holdings190,0678,269
Genesis Metals Corp.217,8068,269
Highwoods Properties162,9818,268
Highwoods Properties162,9818,268
Highwoods Properties162,9818,268
Lloyds Banking Group Plc2,430,9978,266
Cavco Industries70,3248,265
KSW Inc88,4318,253
Blackrock Diversified Income Strategies Fund121,7778,246
Blackrock Diversified Income Strategies Fund121,7778,246
Camden Property Trust102,4268,241
Ebix Inc107,9858,235
Ebix Inc107,9858,235
Ebix Inc107,9858,235
Therapy Cells, Inc.162,5668,227
Therapy Cells, Inc.162,5668,227
Alliant Energy Corporation204,7338,223
ISC8 Inc.144,8908,208
ISC8 Inc.144,8908,208
ISC8 Inc.144,8908,208
CIENA Corporation327,8548,203
Cross Country Healthcare570,8588,198
Louisiana-Pacific Corporation339,4858,186
CREDEX CORP74,4638,184
1st Colonial Bancorp, Inc.222,6538,182
Clovis Oncology226,9338,181
Relx373,3648,177
First American Minnesota Municipal Income Fund II207,4978,149
Aberdeen Asia-Pacific Income Fund Inc2,105,2378,148
Aberdeen Asia-Pacific Income Fund Inc2,105,2378,148
Aberdeen Asia-Pacific Income Fund Inc2,105,2378,148
AMC Networks Inc.139,3488,146
AMC Networks Inc.139,3488,146
Deutsche Telekom323,5288,143
Deutsche Telekom323,5288,143
Deutsche Telekom323,5288,143
First Priority Tax Solutions Inc.451,2958,141
First Priority Tax Solutions Inc.451,2958,141
National Fuel Gas Company136,5428,140
WageWorks133,4488,128
Pearson905,8138,125
Acuity Brands Inc30,7068,124
Eastman Chemical Company110,7618,098
Eastman Chemical Company110,7618,098
Eastman Chemical Company110,7618,098
Hologic190,1028,089
Columbia Banking System186,0118,079
Aceto Corporation781,9198,077
Janus Capital Group211,2318,062
Lydall396,6778,056
Lydall396,6778,056
Lydall396,6778,056
Cross Country Healthcare683,8388,055
Casella Waste Systems428,1548,050
Casella Waste Systems428,1548,050
Mitsubishi UFJ Financial Group Inc1,190,1208,033
Calamos Strategic Total Return Fund719,2158,026
Dex One Corporation109,5608,014
Koninklijke Philips Electronics227,8778,001
Koninklijke Philips Electronics227,8778,001
Koninklijke Philips Electronics227,8778,001
Maxima Group, Inc.199,6507,973
Infinity Energy Resources, Inc.263,0247,962
NRG Energy460,5277,930
DOCUSIGN INC149,6497,925
DOCUSIGN INC149,6497,925
DOCUSIGN INC149,6497,925
Ares Capital Corporation7,215,6647,920
Lancaster Colony Corporation61,3017,898
PVH Corp.71,3827,887
First Busey Corporation248,4947,883
First Busey Corporation248,4947,883
First Busey Corporation248,4947,883
Ucore Rare Metals, Inc.759,4117,882
Dave & Buster's Entertainment128,7797,868
KSW Inc75,1107,860
Consolidated Plen Tech Electronics, Inc.408,5907,846
Live Nation Entertainment224,9087,838
Arconic313,8797,822
Arconic313,8797,822
KSW Inc71,9417,818
Mercantile Bank Corporation227,0067,809
Cemex S.A.B. de C.V.1,040,1297,802
Chesapeake Energy Corp.1,312,0297,795
Third Point Reinsurance648,5467,782
Wright Express Corporation108,6147,780
Dycom Industries86,8377,774
Dunkin' Brands Group141,8977,757
Halfords Group Plc161,5687,744
BWX Technologies201,7907,743
National Fuel Gas Company138,6367,741
Internap Network Services Corporation4,690,7027,741
Omeros Corporation694,7937,740
CoBiz Financial Inc.393,4977,728
CoBiz Financial Inc.393,4977,728
Liberty Gold Corp.199,0197,718
Royal Caribbean Cruises Ltd.102,8717,710
Cohen & Steers Dividend Majors Fund77,1337,704
United Bankshares203,9887,684
Casella Waste Systems544,1127,678
Highwoods Properties147,2147,674
Copa Holdings87,1887,666
Boyd Gaming Corporation218,6197,662
Shake Shack220,7157,652
Liberty All-Star Equity Fund1,420,8057,644
Liberty All-Star Equity Fund1,420,8057,644
Liberty All-Star Equity Fund1,420,8057,644
Piedmont Office Realty Trust361,9617,631
Belmond599,7907,623
Baytex Energy Corp2,531,0777,619
Baytex Energy Corp2,531,0777,619
CBIZ452,1967,596
CBIZ452,1967,596
Italian Food & Beverage Corp58,7917,588
Blackrock Corporate High Yield Fund316,4457,585
Integrated Drilling Equipment Holdings Corp.293,4917,569
Casella Waste Systems460,3867,555
The Andersons234,1977,548
The Andersons234,1977,548
Energizer Tennis Inc.163,9157,547
Energizer Tennis Inc.163,9157,547
WellCare Helath Plans64,4257,543
Murphy Oil Corporation294,1757,540
Nuveen Michigan Dividend Advantage Municipal Fund337,2357,537
Federated Investors323,0597,534
Federated Investors323,0597,534
Federated Investors323,0597,534
Corrections Corporation of America542,6447,527
DineEquity82,4507,525
Perrigo Company81,4597,521
Senior Housing Properties Trust331,0697,518
Dell Technologies Inc.157,1757,511
Affiliated Managers Group77,0827,510
Affiliated Managers Group77,0827,510
Affiliated Managers Group77,0827,510
Integrated Drilling Equipment Holdings Corp.317,2157,509
Keane Group, Inc.450,1667,509
Icon Media Holdings, Inc.103,8507,499
Casella Waste Systems210,2337,475
AutoZone10,3177,459
First Trust NASDAQ ABA Community Bank Index Fund254,4037,459
BlackRock Resources838,2457,452
BlackRock Resources838,2457,452
Alliant Energy Corporation194,4847,451
Wright Express Corporation111,5417,444
Wright Express Corporation111,5417,444
Calamos Strategic Total Return Fund723,1987,434
Koninklijke Philips Electronics207,2727,424
Nokia Corporation1,280,9857,417
Parsley Energy463,2617,403
Alaska Power & Telephone Co.121,4957,394
Alaska Power & Telephone Co.121,4957,394
Alaska Power & Telephone Co.121,4957,394
Amicus Therapeutics488,5767,368
Amicus Therapeutics488,5767,368
FIGO Ventures, Inc.922,1277,350
Barclays Africa Group Ltd362,8027,349
Genesis Metals Corp.226,4687,342
CAM Group, Inc.170,9867,341
Wright Express Corporation106,1007,339
Mitsubishi UFJ Financial Group Inc1,156,1967,331
Mercantile Bank Corporation232,5677,321
Cullen/Frost Bankers77,3367,319
CREDIT SUISSE AG (Nassau Branch)645,4287,308
iShares II plc.189,1747,290
Sotheby's191,6787,288
Community Bank System123,3277,285
Community Bank System123,3277,285
Community Bank System123,3277,285
Brown-Forman Corporation Class B 153,0747,283
Brown-Forman Corporation Class B 153,0747,283
Brown-Forman Corporation Class B 153,0747,283
CubeSmart227,0637,275
Patterson-UTI Energy359,9207,267
Liberty Gold Corp.217,4577,267
Imax Corporation250,7907,267
CoBiz Financial Inc.363,5307,266
Medical Properties Trust491,3797,258
Coca Cola Femsa S.A.B. de C.V.109,7597,245
Apollo Senior Floating Rate Fund Inc.399,4987,235
Apollo Senior Floating Rate Fund Inc.399,4987,235
Dunkin' Brands Group112,2097,234
Columbia Banking System176,8417,232
Columbia Banking System176,8417,232
Columbia Banking System176,8417,232
Shinhan Financial Group Co Ltd166,0887,223
Delaware Investments Dividend & Income Fund572,5137,213
Delaware Investments Dividend & Income Fund572,5137,213
Delaware Investments Dividend & Income Fund572,5137,213
Leggett & Platt137,1017,203
Five Below131,1017,194
Blackrock Corporate High Yield Fund III228,0267,188
Blackrock Corporate High Yield Fund III228,0267,188
Blackrock Corporate High Yield Fund III228,0267,188
Aegon NV1,236,2847,159
Aegon NV1,236,2847,159
Ameris Bancorp149,0777,155
Ameris Bancorp149,0777,155
Celanese Corporation79,4727,140
iShares128,9747,129
Federal Realty Investment Trust56,3887,128
Wright Express Corporation100,8747,125
Ebix Inc167,2627,118
Criteo313,2917,118
Ebix Inc167,2627,118
Ebix Inc167,2627,118
Criteo313,2917,118
Criteo313,2917,118
ClearBridge Energy MLP Fund Inc.425,2127,114
ISC8 Inc.65,0477,113
Boulder Energy Ltd.658,9247,103
Continental Resources176,4927,092
Continental Resources176,4927,092
Continental Resources176,4927,092
Banco Santander1,021,5517,090
Banco Santander1,021,5517,090
Lancaster Colony Corporation53,6417,085
National Australia Bank Ltd. (Victoria, Australia)306,4847,083
Lancaster Colony Corporation57,7347,079
Exchange Bankshares, Inc.185,7097,078
C.R. Bard22,0887,078
C.R. Bard22,0887,078
Cullen/Frost Bankers74,5207,073
Cullen/Frost Bankers74,5207,073
Casella Waste Systems247,8317,061
Casella Waste Systems247,8317,061
Casella Waste Systems247,8317,061
Domtar Corporation200,6357,049
Domtar Corporation200,6357,049
Domtar Corporation200,6357,049
Cognex Corporation157,4167,024
Cognex Corporation157,4167,024
BioScrip2,430,4767,024
Cognex Corporation157,4167,024
Hanesbrands Inc.560,0337,018
Hanesbrands Inc.560,0337,018
Hanesbrands Inc.560,0337,018
FTE Networks, Inc.149,9147,008
Dick's Sporting Goods Inc243,7727,007
Amerco18,8517,001
Amerco18,8517,001
Dex One Corporation121,8746,995
Boardwalk Pipeline Partners L.P.407,5626,994
Royal Boskalis Westminster NV89,4216,990
Fair Isaac Corp50,1356,989
Coherent49,2736,983
Ryder System96,9706,980
NewMarket Corporation16,9316,977
NewMarket Corporation16,9316,977
Brown-Forman Corporation Class B 101,3956,962
Bed Bath & Beyond Inc.176,3926,961
Caesars Entertainment Corporation800,4716,956
Calamos Convertible Opportunities and Income Fund589,7796,953
Calamos Convertible Opportunities and Income Fund589,7796,953
Calamos Convertible Opportunities and Income Fund589,7796,953
Lexmark International173,5416,935
First Sentry Bancshares Inc.163,3446,934
First Sentry Bancshares Inc.163,3446,934
First Sentry Bancshares Inc.163,3446,934
Maximus122,4536,925
Acadia Healthcare Company144,9476,923
Acadia Healthcare Company144,9476,923
Floor & Decor Holdings, Inc.139,9856,906
Floor & Decor Holdings, Inc.139,9856,906
Floor & Decor Holdings, Inc.139,9856,906
Calamos Convertible Opportunities and Income Fund680,4186,903
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.833,2316,899
JetBlue Airways Corporation402,4546,898
Cohen & Steers Infrastructure Fund320,1766,896
Delaware Investments Dividend & Income Fund964,2866,895
Delaware Investments Dividend & Income Fund964,2866,895
Delaware Investments Dividend & Income Fund964,2866,895
The Cheesecake Factory Incorporated143,0896,893
Spy Inc.97,0736,890
Mednax103,8496,880
Graco Inc.164,2786,876
Graco Inc.164,2786,876
Graco Inc.164,2786,876
Blackrock Diversified Income Strategies Fund116,7376,872
Potlatch Corporation150,3846,872
Blackrock Diversified Income Strategies Fund116,7376,872
Blackrock Diversified Income Strategies Fund116,7376,872
Aqua Bounty Technologies Inc207,0356,870
Aqua Bounty Technologies Inc207,0356,870
Euronet Worldwide78,4526,855
ArcelorMittal266,0656,854
ArcelorMittal266,0656,854
Amerco19,2146,843
Amerco19,2146,843
Amerco19,2146,843
Dana Holding Corporation244,4606,835
Dana Holding Corporation244,4606,835
Sapiens International Corporation N.V.534,7506,829
IDEX Corporation56,1696,823
Mdu Res Group Inc268,1326,821
Incyte Corporation74,3056,821
Brookdale Senior Living Inc.507,2256,813
Impax Laboratories353,3946,805
Brocade Communications Systems545,2666,805
Clovis Oncology82,5126,800
Clovis Oncology82,5126,800
Verso Corporation1,052,9146,791
Burlington Stores Inc73,7796,787
Boardwalk Pipeline Partners L.P.370,6016,785
IDEX Corporation72,4916,783
Papa Murphy's Holdings, Inc.147,2576,779
First Trust Exchange-Traded Fund II First Trust ISE Global Pla352,7616,757
Ishares Canadian Dex Universe Bond Index Fund115,5756,755
Ishares Canadian Dex Universe Bond Index Fund115,5756,755
Ishares Canadian Dex Universe Bond Index Fund115,5756,755
Koninklijke Philips Electronics210,2516,752
Avis Budget Group207,2496,735
Avis Budget Group207,2496,735
Avis Budget Group207,2496,735
Model N Inc508,2686,724
BofI Holding300,1336,724
Model N Inc508,2686,724
Blackrock Corporate High Yield Fund III210,1916,722
Dycom Industries72,2496,714
First Trust NASDAQ ABA Community Bank Index Fund207,3686,714
First Trust NASDAQ ABA Community Bank Index Fund207,3686,714
Vanguard Mortgage-Backed Securities ETF73,4056,709
CIENA Corporation320,4496,707
Goldman Sachs MLP Income Opportunities Fund474,0796,680
CoBiz Financial Inc.382,9176,663
Rite Aid Corporation2,258,3636,661
Ezaki Glico Co., Ltd.131,9926,659
Ezaki Glico Co., Ltd.131,9926,659
Ezaki Glico Co., Ltd.131,9926,659
Burlington Stores Inc82,0306,644
Cree116,0996,644
Dunkin' Brands Group120,4366,639
Canada Coal Inc112,7546,635
Canada Coal Inc112,7546,635
Canada Coal Inc112,7546,635
Boardwalk Pipeline Partners L.P.451,2786,635
Boardwalk Pipeline Partners L.P.451,2786,635
Enbridge Energy260,8806,633
Graco Inc.146,6866,632
Graco Inc.146,6866,632
Graco Inc.146,6866,632
Franklin Resources186,4596,631
Infineon Technologies AG 37,1726,631
Pan American Silver Corp.393,7326,622
Matica Enterprises Inc662,7886,620
Matica Enterprises Inc662,7886,620
American Capital Agency Corp.338,6006,616
CAM Group, Inc.134,8286,614
CAM Group, Inc.134,8286,614
Therapy Cells, Inc.132,0616,610
Oceaneering International289,2776,606
Burlington Stores Inc67,8516,600
Polaris Futures Fund L.P.85,0556,587
Oppenheimer Holdings162,1486,585
Fomento Economico Mexicano S.A.B. de C.V.68,9246,584
Alleghany Corporation11,4306,573
Alleghany Corporation11,4306,573
Alleghany Corporation11,4306,573
Boulder Energy Ltd.629,7636,568
Boulder Energy Ltd.629,7636,568
Boulder Energy Ltd.629,7636,568
Immunomedics277,4066,567
Immunomedics277,4066,567
Immunomedics277,4066,567
Northern Trust Corporation75,6826,555
Oshkosh Truck Corporation116,9596,551
Mobile TeleSystems593,7846,549
Calamos Convertible Opportunities and Income Fund633,5426,545
Global Payments Inc.84,8916,516
Fortune Brands Home & Security111,9976,507
Equifax69,8206,502
Equifax69,8206,502
Equifax69,8206,502
ISC8 Inc.115,1876,501
ISC8 Inc.115,1876,501
CoBiz Financial Inc.386,8436,500
Imperva121,0156,500
CF Industries Holdings158,9946,500
JOYMAIN INTERNATIONAL DEVELOPMENT GROUP INC.234,1896,496
Delaware Investments Dividend & Income Fund1,012,3386,489
VANJIA CORP51,5206,478
Subsea 7 SA ADR 61,3936,471
Subsea 7 SA ADR 61,3936,471
Subsea 7 SA ADR 61,3936,471
Ethan Allen Interiors Inc.206,6016,460
Cullen/Frost Bankers72,5276,452
Royal Alliance Ventures Corp.248,9736,446
American Potash Corp.58,8256,446
Papa John's International80,5016,443
Federal Agricultural Mortgage Corporation82,3326,442
ALDER BIOPHARMACEUTICALS INC196,3346,434
Kaiser Aluminum Corporation71,9396,424
Kaiser Aluminum Corporation71,9396,424
Kaiser Aluminum Corporation71,9396,424
Pengrowth Energy Corporation4,034,7246,414
Boardwalk Pipeline Partners L.P.356,1096,413
Nokia Corporation1,181,9986,407
Carbonite183,5406,406
Carbonite183,5406,406
Carbonite183,5406,406
Avis Budget Group216,5456,406
iShares FTSE Developed Small Cap ex-North America Index Fund142,4016,398
iShares FTSE Developed Small Cap ex-North America Index Fund142,4016,398
iShares FTSE Developed Small Cap ex-North America Index Fund142,4016,398
Infineon Technologies AG 38,9716,391
Principal Real Estate Income Fund137,6776,391
Cognex Corporation164,9156,379
Cognex Corporation164,9156,379
Cognex Corporation164,9156,379
FIGO Ventures, Inc.1,291,2356,379
Webster Ltd.167,7576,375
Amerco19,4196,371
Amerco19,4196,371
Amerco19,4196,371
Crimson Exploration Inc.71,5686,365
Commerce Bancshares109,5916,363
Nuveen Michigan Dividend Advantage Municipal Fund248,3086,359
Radiant Creations Group, Inc.468,9056,354
Calamos Convertible Opportunities and Income Fund550,2286,345
Calamos Convertible Opportunities and Income Fund550,2286,345
Avery Dennison Corporation70,5876,341
Avery Dennison Corporation70,5876,341
Avery Dennison Corporation70,5876,341
Delek US Holdings236,5436,323
Delek US Holdings236,5436,323
Telefonica Deutschland Holding AG436,7536,320
East West Bancorp105,6786,317
East West Bancorp105,6786,317
Veeva Systems152,9366,313
Dex One Corporation129,0256,312
Dex One Corporation129,0256,312
Leggett & Platt176,0586,311
Leggett & Platt176,0586,311
Leggett & Platt176,0586,311
Cabot Corporation151,5416,309
iHeartMedia41,7606,302
LTC Properties151,0426,295
LTC Properties151,0426,295
LTC Properties151,0426,295
Kbridge Energy Corp.415,9146,293
Commerce Bancshares96,4416,242
Commerce Bancshares96,4416,242
Commerce Bancshares96,4416,242
Cypress Semiconductor Corporation512,6766,234
Crimson Exploration Inc.71,8726,232
Boston Beer Company21,1446,232
Compass Minerals Intl Inc95,9216,225
Compass Minerals Intl Inc95,9216,225
Genesis Metals Corp.196,0996,221
Brinker International130,5666,216
Brinker International130,5666,216
Brinker International130,5666,216
Omega Healthcare Investors187,9496,207
Brown-Forman Corporation Class B 130,7476,203
Wesco Aircraft Holdings461,5506,199
National Fuel Gas Company114,5726,195
iShares55,8506,193
Coca Cola Femsa S.A.B. de C.V.101,5756,179
Coca Cola Femsa S.A.B. de C.V.101,5756,179
Coca Cola Femsa S.A.B. de C.V.101,5756,179
KSW Inc71,9996,175
Inchcape PLC132,9696,168
Darden Restaurants78,2226,164
Darden Restaurants78,2226,164
Huntsman Corporation251,0226,160
Alaska Power & Telephone Co.109,6386,154
Alaska Power & Telephone Co.109,6386,154
Klondex Mines Ltd.1,070,1496,154
Northrim BanCorp Inc187,2276,154
Crown Castle International Corporation5,7626,153
Crown Castle International Corporation5,7626,153
Ares Capital Corporation5,437,4886,148
Ares Capital Corporation5,437,4886,148
Pitney Bowes Inc338,0326,140
Whiting Petroleum Corporation702,5466,140
CyberOptics Corporation249,3616,129
JELD-WEN Holding, Inc.172,4796,126
Nustar Energy L.P.123,4846,122
Mdu Res Group Inc256,4646,114
Mdu Res Group Inc256,4646,114
Mdu Res Group Inc256,4646,114
First Priority Tax Solutions Inc.464,2006,110
Alleghany Corporation9,9426,109
Calamos Convertible Opportunities and Income Fund545,7136,106
Coherent57,6206,090
Coherent57,6206,090
Coherent57,6206,090
Polaris Futures Fund L.P.72,6076,086
Assurant65,8256,072
Nustar GP Holdings237,1356,066
Global Technlogies Corp.282,1366,057
UNITIL Corporation154,8596,049
Camden Property Trust72,2046,046
Dick's Sporting Goods Inc223,4906,036
Dick's Sporting Goods Inc223,4906,036
CareView Communications Inc211,5656,030
Fidelity Bancorp156,6736,025
Fidelity Bancorp156,6736,025
Fidelity Bancorp156,6736,025
ISC8 Inc.58,5766,020
Nuveen Michigan Dividend Advantage Municipal Fund242,8566,016
iHeartMedia40,2436,015
Amerco15,8745,999
Leggett & Platt119,0855,991
Park Hotels & Resorts Inc.230,6525,991
CryoLife211,0575,990
Carbonite238,6315,990
CryoLife211,0575,990
CryoLife211,0575,990
Harris Teeter Supermarkets41,4315,989
Harris Teeter Supermarkets41,4315,989
Harris Teeter Supermarkets41,4315,989
HUBSPOT INC47,7435,987
HUBSPOT INC47,7435,987
HUBSPOT INC47,7435,987
Amerco17,3265,979
Fidelity Holding Corp.179,2005,973
CIAO Group, Inc.227,4905,970
Cinemark Holdings Inc155,8015,964
Harmonic Energy, Inc.70,5975,964
Aegon NV1,166,6895,961
BlackRock Income Trust Inc. (The)918,0055,948
ICON plc76,8665,947
First Century Fox Inc Class A245,1805,938
Community Bank System99,3495,938
Bioverativ Inc.103,7385,921
Bioverativ Inc.103,7385,921
CIAO Group, Inc.199,8905,912
FIRST FIXTURES, INC.251,3565,907
Global X Funds Global X NASDAQ 500 ETF400,9175,904
PacWest Bancorp110,8405,904
Coca Cola Femsa S.A.B. de C.V.69,7215,903
MICRO IMAGING TECHNOLOGY, INC.70,8975,901
Cullen/Frost Bankers62,8305,900
Booz Allen Hamilton Holding Corporation154,6225,896
Adams Express Company (The)382,2075,893
Adams Express Company (The)382,2075,893
Adams Express Company (The)382,2075,893
CBOE Holdings54,7355,890
CBOE Holdings54,7355,890
Nuveen AMT-Free Municipal Income Fund416,4965,880
Eldorado Gold Corporation2,672,4995,880
Eldorado Gold Corporation2,672,4995,880
Dave & Buster's Entertainment131,7375,871
Dave & Buster's Entertainment131,7375,871
Dave & Buster's Entertainment131,7375,871
Proofpoint2,075,5615,870
Flaherty & Crumrine Preferred Income Opportunity Fund Inc350,4935,863
Flaherty & Crumrine Preferred Income Opportunity Fund Inc350,4935,863
Flaherty & Crumrine Preferred Income Opportunity Fund Inc350,4935,863
iShares MSCI ACWI ex US Index Fund134,3825,862
Invacare Corporation371,4705,850
Blackrock Global546,1615,845
Cognex Corporation95,5485,842
VEREIT562,9255,837
Calamos Convertible Opportunities and Income Fund518,2455,835
CryoLife199,9145,832
Nuveen AMT-Free Municipal Income Fund360,3725,828
Commerce Bancshares103,0795,811
Commerce Bancshares103,0795,811
Commerce Bancshares103,0795,811
Therapy Cells, Inc.130,9045,806
Therapy Cells, Inc.130,9045,806
Therapy Cells, Inc.130,9045,806
Criteo118,3735,806
Infinera Corporation654,2455,802
Royal Alliance Ventures Corp.229,2135,801
OGE Energy Corporation147,9515,798
Booz Allen Hamilton Holding Corporation163,6575,793
Kulicke and Soffa Industries285,4595,787
Kulicke and Soffa Industries285,4595,787
Kulicke and Soffa Industries285,4595,787
Potlatch Corporation126,6395,787
Adams Express Company (The)380,3445,785
Adams Express Company (The)380,3445,785
ISC8 Inc.57,3165,776
Clovis Oncology126,7635,765
Clovis Oncology126,7635,765
Clovis Oncology126,7635,765
IGM Financial Inc.254,8745,753
IGM Financial Inc.254,8745,753
IGM Financial Inc.254,8745,753
Boardwalk Pipeline Partners L.P.445,1275,747
Evercore Partners Inc111,5705,747
QEP Resources293,7155,736
GSM Fund Group Inc122,2175,717
Cree202,6485,713
Cree202,6485,713
Alpine Total Dynamic Dividend Fund602,5495,706
HUBSPOT INC86,7745,705
First Trust Advantaged Short Duration High Yield Bond Fund99,2865,698
Canntrust Holdings Inc.732,4975,684
Booz Allen Hamilton Holding Corporation151,8755,680
Booz Allen Hamilton Holding Corporation151,8755,680
Sony Corp Ord170,9485,678
Boot Barn Holdings, Inc.273,6105,678
Boot Barn Holdings, Inc.273,6105,678
Boot Barn Holdings, Inc.273,6105,678
CNO Financial Group243,1435,673
CNO Financial Group243,1435,673
Canada Coal Inc179,4355,663
Adams Express Company (The)382,6385,652
CubeSmart196,9485,649
CubeSmart196,9485,649
CubeSmart196,9485,649
Heron Resources Limited HRR375,9685,640
db x-trackers Sicav144,8185,639
OGE Energy Corporation178,2505,636
Transdigm Group Incorporated19,4745,631
Wayfair Inc.142,9905,631
Polaris Futures Fund L.P.61,0315,628
Five Below139,6415,627
PowerShares DB US Dollar Index Bullish Fund228,0165,627
Canadian Mining Company Inc.334,0515,626
Icon Media Holdings, Inc.83,4225,626
Canadian Mining Company Inc.334,0515,626
Axis Energy Corporation103,5095,624
Adams Express Company (The)374,1055,623
Mitsubishi UFJ Financial Group Inc1,112,8775,619
Coca Cola Femsa S.A.B. de C.V.80,6535,615
db x-trackers Sicav138,5125,614
db x-trackers Sicav138,5125,614
Boston Beer Company23,2925,610
Commerce Bancshares97,1195,610
Commerce Bancshares97,1195,610
Boston Beer Company23,2925,610
Boston Beer Company23,2925,610
Depomed226,4765,608
Community Service Communications107,9045,608
Community Service Communications107,9045,608
Community Service Communications107,9045,608
Wright Express Corporation97,0585,606
Crown Marketing249,6205,605
Brookdale Senior Living Inc.380,7585,601
Hollysys Automation Technologies252,5955,600
KTL Bamboo International Corp.348,7485,597
Amec Foster Wheeler827,0215,591
Amec Foster Wheeler827,0215,591
Clovis Oncology59,6945,588
Coca Cola Femsa S.A.B. de C.V.72,4235,586
Coca Cola Femsa S.A.B. de C.V.72,4235,586
Columbia Banking System153,7745,580
Columbia Banking System153,7745,580
Columbia Banking System153,7745,580
Wisdom International Corp.100,8555,579
Canada Coal Inc282,3725,578
Owens Corning Inc83,2875,574
Nuveen Arizona Premium Income Municipal Fund368,0045,562
AZZ Incorporated137,6515,556
AZZ Incorporated137,6515,556
AZZ Incorporated137,6515,556
Sensata Technologies Holding N.V.143,1135,550
Federal Agricultural Mortgage Corporation96,3955,549
Gap249,3815,546
Peoples Financial Corporation384,3645,545
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal291,0405,544
Citi Trends278,1105,526
Citi Trends278,1105,526
iShares50,1385,525
Preferred Bank102,9265,523
Kimco Realty Corporation190,7825,522
Turkiye Is Bankasi A.S.224,6975,520
Turkiye Is Bankasi A.S.224,6975,520
Turkiye Is Bankasi A.S.224,6975,520
Crimson Exploration Inc.61,4435,518
National Australia Bank Ltd. (Victoria, Australia)208,3655,514
National Australia Bank Ltd. (Victoria, Australia)208,2645,511
Alleghany Corporation8,8395,510
Alleghany Corporation8,8395,510
Alleghany Corporation8,8395,510
OGE Energy Corporation157,5095,509
Bigsupersearch.com, Inc.113,9875,506
Alpine Total Dynamic Dividend Fund615,0855,499
Beazer Homes USA293,0625,493
Beazer Homes USA293,0625,493
CDK Global, Inc.95,5715,483
Criteo132,0365,480
Criteo132,0365,480
Alleghany Corporation9,1725,468
Stag Industrial222,8845,463
United Bank for Africa Plc131,7695,463
US-Dadi Fertilizer Ind International Inc.94,5675,463
LIBERTY ALL STAR GROWTH FUND INC130,0305,459
Dana Holding Corporation307,4575,455
Keegan Resources Inc1,297,4875,449
Lamb Weston Holdings, Inc.129,2845,437
Alleghany Corporation8,8735,434
Alleghany Corporation8,8735,434
Toro Company (The)115,8415,425
Illumination Amer Inc5,140,0005,423
Oi S.A.3,386,2215,418
Cohn & Steers Inc255,4835,417
Limited Brands115,0415,417
Cohn & Steers Inc255,4835,417
ResMed Inc.83,5425,414
Gerdau S.A.1,528,0265,409
Gerdau S.A.1,528,0265,409
Gerdau S.A.1,528,0265,409
iShares48,8625,407
Columbia Banking System165,3475,406
Adams Express Company (The)374,1835,404
Adams Express Company (The)374,1835,404
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.714,6565,396
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.714,6565,396
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.714,6565,396
Encore Capital Group Inc147,3895,394
Encore Capital Group Inc147,3895,394
Encore Capital Group Inc147,3895,394
Federal Agricultural Mortgage Corporation83,2825,389
CIAO Group, Inc.199,8905,383
CIAO Group, Inc.199,8905,383
Federal Agricultural Mortgage Corporation73,9935,383
Federal Agricultural Mortgage Corporation73,9935,383
Credit Suisse Ag London Branch223,0465,380
Credit Suisse Ag London Branch223,0465,380
Commerce Bancshares96,3435,379
Boulder Energy Ltd.484,7845,376
Hollywall Entertainment Inc.105,1375,375
Hollywall Entertainment Inc.105,1375,375
iShares V PVC MSCI136,4655,375
iShares V PVC MSCI136,4655,375
iShares V PVC MSCI136,4655,375
Hollywall Entertainment Inc.105,1375,375
Aegon NV1,047,9935,374
Guggenheim Build America Bonds Managed Duration Trust224,6245,371
Clovis Oncology78,9445,368
Calamos Convertible Opportunities and Income Fund487,8355,366
Bank of the Ozarks139,7055,365
Nuveen Michigan Dividend Advantage Municipal Fund221,6775,360
Crown Cork & Seal Company128,8535,356
Columbia Banking System163,7185,356
Crown Cork & Seal Company128,8535,356
Crown Cork & Seal Company128,8535,356
Nuveen AMT-Free Municipal Income Fund431,0795,352
Bigsupersearch.com, Inc.95,3085,352
Community Bank System91,5665,338
Community Bank System91,5665,338
Community Bank System91,5665,338
Equity Residential82,8955,331
Cracker Barrel Old Country Store35,1235,325
Cracker Barrel Old Country Store35,1235,325
Infineon Technologies AG 30,9365,324
Adams Express Company (The)372,5435,323
Aecom Technology Corporation144,4955,320
Aecom Technology Corporation144,4955,320
Weingarten Realty Investors136,3075,314
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.619,6915,311
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.619,6915,311
Cohn & Steers Inc231,0015,309
LogMein58,7295,309
Intellisense Solutions Inc.33,4715,307
Intellisense Solutions Inc.33,4715,307
Intellisense Solutions Inc.33,4715,307
Liberty Interactive Corporation8,587,0005,303
Lamb Weston Holdings, Inc.120,0845,289
Community Service Communications121,3925,286
Community Service Communications121,3925,286
Community Service Communications121,3925,286
ExactTarget576,2715,284
Colfax Corporation134,5155,282
Blackstone GSO Long Short Credit Income Fund329,6105,275
Blackstone GSO Long Short Credit Income Fund329,6105,275
CIENA Corporation2,121,0095,271
Pearson621,2015,268
Blackrock Corporate High Yield Fund III150,1775,262
Preferred Bank98,2965,254
DEWEY ELECTRONICS CORP68,2595,245
iShares II plc.168,2445,242
iShares II plc.168,2445,242
ExactTarget560,6315,242
ExactTarget560,6315,242
iShares II plc.168,2445,242
FIRST FIXTURES, INC.203,0575,239
FIRST FIXTURES, INC.203,0575,239
GATX Corporation84,9745,230
GATX Corporation84,9745,230
Helmerich & Payne100,2905,226
AvalonBay Communities30,0345,226
Global Partners LP323,8065,226
AvalonBay Communities30,0345,226
AvalonBay Communities30,0345,226
iShares S&P GSCI Commodity-Indexed Trust137,9195,223
Restoration Hardware Holdings Inc150,6435,209
Ennis251,0125,208
Coca Cola Femsa S.A.B. de C.V.72,5115,199
CBIZ321,9815,198
The Cheesecake Factory Incorporated94,3515,195
The Cheesecake Factory Incorporated94,3515,195
The Cheesecake Factory Incorporated94,3515,195
ClearBridge Energy MLP Fund Inc.340,2785,193
Marten Transport320,4165,187
iShares II plc.123,6685,187
Marten Transport320,4165,187
Marten Transport320,4165,187
Global Partners LP297,8275,183
PDC Energy77,2275,179
Esterline Technologies Corporation42,6285,178
Esterline Technologies Corporation42,6285,178
Esterline Technologies Corporation42,6285,178
Delta Apparel233,4065,177
Blackrock Global412,7045,163
John B. Sanfilippo & Son81,6365,152
Cemex S.A.B. de C.V.567,1125,145
UBS AG180,7485,145
Commerce Bancshares91,5525,143
Thor Industries60,7075,141
Ballroom Dance Fitness Inc121,7325,139
New Mountain Finance Corporation352,8175,134
Bigsupersearch.com, Inc.105,4345,132
Harris Teeter Supermarkets38,0845,129
Harris Teeter Supermarkets38,0845,129
Harris Teeter Supermarkets38,0845,129
Cree119,6535,118
Cree119,6535,118
Cree119,6535,118
Penn West Petroleum Ltd2,827,6415,116
Carriage Services329,8865,113
Carriage Services329,8865,113
Carriage Services329,8865,113
Crown Marketing275,5755,109
Choice Hotels International71,3385,106
Choice Hotels International71,3385,106
Choice Hotels International71,3385,106
Allete65,9325,104
Allete65,9325,104
First Trust Advantaged Short Duration High Yield Bond Fund94,2675,104
Allete65,9325,104
OGE Energy Corporation146,4765,096
Autoliv35,5745,094
Autoliv35,5745,094
Autoliv35,5745,094
Equity Residential77,1885,089
Equity Residential77,1885,089
Nuveen AMT-Free Municipal Income Fund366,2365,088
Harris Teeter Supermarkets45,7115,087
Fomento Economico Mexicano S.A.B. de C.V.51,7305,087
Huntsman Corporation312,3775,084
Icon Media Holdings, Inc.80,7105,081
Calamos Convertible Opportunities and Income Fund572,7995,075
Calamos Convertible Opportunities and Income Fund572,7995,075
Calamos Convertible Opportunities and Income Fund572,7995,075
Convergys Corporation166,6275,069
Burlington Stores Inc33,5665,054
Burlington Stores Inc33,5665,054
Burlington Stores Inc33,5665,054
Companhia de Bebidas das Americas - AmBev829,6185,052
Commerce Bancshares88,8315,050
Ennis256,6335,042
Ennis256,6335,042
Columbia Banking System119,6355,039
Columbia Banking System119,6355,039
Babcock & Wilcox Enterprises, Inc.305,1675,035
Adams Express Company (The)365,8495,031
Consolidated Plen Tech Electronics, Inc.296,4355,023
Consolidated Plen Tech Electronics, Inc.296,4355,023
iShares S&P India Nifty 50 Index Fund142,0455,016
First Busey Corporation204,4115,016
iShares S&P India Nifty 50 Index Fund142,0455,016
First Busey Corporation204,4115,016
First Busey Corporation204,4115,016
iShares S&P India Nifty 50 Index Fund142,0455,016
Delta Apparel232,9815,011
Delta Apparel232,9815,011
Sun Communities63,8345,010
Cypress Semiconductor Corporation363,4845,003
Brunswick Corporation99,2764,998
Euronet Worldwide54,5954,989
Euronet Worldwide54,5954,989
Cemex S.A.B. de C.V.759,8254,985
Cemex S.A.B. de C.V.759,8254,985
Cemex S.A.B. de C.V.759,8254,985
Ruth's Hospitality Group229,0424,982
AMN Healthcare Services Inc87,8624,978
AMN Healthcare Services Inc87,8624,978
AMN Healthcare Services Inc87,8624,978
Euronet Worldwide59,0444,975
Duke Realty Corporation171,2164,970
Duke Realty Corporation171,2164,970
Duke Realty Corporation171,2164,970
Omega Healthcare Investors150,2954,958
Colfax Corporation157,5384,951
Potlatch Corporation127,2604,949
Gentex Corporation214,8374,946
Gentex Corporation214,8374,946
Gentex Corporation214,8374,946
Fomento Economico Mexicano S.A.B. de C.V.55,8754,946
Northrim BanCorp Inc191,7094,937
Guggenheim Equal Weight Enhanced Equity Income Fund287,1544,936
InterContinental Hotels Group Plc93,3064,935
Dean Foods Company300,2494,925
Cree118,4234,923
Cree118,4234,923
Cree118,4234,923
Dell Technologies Inc.63,7464,921
Dell Technologies Inc.63,7464,921
Booz Allen Hamilton Holding Corporation151,2054,920
SCOTTS LIQUID GOLD INC54,9964,920
Ennis257,0864,910
Ionis Pharmaceuticals133,9844,909
Penn West Petroleum Ltd2,887,5014,909
AXA Equitable Holdings, Inc.243,7374,909
AvalonBay Communities28,5374,904
AvalonBay Communities28,5374,904
AvalonBay Communities28,5374,904
Baldwin & Lyons200,5394,893
Adams Express Company (The)372,1364,893
Baldwin & Lyons200,5394,893
Baldwin & Lyons200,5394,893
NewStar Financial197,3054,881
Coca Cola Femsa S.A.B. de C.V.86,3924,875
Coca Cola Femsa S.A.B. de C.V.86,3924,875
Coca Cola Femsa S.A.B. de C.V.86,3924,875
Domino's Pizza Inc24,5364,871
Atlas Air Worldwide Holdings67,9334,871
Atlas Air Worldwide Holdings67,9334,871
Atlas Air Worldwide Holdings67,9334,871
Domino's Pizza Inc24,5364,871
Blackrock Corporate High Yield Fund III141,8144,866
International Hi-Tech Industries Inc.34,0144,861
Adams Express Company (The)384,9524,858
Adams Express Company (The)384,9524,858
Adams Express Company (The)384,9524,858
Gigamon, Inc.115,0474,850
Ennis287,0354,837
Genesis Metals Corp.183,4164,833
International Hi-Tech Industries Inc.35,9894,832
International Hi-Tech Industries Inc.35,9894,832
International Hi-Tech Industries Inc.35,9894,832
Bed Bath & Beyond Inc.426,6864,830
Bed Bath & Beyond Inc.426,6864,830
Bed Bath & Beyond Inc.426,6864,830
New Mountain Finance Corporation323,6284,822
Fidelity National Financial105,4344,816
Boot Barn Holdings, Inc.282,7414,815
Boot Barn Holdings, Inc.282,7414,815
Boot Barn Holdings, Inc.282,7414,815
Blackrock Global432,8754,814
Blackrock Global432,8754,814
Blackrock Global432,8754,814
Glacier Bancorp127,3994,811
Global X Funds Global X Social Media Index ETF242,2834,810
Fidelity National Financial104,8944,807
Eagle Pharmaceuticals80,5594,804
Eagle Pharmaceuticals80,5594,804
EastGroup Properties50,2514,801
EastGroup Properties50,2514,801
EastGroup Properties50,2514,801
Dean Foods Company244,0014,796
Allegion PLC 69,5914,796
Boulder Energy Ltd.466,2474,793
Boulder Energy Ltd.466,2474,793
Boulder Energy Ltd.466,2474,793
Criteo95,7834,788
Allete58,2284,788
Allete58,2284,788
Cognex Corporation43,3784,784
Cognex Corporation43,3784,784
iShares FTSE EPRA/NAREIT North America Index Fund98,6894,783
iShares FTSE EPRA/NAREIT North America Index Fund98,6894,783
iShares FTSE EPRA/NAREIT North America Index Fund98,6894,783
International Lithium Corp.123,0284,779
New Senior Investment Group Inc.1,158,8294,774
New Senior Investment Group Inc.1,158,8294,774
Jabil Circuit164,4624,757
Banco Bilbao Viscaya Argentaria S.A.798,0064,756
ANAPTYSBIO INC66,9064,754
ANAPTYSBIO INC66,9064,754
ANAPTYSBIO INC66,9064,754
Boulder Energy Ltd.465,8324,751
Boulder Energy Ltd.465,8324,751
PVH Corp.45,8794,747
AGNC Investment Corp.218,9444,746
AGNC Investment Corp.218,9444,746
CyberOptics Corporation182,8264,744
DineEquity63,4184,744
DineEquity63,4184,744
DineEquity63,4184,744
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.527,4164,741
Heritage Insurance Holdings, Inc.358,5974,736
Heico Corporation61,4524,734
Heico Corporation61,4524,734
Heico Corporation61,4524,734
iShares57,4154,733
iShares57,4154,733
iShares57,4154,733
Targa Resources96,3874,732
Lloyds Banking Group Plc2,287,8454,729
Monolithic Power Systems58,6814,724
Columbia Banking System118,3254,716
Commerce Bancshares95,6454,711
Equitrans Midstream Corp235,2814,709
Equitrans Midstream Corp235,2814,709
Equitrans Midstream Corp235,2814,709
Dave & Buster's Entertainment94,3774,707
Colony Bankcorp248,8544,700
Arctic Cat Inc.303,2174,697
JetBlue Airways Corporation292,1714,692
JetBlue Airways Corporation292,1714,692
JetBlue Airways Corporation292,1714,692
Orbital Corporation Limited61,4904,688
PGT438,5524,680
PIMCO Commercial Mortgage Securities Trust88,7924,679
IMPINJ INC112,3604,676
Allete64,5984,669
Delek US Holdings176,1684,658
Calumet Specialty Products Partners604,6284,655
Delta Apparel230,4544,655
Colfax Corporation118,2124,655
Greenlight Reinsurance227,6934,654
ClearBridge Energy MLP Fund Inc.285,3614,646
Home BancShares186,6104,646
Gentex Corporation234,5654,646
Dana Holding Corporation208,0434,646
Exelixis191,7304,645
Exelixis191,7304,645
Colfax Corporation111,2874,634
Colfax Corporation111,2874,634
Live Nation Entertainment94,0274,632
Live Nation Entertainment94,0274,632
Live Nation Entertainment94,0274,632
Mdu Res Group Inc169,0594,628
Blackrock MuniHoldings Investment Quality Fund311,9704,620
Blackrock MuniHoldings Investment Quality Fund311,9704,620
Cabot Corporation74,8724,611
Banco de Guayaquil SA380,7184,596
Casella Waste Systems445,6424,590
Alnylam Pharmaceuticals67,6804,588
Incyte Corporation41,2564,586
Ballroom Dance Fitness Inc111,0404,585
Ballroom Dance Fitness Inc111,0404,585
Schindler Holding AG101,6794,585
National-Oilwell Varco178,3354,584
National-Oilwell Varco178,3354,584
Highwoods Properties118,4524,583
Highwoods Properties118,4524,583
Highwoods Properties118,4524,583
Bigsupersearch.com, Inc.85,5124,581
Bigsupersearch.com, Inc.85,5124,581
Varonis151,8604,571
Northrim BanCorp Inc152,0194,568
Cohen & Steers Quality Income Realty Fund Inc340,0854,563
Old Republic International Corporation222,7524,562
The Cheesecake Factory Incorporated108,2994,561
BlackRock Science & Technology Trust186,6664,561
The Cheesecake Factory Incorporated108,2994,561
BlackRock Science & Technology Trust186,6664,561
Eaton Vance Corporation95,0794,554
EastGroup Properties49,5604,547
EastGroup Properties49,5604,547
EastGroup Properties49,5604,547
Merrimack Pharmaceuticals715,0644,540
Columbia Banking System116,2764,534
Choice Hotels International59,8844,528
Choice Hotels International59,8844,528
Ramtron International Corporation82,2724,528
Choice Hotels International59,8844,528
Encore Capital Group Inc192,4624,523
Encore Capital Group Inc192,4624,523
Encore Capital Group Inc192,4624,523
Brunswick Corporation97,3534,522
Brunswick Corporation97,3534,522
Brunswick Corporation97,3534,522
Continental Resources69,7954,520
Continental Resources69,7954,520
Continental Resources69,7954,520
Cree121,6854,519
Consolidated Communications Holdings456,6994,512
Consolidated Communications Holdings456,6994,512
Consolidated Communications Holdings456,6994,512
AngloGold Ashanti Limited548,5244,504
AngloGold Ashanti Limited548,5244,504
AngloGold Ashanti Limited548,5244,504
Eaton Vance Corporation91,2204,504
Express381,7404,501
Fidelity & Guaranty Life144,7914,496
Eaton Vance Corporation94,9464,493
iShares II plc.115,0364,487
iShares II plc.126,4044,487
Landec Corporation378,7174,483
Landec Corporation378,7174,483
Landec Corporation378,7174,483
Etfs Commodity Securities Ltd.149,0534,482
Progressive Corporation (The)142,2684,481
Gaming Partners International Corporation133,9774,480
PIMCO New York Municipal Income Fund81,6814,480
SEI Investments Company83,2584,477
DHX Media Ltd.2,131,3644,476
The Medicines Company117,7444,476
DHX Media Ltd.2,131,3644,476
DHX Media Ltd.2,131,3644,476
Northern Trust Corporation65,8274,475
Coty Inc270,1364,465
Coty Inc270,1364,465
Ericsson503,1144,463
Ericsson503,1144,463
Ericsson503,1144,463
Ennis262,0634,455
Hollywall Entertainment Inc.181,7504,454
Blackrock Corporate High Yield Fund190,5534,453
Blackrock Corporate High Yield Fund190,5534,453
Calumet Specialty Products Partners533,2314,452
Brown-Forman Corporation Class B 82,0244,452
Brown-Forman Corporation Class B 82,0244,452
Calumet Specialty Products Partners597,6094,452
Calumet Specialty Products Partners597,6094,452
Calumet Specialty Products Partners533,2314,452
Calumet Specialty Products Partners597,6094,452
Blackrock Corporate High Yield Fund III145,7124,452
Xponential, Inc.121,4074,451
THEDIRECTORY.COM, INC.55,7954,449
THEDIRECTORY.COM, INC.55,7954,449
Allete58,3694,449
THEDIRECTORY.COM, INC.55,7954,449
Allete58,3694,449
Allete58,3694,449
iShares II plc.33,4324,444
Delta Apparel229,5944,442
Delta Apparel229,5944,442
Delta Apparel229,5944,442
eWELLNESS HEALTHCARE Corp69,9304,440
Hilton Worldwide Holdings Inc.63,8864,438
Dolby Laboratories77,0104,430
Dolby Laboratories77,0104,430
Hologic107,7274,428
Hologic107,7274,428
Hologic107,7274,428
Gentex Corporation219,0304,427
Gentex Corporation219,0304,427
Gentex Corporation219,0304,427
JAGGED PEAK, INC.323,6234,419
Exchange Bankshares, Inc.116,8294,414
AutoNation92,8834,409
AutoNation92,8834,409
Royce Value Trust302,1624,408
Tempur-pedic International Inc77,6774,406
Cree178,7584,406
Banco de Guayaquil SA402,6594,405
Home Retail Group plc146,6304,404
Home Retail Group plc146,6304,404
Home Retail Group plc146,6304,404
Ironclad Performance Wear Corp117,0904,394
Fair Isaac Corp22,7234,394
Fair Isaac Corp22,7234,394
Fair Isaac Corp22,7234,394
ETFS Precious Metals Basket Trust65,8944,392
Northrim BanCorp Inc144,4444,391
Jabil Circuit201,1574,390
BlackRock Energy and Resources Trust319,6244,388
Mascota Resources Corp150,0514,388
BlackRock Energy and Resources Trust319,6244,388
Mascota Resources Corp150,0514,388
Cracker Barrel Old Country Store33,1384,383
ClearBridge Energy MLP Total Return Fund Inc.344,5894,379
ClearBridge Energy MLP Total Return Fund Inc.344,5894,379
Guggenheim Enhanced Equity Strategy Fund511,0544,375
Ballroom Dance Fitness Inc123,1144,375
Ballroom Dance Fitness Inc123,1144,375
Ballroom Dance Fitness Inc123,1144,375
Teleflex Incorporated27,9904,373
Pan American Silver Corp.299,2104,369
First Trust Strategic High Income Fund II148,3014,369
Hudson Technologies654,9514,356
Sonoco Products Company82,3154,348
Autoliv34,1364,339
HUBSPOT INC51,6034,337
Pitney Bowes Inc287,2594,337
Harris Teeter Supermarkets32,8864,332
Cal-Maine Foods97,4264,330
Enstar Group Limited26,2864,323
Autoliv34,9514,320
Autoliv34,9514,320
POWERSHARES DB US DOLLAR INDEX BEARISH FUND287,1344,310
NeoPhotonics Corporation263,6674,309
HSN116,0854,307
Arrow Electronics53,4964,301
Gamestop Corporation155,6664,295
SiM Internal Test 4647,5994,293
Nordson Corporation34,8944,287
iHeartMedia27,4134,287
Fidelity Holding Corp.120,2524,285
Brinker International97,4234,284
Brinker International97,4234,284
Grupo Carso S.A. de CV166,8394,284
Brinker International97,4234,284
Indofood Agri Resources Ltd.43,2634,283
1st Colonial Bancorp, Inc.88,8544,263
CyberOptics Corporation206,4794,263
1st Colonial Bancorp, Inc.88,8544,263
LIBERTY ALL STAR GROWTH FUND INC109,3744,256
Global Telecom & Technology, Inc.68,6864,248
Booz Allen Hamilton Holding Corporation134,3274,245
Diamondrock Hospitality Company380,2864,240
Blackrock Corporate High Yield Fund III129,9984,234
Blackrock Corporate High Yield Fund III129,9984,234
CoBiz Financial Inc.317,9764,232
Advantage Oil & Gas Ltd670,8684,226
Advantage Oil & Gas Ltd670,8684,226
Omega Healthcare Investors120,1134,222
Check Point Software Technologies Ltd.54,3644,220
SL Green Realty Corporation39,0304,219
Dean Foods Company248,0054,216
Wright Medical Group329,6634,215
Fulton Financial Corporation224,8404,214
Fulton Financial Corporation224,8404,214
Nordson Corporation34,6984,210
Harris Teeter Supermarkets38,5764,208
BlackRock Resources515,9774,205
Tortoise Energy Infrastructure Corporation136,3444,192
New Mountain Finance Corporation304,6144,191
John B. Sanfilippo & Son81,6074,189
BioTelemetry, Inc.70,1204,187
BioTelemetry, Inc.70,1204,187
BioTelemetry, Inc.70,1204,187
Marten Transport152,6804,184
Fidelity First Financial Corp.126,4544,181
J CREW GROUP INC.678,4574,178
BlackRock Income Trust Inc. (The)664,7204,174
Regency Affiliates, Inc.53,8464,174
BlackRock Income Trust Inc. (The)664,7204,174
Brinker International93,9694,170
Mercantile Bank Corporation154,9804,161
ADAMANT DRI PROCESSING & MINERALS GROUP211,5724,158
ADAMANT DRI PROCESSING & MINERALS GROUP211,5724,158
The Cheesecake Factory Incorporated84,9834,157
First Bancorp101,6284,157
Blackrock Diversified Income Strategies Fund60,1874,157
Discovery Communications195,2754,157
Discovery Communications195,2754,157
First Bancorp101,6284,157
First Bancorp101,6284,157
Domino's Pizza Inc27,3494,153
The Andersons138,8664,151
The Andersons138,8664,151
The Andersons138,8664,151
ANAPTYSBIO INC39,8774,150
BOK Financial Corporation46,5694,149
BOK Financial Corporation46,5694,149
Guggenheim Strategic Opportunities Fund194,6214,145
Brocade Communications Systems328,6024,144
Continental Resources78,2004,142
CalAmp Corp.176,6204,138
CalAmp Corp.176,6204,138
CalAmp Corp.176,6204,138
Highwoods Properties79,3934,136
Helmerich & Payne64,8634,135
Helmerich & Payne64,8634,135
Helmerich & Payne64,8634,135
Global Technlogies Corp.187,7534,135
Patterson-UTI Energy184,7894,133
Infineon Technologies AG 22,1784,130
Infineon Technologies AG 22,1784,130
Delta Apparel233,5654,118
Pandora Media461,2664,115
Coty Inc291,4024,109
Coty Inc291,4024,109
Coty Inc291,4024,109
Government Properties Income Trust181,5054,106
Mdu Res Group Inc156,5214,102
iHeartMedia26,4294,100
ADAMANT DRI PROCESSING & MINERALS GROUP205,6864,099
NVR2,4974,095
Diamond Offshore Drilling232,4764,094
Knowles291,4314,094
db x-trackers Sicav112,7074,092
db x-trackers Sicav112,7074,092
db x-trackers Sicav112,7074,092
Mobile TeleSystems535,6264,086
Box Ships Inc.211,4554,085
Box Ships Inc.211,4554,085
ALLIANCEBERNSTEIN L.P.301,0694,083
John Hancock Preferred Income Fund109,4534,073
John Hancock Preferred Income Fund109,4534,073
John Hancock Preferred Income Fund109,4534,073
National Instruments Corporation101,2354,072
Allegiant Travel Company30,8114,070
Nuveen Global Government Enhanced Income Fund310,3054,068
BioTelemetry, Inc.64,9494,067
Tanke, Inc.187,5914,062
Tanke, Inc.187,5914,062
CyrusOne85,2674,057
Addus HomeCare Corporation70,8124,055
Addus HomeCare Corporation70,8124,055
Addus HomeCare Corporation70,8124,055
Industrial Logistics Properties Trust206,0534,054
Industrial Logistics Properties Trust206,0534,054
Industrial Logistics Properties Trust206,0534,054
CyberOptics Corporation229,8954,053
CyberOptics Corporation229,8954,053
CyberOptics Corporation229,8954,053
Aegon NV598,0654,049
Cal-Maine Foods98,4764,047
Cal-Maine Foods98,4764,047
Motorcar Parts of America131,7494,047
Newfield Exploration Company275,7984,043
Newfield Exploration Company275,7984,043
Digi International Inc.318,9284,040
Glu Mobile Inc.630,0644,039
Glu Mobile Inc.630,0644,039
Glu Mobile Inc.630,0644,039
Lazard Global Total Return and Income Fund111,0304,037
Pitney Bowes Inc307,7514,035
Kaiser Aluminum Corporation39,0724,031
GoPro, Inc.241,3774,027
New York Mortgage Trust683,7874,027
New York Mortgage Trust683,7874,027
New Mountain Finance Corporation319,7324,022
New Mountain Finance Corporation319,7324,022
APOLLO EDUCATION GROUP INC4,000,0004,020
APOLLO EDUCATION GROUP INC4,000,0004,020
BioTelemetry, Inc.89,2844,018
BioTelemetry, Inc.89,2844,018
BioTelemetry, Inc.89,2844,018
AngloGold Ashanti Limited394,1544,017
Cohen & Steers Quality Income Realty Fund Inc319,5524,014
Fidelity Bancorp118,1204,011
Spectrum Pharmaceuticals858,8984,011
iShares FTSE EPRA/NAREIT North America Index Fund82,1604,009
Boulder Energy Ltd.412,7214,008
Ferrellgas Partners344,1714,006
Ramtron International Corporation74,4684,000
KATE233,2903,998
Icon Media Holdings, Inc.66,0873,998
Amerco10,8793,983
News Corporation284,4473,977
Esterline Technologies Corporation41,9153,973
iHeartMedia28,2233,972
General Growth Properties143,9323,972
iHeartMedia28,2233,972
iHeartMedia28,2233,972
AvalonBay Communities20,6643,970
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.400,1293,969
Mercantile Bank Corporation140,3863,968
Wells Fargo Advantage Multi-Sector Income Fund345,1543,968
Mercantile Bank Corporation140,3863,968
CyberOptics Corporation243,6553,960
CyberOptics Corporation243,6553,960
ALDER BIOPHARMACEUTICALS INC190,2533,958
MarketAxess Holdings23,9053,958
Helmerich & Payne59,3953,953
Hawaiian Electric Co., Inc.85,1053,953
Flow International Corporation92,6343,945
AngloGold Ashanti Limited415,5983,945
Chesapeake Energy Corp.1,270,9803,940
DHX Media Ltd.2,355,1833,932
DHX Media Ltd.2,355,1833,932
DHX Media Ltd.2,355,1833,932
Monolithic Power Systems33,8033,930
Monolithic Power Systems33,8033,930
Boston Private Financial Holdings237,2643,927
Boston Private Financial Holdings237,2643,927
Bed Bath & Beyond Inc.167,2483,925
Bed Bath & Beyond Inc.167,2483,925
AGIC Equity & Convertible Income Fund182,1953,920
AGIC Equity & Convertible Income Fund182,1953,920
Mack-Cali Realty Corporation199,8443,916
Mack-Cali Realty Corporation199,8443,916
Mack-Cali Realty Corporation199,8443,916
Pearson399,3113,910
Maxar Technologies49,8673,897
Maxar Technologies49,8673,897
AMAG Pharmaceuticals158,9343,896
Anworth Mortgage Asset Corporation646,8283,887
Cathay Pacific Airways, Ltd.96,5303,879
Cathay Pacific Airways, Ltd.96,5303,879
Pandora Media479,1613,877
DEWEY ELECTRONICS CORP53,7163,876
City Holding Company50,8153,872
Wyndham Worldwide Corp57,4773,869
HSN121,2603,868
iShares S&P India Nifty 50 Index Fund113,3933,867
Prothena Corp plc64,4583,865
CyberOptics Corporation226,0003,864
Mercury General Corporation63,3313,862
Anworth Mortgage Asset Corporation695,7303,861
Banco Bradesco Sa353,9193,861
Ollie58,0593,861
Insight Enterprises84,1083,861
BC Moly Ltd.32,9113,859
Kimco Realty Corporation197,3213,857
Eaton Vance Corporation68,3543,855
John Hancock Preferred Income Fund103,3603,851
Ionis Pharmaceuticals95,7203,847
Deutsche Borse AG144,8713,844
Deutsche Borse AG144,8713,844
Deutsche Borse AG144,8713,844
Selective Insurance Group117,7933,842
Taiwan Cement Corp.244,4733,839
Infineon Technologies AG 26,4243,838
CalAmp Corp.165,0773,837
CalAmp Corp.165,0773,837
Invesco Van Kampen Senior Income Trust321,5663,833
Reaves Utility Income Fund111,6203,832
iShares S&P India Nifty 50 Index Fund118,4703,829
HudBay Minerals Inc966,6903,828
iShares II plc.29,7923,825
Anworth Mortgage Asset Corporation636,1413,823
Anworth Mortgage Asset Corporation636,1413,823
Community Bank (Pasadena, CA)121,7173,822
Delek US Holdings157,3713,820
ClearBridge Energy MLP Opportunity Fund Inc.313,5153,815
Federal Signal Corporation179,3083,815
Federal Signal Corporation179,3083,815
ClearBridge Energy MLP Opportunity Fund Inc.313,5153,815
Fulton Financial Corporation200,6833,813
Eagle Pharmaceuticals48,2173,805
Cohen & Steers Quality Income Realty Fund Inc285,3063,803
Convergys Corporation179,7693,803
Esterline Technologies Corporation42,1203,798
Esterline Technologies Corporation42,1203,798
DineEquity56,3813,797
DineEquity56,3813,797
DineEquity56,3813,797
The Cheesecake Factory Incorporated87,1393,792
The Cheesecake Factory Incorporated87,1393,792
The Cheesecake Factory Incorporated87,1393,792
Ramtron International Corporation69,4613,788
Etfs Commodity Securities Ltd.125,2633,784
Delaware Enhanced Global Dividend391,1523,783
Harris Teeter Supermarkets41,2613,779
Fiat590,0053,777
Heritage Financial Corporation210,2683,774
AMN Healthcare Services Inc80,0643,770
AMN Healthcare Services Inc80,0643,770
Blackrock Diversified Income Strategies Fund55,5523,766
Calpine Corporation278,2753,764
Duke Realty Corporation145,1823,761
Highlands Bankshares, Inc.201,7813,761
Duke Realty Corporation145,1823,761
Duke Realty Corporation145,1823,761
Synovus Financial Corp.115,5153,757
Popular90,0403,756
Hudson Technologies444,2093,754
iShares MSCI Far East Financials Sector Index Fund48,5033,752
Pacific Booker Minerals Inc.61,8973,750
AGIC Equity & Convertible Income Fund168,3423,746
AGIC Equity & Convertible Income Fund168,3423,746
AGIC Equity & Convertible Income Fund168,3423,746
SolarCity Corp.287,2953,744
Curtiss-Wright Corporation33,0333,742
Ishares Canadian Dex Universe Bond Index Fund31,6743,728
Credit Suisse Group208,3573,718
DineEquity46,8813,712
AGIC Equity & Convertible Income Fund175,6313,711
Jabil Circuit126,9613,707
Exchange Income Corporation109,8423,707
Autoliv36,2103,703
ALLSTATE LIFE INSURANCE CO66,1233,703
iShares S&P India Nifty 50 Index Fund110,0683,700
City Holding Company73,5493,699
CyberOptics Corporation212,5413,698
CyberOptics Corporation212,5413,698
CyberOptics Corporation212,5413,698
Cinemark Holdings Inc102,0313,696
Cinemark Holdings Inc102,0313,696
Macerich Company (The)45,6533,691
ASML Holding N.V.33,6873,691
Nuveen Dividend Advantage Municipal Fund 3229,6753,690
Apple Green Holding, Inc.199,2443,689
Comtech Telecommunications Corp.166,7293,688
Murphy Oil Corporation128,9773,688
Genworth Financial Inc956,4203,682
DEWEY ELECTRONICS CORP55,1213,682
iShares II plc.98,3413,681
Federal Signal Corporation277,4783,680
Esterline Technologies Corporation42,7633,680
Alere Inc.84,9853,675
Concordia Healthcare819,4923,672
Delta Apparel212,6143,664
Delta Apparel212,6143,664
Delta Apparel212,6143,664
Aegon NV618,1603,661
Aegon NV618,1603,661
Aegon NV618,1603,661
Sally Beauty Holdings142,4513,658
Federal Signal Corporation210,5803,656
ALLSTATE LIFE INSURANCE CO66,0233,655
GATX Corporation59,9213,654
Brown-Forman Corporation Class B 75,1693,653
Fidelity First Financial Corp.110,4463,649
National Instruments Corporation112,0023,646
Autoliv33,1243,637
Kulicke and Soffa Industries191,2003,636
Boardwalk Pipeline Partners L.P.312,3853,631
Boardwalk Pipeline Partners L.P.312,3853,631
Boardwalk Pipeline Partners L.P.312,3853,631
SEI Investments Company79,5373,629
KB Home150,3893,628
Bank of Hawaii Corporation44,0333,626
Noble Energy Inc.193,3083,626
Noble Energy Inc.193,3083,626
CalAmp Corp.168,8043,618
Diamondrock Hospitality Company329,3913,606
Diamondrock Hospitality Company329,3913,606
DEWEY ELECTRONICS CORP49,4053,604
DEWEY ELECTRONICS CORP49,4053,604
Cal-Maine Foods91,0153,604
Boulder Energy Ltd.387,2373,601
John Hancock Preferred Income Fund128,9343,601
John Hancock Preferred Income Fund128,9343,601
John Hancock Preferred Income Fund128,9343,601
Arch Capital Group Ltd.45,4253,600
Apollo Global Management112,7593,594
Apollo Global Management112,7593,594
Apollo Global Management112,7593,594
Gemini Group Global Corp.119,2713,593
Gemini Group Global Corp.119,2713,593
Gemini Group Global Corp.119,2713,593
John Hancock Preferred Income Fund99,5873,588
Amedisys Inc29,0983,587
Amedisys Inc29,0983,587
Fortinet100,0233,585
City Holding Company47,6333,584
City Holding Company47,6333,584
City Holding Company47,6333,584
John Hancock Preferred Income Fund105,2833,580
Nuveen Global Government Enhanced Income Fund306,7453,574
Guidewire Software45,8913,573
Cullen/Frost Bankers49,5973,569
AGIC Equity & Convertible Income Fund172,3983,566
Advantage Oil & Gas Ltd506,6433,562
CalAmp Corp.273,6263,560
CalAmp Corp.273,6263,560
CalAmp Corp.273,6263,560
First Busey Corporation118,8553,559
Federal Signal Corporation177,2083,559
Nuvo Research Inc225,5873,551
Ericsson461,8453,543
Ericsson461,8453,543
Ericsson461,8453,543
Pharmerica Corporation126,2043,543
Nuveen Global Government Enhanced Income Fund250,6743,540
Square303,3203,536
Duke Realty Corporation122,6923,535
Duke Realty Corporation122,6923,535
Avnet97,8993,534
Avnet97,8993,534
Avnet97,8993,534
Bank of the Ozarks78,4213,532
Bank of the Ozarks78,4213,532
Bank of the Ozarks78,4213,532
Anworth Mortgage Asset Corporation717,4113,529
Golar LNG Limited166,1263,521
RRSat Global Communications Network Ltd.223,8873,520
Nordic Investment Bank348,1113,520
Telefonica SA347,8343,507
INTREXON CORP125,1323,506
CF Industries Holdings143,8473,503
Bigsupersearch.com, Inc.73,1993,495
Aerie Pharmaceuticals Inc.92,4423,489
Colfax Corporation88,0393,489
United Therapeutics Corporation29,5163,485
AGIC Equity & Convertible Income Fund187,5473,477
AGIC Equity & Convertible Income Fund187,5473,477
AGIC Equity & Convertible Income Fund187,5473,477
Ishares Canadian Dex Universe Bond Index Fund30,3123,476
Cognex Corporation40,8293,466
City Holding Company48,1723,464
City Holding Company48,1723,464
Ocwen Financial Corporation1,286,5763,461
Desert Gold Ventures Inc.91,2923,459
Cineplex Inc105,0123,451
Cineplex Inc105,0123,451
CalAmp Corp.274,2323,450
First Bancorp105,6043,449
First Bancorp105,6043,449
First Bancorp105,6043,449
Bed Bath & Beyond Inc.202,6733,444
Esterline Technologies Corporation45,3003,444
CAM Group, Inc.94,8373,442
Owens-Illinois186,9103,436
Merit Medical Systems61,4903,432
Merit Medical Systems61,4903,432
KATE147,7003,432
EastGroup Properties38,9083,429
EastGroup Properties38,9083,429
Allete46,0703,426
Abercrombie & Fitch Company141,2893,420
Amedisys Inc56,5703,414
Comtech Telecommunications Corp.166,2013,413
Comtech Telecommunications Corp.166,2013,413
Cemex S.A.B. de C.V.734,3623,408
Helmerich & Payne62,6593,404
First Bancorp96,4103,404
Lions Gate Entertainment107,0413,403
MiMedx Group, Inc.227,2653,402
Anworth Mortgage Asset Corporation624,1473,396
PBF Energy150,0103,396
Total Energy Services Inc.71,7893,384
Helmerich & Payne70,5813,383
Helmerich & Payne70,5813,383
Helmerich & Payne70,5813,383
Liberty Interactive Corporation168,9783,381
Coca Cola Femsa S.A.B. de C.V.45,0763,381
EVERSPIN TECHNOLOGIES INC197,7513,380
EVERSPIN TECHNOLOGIES INC197,7513,380
Boston Private Financial Holdings218,7363,379
Avnet78,6993,376
Avnet78,6993,376
Avnet78,6993,376
EDGEWELL PERSONAL CARE Co42,3733,370
Amerco8,8343,367
Calamos Global Dynamic Income Fund448,2043,366
Diamondrock Hospitality Company306,9833,362
CyberOptics Corporation223,8783,359
Lincoln Electric Holdings36,5113,347
Genesis Metals Corp.152,4853,341
Genesis Metals Corp.152,4853,341
Genesis Metals Corp.152,4853,341
Delta Apparel150,2953,340
Etfs Commodity Securities Ltd.138,5723,339
Cabot Corporation59,8493,338
Cabot Corporation59,8493,338
Bed Bath & Beyond Inc.109,7643,337
First Trust NASDAQ-100 Ex-Technology Sector Index Fund65,3213,326
Dominion Diamond Corporation234,5323,326
Dominion Diamond Corporation234,5323,326
Fulton Financial Corporation201,2943,322
Fulton Financial Corporation201,2943,322
Fulton Financial Corporation201,2943,322
Tandy Leather Factory431,4023,322
Arrow Electronics44,1103,321
Arrow Electronics44,1103,321
Arrow Electronics44,1103,321
Nuveen Global Government Enhanced Income Fund255,1173,311
Lions Gate Entertainment125,9223,311
Blackrock MuniYield California Insured Fund238,2773,308
Blackrock MuniYield California Insured Fund238,2773,308
Kulicke and Soffa Industries162,7203,306
Superior Uniform Group166,9553,304
Eaton Vance Tax-Managed Global Diversified Equity Income Fund215,5473,302
Eaton Vance Tax-Managed Global Diversified Equity Income Fund215,5473,302
Tupras Turkiye Petrol Rafinerileri AS50,5063,302
Compass Minerals Intl Inc44,7843,301
CalAmp Corp.162,2693,299
Herman Miller109,0473,299
Arista Networks, Inc.38,7833,299
Herman Miller109,0473,299
Cathay Pacific Airways, Ltd.77,9203,286
DHX Media Ltd.2,144,1783,281
Baldwin & Lyons136,9453,280
Brighthouse Financial, Inc.53,9423,278
Brighthouse Financial, Inc.53,9423,278
iRhythm Technologies, Inc.63,1323,275
Gulfport Energy Corporation260,5813,275
Gulfport Energy Corporation260,5813,275
Gulfport Energy Corporation260,5813,275
AGIC Equity & Convertible Income Fund165,4563,268
Shake Shack93,7153,268
AGCO Corporation54,2713,267
iShares II plc.25,0983,264
iShares II plc.24,7233,262
Fair Isaac Corp17,4263,259
Fair Isaac Corp17,4263,259
Hologic81,9683,259
Fair Isaac Corp17,4263,259
CAM Group, Inc.66,8853,259
Hologic81,9683,259
Hologic81,9683,259
Rayonier Inc. REIT122,7823,259
Marten Transport138,9213,258
Royce Value Trust257,3033,257
db x-trackers Sicav81,7263,252
ETFS Gold Trust25,3763,252
Southwestern Energy Company102,8703,248
Eldorado Gold Corporation2,268,7793,244
Timken Company (The)92,2973,243
Owens-Illinois135,5073,242
iShares S&P India Nifty 50 Index Fund108,6413,239
USG Corporation125,1763,235
Fulton Financial Corporation208,8793,234
Fulton Financial Corporation208,8793,234
Fulton Financial Corporation208,8793,234
CBL & Associates Properties266,3723,234
Universal Corp.55,5073,231
Sprouts Farmers Market Inc156,4483,230
KLA-Tencor Corporation46,3113,228
BC Moly Ltd.28,6013,228
Cabot Corporation52,2453,227
Cabot Corporation52,2453,227
Cabot Corporation52,2453,227
The Carlyle Group L.P.136,6303,224
The Carlyle Group L.P.136,6303,224
Dick's Sporting Goods Inc87,5763,222
Fortinet87,2293,221
Shinhan Financial Group Co Ltd88,2133,215
First Trust NASDAQ Clean Edge U.S. Liquid Series Index Fund87,5503,208
Apollo Senior Floating Rate Fund Inc.195,9003,206
Econocom Group SA116,3093,204
Econocom Group SA116,3093,204
National Beverage Corp.37,8613,201
Boston Private Financial Holdings195,0433,199
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol154,0953,198
EPAM Systems36,3303,194
EPAM Systems36,3303,194
Kulicke and Soffa Industries246,7963,191
GATX Corporation49,6633,191
First Bancorp92,6793,189
First Bancorp92,6793,189
Floor & Decor Holdings, Inc.123,0373,186
Floor & Decor Holdings, Inc.123,0373,186
Floor & Decor Holdings, Inc.123,0373,186
Bioheart, Inc.26,3353,184
Bioheart, Inc.26,3353,184
Coty Inc160,1073,184
National Instruments Corporation70,1353,183
Seadrill Limited1,343,7023,183
National Instruments Corporation70,1353,183
Badger Meter64,6303,181
Badger Meter64,6303,181
Badger Meter64,6303,181
Brooks Automation108,3463,178
Grifols172,9613,175
Grifols172,9613,175
Comerica Incorporated67,0883,175
TheraBiogen Inc.29,9263,175
Grifols172,9613,175
Bank of the Ozarks65,9973,170
Bank of the Ozarks65,9973,170
German American Bancorp88,3713,168
German American Bancorp88,3713,168
Heemskirk Consolidated Ltd.122,8563,168
German American Bancorp88,3713,168
First Tractor Co. Ltd.75,5583,166
Blackrock Global336,7473,156
Blackrock Global336,7473,156
Blackrock Global336,7473,156
Kayne Anderson Energy Total Return Fund283,5003,153
Cathay Pacific Airways, Ltd.77,8773,152
Cathay Pacific Airways, Ltd.77,8773,152
Cathay Pacific Airways, Ltd.77,8773,152
Arrow Electronics40,8743,149
Cathay Pacific Airways, Ltd.82,8553,143
City Holding Company47,7003,141
iShares S&P Global Nuclear Index Fund106,9623,140
iShares S&P Global Nuclear Index Fund106,9623,140
iShares S&P Global Nuclear Index Fund106,9623,140
City Holding Company46,4453,139
City Holding Company46,4453,139
City Holding Company46,4453,139
VGambling Inc.28,2583,134
Jabil Circuit109,6103,128
IMPINJ INC64,2933,128
City Holding Company48,4953,127
John Hancock Preferred Income Fund112,5643,125
CBL & Associates Properties372,3173,123
CBL & Associates Properties372,3173,123
Consolidated Communications Holdings285,8573,118
Logitech International S.A.138,7613,117
Splunk Inc.53,0753,114
Eaton Vance Corporation59,6503,113
Eaton Vance Corporation59,6503,113
Eaton Vance Corporation59,6503,113
Kayne Anderson Energy Development Company171,8113,109
Autoliv42,2183,104
Vornado Realty Trust30,6473,102
Bioheart, Inc.28,2843,097
CARVANA CO.74,4293,096
CARVANA CO.74,4293,096
CARVANA CO.74,4293,096
PowerShares DB Precious Metals Fund76,1173,091
Hudson Technologies468,2093,090
Comtech Telecommunications Corp.162,6923,086
Cleveland BioLabs431,1583,082
Cleveland BioLabs431,1583,082
Badger Meter62,8573,080
Badger Meter62,8573,080
Beazer Homes USA264,0473,078
Cathay Pacific Airways, Ltd.81,6113,074
Huntington Ingalls Industries20,0233,073
Delta Apparel186,6993,073
WGL Holdings Inc48,9803,071
Eaton Vance California Municipal Bond Fund II226,5163,065
City Holding Company45,3673,061
Herman Miller100,6403,059
CIAO Group, Inc.120,8903,055
Bank of the Ozarks63,0063,053
Post Holdings39,5193,050
Delaware Enhanced Global Dividend268,5673,043
Delaware Enhanced Global Dividend268,5673,043
Delaware Enhanced Global Dividend268,5673,043
GWR Global Water Resources Corp.37,4153,042
GWR Global Water Resources Corp.37,4153,042
GWR Global Water Resources Corp.37,4153,042
Federal Agricultural Mortgage Corporation76,9673,040
Macquarie Global Infrastructure Total Return Fund Inc.117,1783,035
3D Systems Corporation169,0563,034
Guggenheim Enhanced Equity Income Fund60,5633,034
Ericsson423,0543,033
Graco Inc.24,4403,023
Luxottica Group63,1933,022
AGIC Equity & Convertible Income Fund156,5763,021
AGIC Equity & Convertible Income Fund142,5863,019
THEDIRECTORY.COM, INC.40,0423,019
HSN75,8103,018
HSN77,2553,018
iShares S&P Global Nuclear Index Fund80,6353,014
iShares S&P Global Nuclear Index Fund80,6353,014
Banco Bradesco Sa439,1923,013
Banco Bradesco Sa439,1923,013
Banco Bradesco Sa439,1923,013
Hudson Technologies385,4013,010
Dana Holding Corporation149,1083,010
Dana Holding Corporation149,1083,010
Dana Holding Corporation149,1083,010
Iamgold Corporation751,7553,008
NorthWestern Corporation50,5763,006
Advanced Visual Systems, Inc.20,1313,001
NewMarket Corporation6,9893,000
Federal Realty Investment Trust22,5863,000
Avnet76,1902,995
Avnet76,1902,995
Staples350,0972,994
Nordson Corporation30,0282,993
Infinera Corporation331,1302,991
MUELLER WATER PRODUCTS255,8152,988
iShares II plc.22,2482,985
iShares II plc.22,2482,985
iShares II plc.22,2482,985
Barclays PLC134,7682,982
Huntington Ingalls Industries13,1482,978
Sanmina-SCI Corporation104,5182,975
Xenon Pharmaceuticals Inc.367,3112,975
Calamos Global Dynamic Income Fund328,7742,972
Crane Company47,1692,972
Calamos Global Dynamic Income Fund328,7742,972
Federal Signal Corporation215,1812,971
CEPHEID56,3862,970
ACADIA Pharmaceuticals Inc.110,5622,969
ACADIA Pharmaceuticals Inc.110,5622,969
Blackrock Enhanced Government Fund190,2672,968
Blackrock Enhanced Government Fund190,2672,968
Gores Holdings II, Inc.297,3902,965
Camden Property Trust29,1992,963
Rollins72,7722,962
CBL & Associates Properties310,4062,961
Eaton Vance Tax-Advantage Global Dividend Opp253,6282,957
Eaton Vance Tax-Advantage Global Dividend Opp253,6282,957
Black Hills Corporation42,8962,954
Black Hills Corporation42,8962,954
Esterline Technologies Corporation40,0152,954
Esterline Technologies Corporation40,0152,954
Esterline Technologies Corporation40,0152,954
Lithium Americas Corp.78,8452,949
Western Asset Bond Fund263,4762,949
Kemper Corporation55,6092,948
Fulton Financial Corporation165,1052,947
Evolution Technology Resources Inc.171,3212,946
Ellies Holdings Limited27,9822,946
Convergys Corporation123,9262,946
Evolution Technology Resources Inc.171,3212,946
Avnet74,2782,944
Oaktree Capital Group69,3922,943
Kaiser Aluminum Corporation33,2272,942
Pilgrim's Pride Corporation139,2102,941
NewMarket Corporation6,3842,940
US-Dadi Fertilizer Ind International Inc.56,9312,939
German American Bancorp77,2082,937
Avnet67,6792,935
Templeton Global Income Fund266,1722,928
Cal-Maine Foods