Commonwealth Equity Services, Inc

Most recent update: Sept. 30, 2017

CompanyShares/WarrantsValue ($000)
Russell Exchange Traded Funds Trust Russell Small Cap Aggressi4,066,787508,592
Russell Exchange Traded Funds Trust Russell Small Cap Consiste3,949,986468,113
Therapix Biosciences Ltd9,599,473416,713
Apple Inc.2,627,447404,942
Vanguard Natural Resources, LLC5,498,588380,645
iShares Trust iShares MSCI All Country Asia ex Japan Small Cap6,451,507372,313
SPDR GOLD TRUST5,861,232350,044
Vanguard Scottsdale Funds Vanguard Russell 3000 ETF2,301,505298,090
iTeknik Holding Corporation979,158247,658
S&P Quality Rankings Glbl Equ Mngd Tr899,408225,958
Berkshire Hathaway Inc.985,874180,731
PowerShares QQQ Trust1,215,001176,722
Exxon Mobil Corporation2,137,204175,208
Johnson & Johnson1,265,012164,464
Core Resource Management, Inc.2,092,299155,290
Russell Exchange Traded Funds Trust Russell Small Cap Low P/E 1,347,625152,538
Imperial Petroleum, Inc.845,773151,309
iShares Trust iShares MSCI All Country Asia Information Techno2,276,499146,860
AT&T Inc.3,743,978146,652
IEG Holdings Corp1,597,725135,695
Etfs Commodity Securities Ltd.1,017,721135,103
Verizon Communications Inc.2,674,673132,370
General Electric Co5,260,649127,202
Microsoft Corporation1,685,574125,558
Russell Exchange Traded Funds Trust Russell Small Cap Contrari1,011,378125,532
Vanguard Short-Term Corporate Bond ETF1,545,033123,323
Procter & Gamble Company (The)1,354,874123,266
iShares Trust930,344118,074
vTv Therapeutics Inc.1,175,942117,383
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio2,118,648116,208
VGTel, Inc.1,222,269115,859
Vanguard Natural Resources, LLC496,418114,553
Sport Chalet773,609110,951
FS Bancorp12,467,401105,350
CoreStream Energy, Inc.1,764,618101,695
WisdomTree Trust WisdomTree Emerging Markets Corporate Bond Fu1,371,615101,537
Alphabet Holding Company, Inc.100,47897,143
Security Devices International Inc.969,45592,622
High Country Bancorp, Inc.1,140,39392,452
Edge Resources Inc.1,833,53392,300
FIDELITY D & D BANCORP INC2,630,66391,860
Pfizer2,512,44089,694
Chevron Corporation757,43788,999
Vanguard International Equity Index Funds Vanguard Global ex-U1,169,49987,159
Amazon.com90,47286,975
Indo Tambangraya Megah PT783,00885,810
PowerShares Global Coal Portfolio2,608,63584,955
iShares S&P Emerging Markets Infrastructure Index Fund2,159,46083,809
Altria Group1,298,40882,345
Interups Inc.758,98981,903
iShares Trust iShares Barclays GNMA Bond Fund1,230,54381,005
Etfs Commodity Securities Ltd.546,97077,298
Facebook442,88675,676
VOIP PAL.com, Inc.508,18474,703
Pepsico657,49573,265
Vanguard Scottsdale Funds Vanguard Russell 1000 ETF813,18273,090
iShares FTSE EPRA/NAREIT Asia Index Fund682,85571,939
J P Morgan Chase & Co747,55071,169
Reitmans829,98668,964
Home Depot421,32168,911
McDonald's Corporation426,60066,840
iShares1,039,41666,699
FIRST TRUST NEW OPPORTUNITIES MLP & ENERGY FUND2,197,02865,857
Walt Disney Company (The)649,81564,052
Intel Corporation1,673,61063,731
Boeing Company (The)249,78063,497
Spearhead, Ltd., Inc.1,241,52861,170
International Business Machines Corporation415,31060,253
Intertainment Media, Inc.700,45160,204
Neenah Paper407,41959,707
Ibiden Co. Ltd.625,54058,582
Merck & Company906,44058,039
AbbVie Inc634,68856,398
Coca-Cola Company (The)1,251,78456,343
Bank of America Corporation2,168,76954,957
Philip Morris International Inc493,38854,771
Vanguard Natural Resources, LLC935,71349,321
World Gaming plc401,53748,819
Standard Parking Corporation149,10048,656
Cisco Systems1,418,67547,710
International Consolidated Airlines Group SA239,55747,229
DowDuPont Inc.679,02547,009
Visa Inc.446,61647,002
Financial Institutions1,801,77646,594
Worldpay Group PLC652,93146,175
Wells Fargo & Company832,36445,905
Bristol-Myers Squibb Company714,87245,566
3M Company214,43045,009
Amgen Inc.230,74643,023
SMG Indium Resources Ltd.320,55340,964
Innocap, Inc.198,41540,151
iShares Trust iShares MSCI Emerging Markets Latin America Inde872,20939,084
iPure Labs, Inc.718,60738,819
Caterpillar307,40038,336
iShares Commodity Optimized Trust822,29738,254
United Technologies Corporation309,37535,912
ENERGY TRANSFER PARTNERS743,70335,871
Lockheed Martin Corporation112,27734,838
United Parcel Service282,63733,942
Diamondhead Casino Corp.150,99533,796
Oppenheimer Holdings Inc.628,31333,715
INCEPTION MINING INC.204,05433,565
First Trust874,04933,374
Sector 5, Inc.552,21732,636
Voestalpine AG298,48131,531
Wal-Mart Stores397,70531,077
Duke Energy Corporation364,26830,569
W.P. Carey Inc.436,30829,403
Abbott Laboratories549,44629,318
Starbucks Corporation537,93728,893
Costco Wholesale Corporation175,08728,765
Illini Corp.235,36628,533
ConocoPhillips561,99728,128
Berkshire Hathaway Inc.10228,023
iShares MSCI Far East Financials Sector Index Fund291,18127,860
Kimberly-Clark Corporation235,82227,752
CVS Corporation337,81627,471
Southern Company (The)558,49727,445
Parcelpal Technology Inc664,43127,248
Honeywell International Inc.187,15626,528
Select Asset Inc.319,56226,118
Vanguard STAR Funds Vanguard Total International Stock ETF472,53525,862
Gilead Sciences317,46525,721
Alibaba Group Holding Limited147,85325,536
United States Cellular Corporation130,32225,524
IShares Plc.438,66525,486
Consolidated Graphics314,78325,397
Mondelez International594,63824,178
Vanguard Scottsdale Funds Vanguard Russell 2000 ETF274,33724,144
General Electric Capital Corporation2,009,58524,055
Emerson Electric Company380,97423,940
NVIDIA Corporation132,68723,720
Vanguard Intermediate-Term Corporate Bond ETF278,87623,610
Ishares Income Trust Sector Index Fd508,50623,532
iShares NASDAQ Biotechnology Index Fund70,52123,525
QUALCOMM Incorporated451,62423,412
Russell Breweries Inc162,60822,746
Industrial Services of America315,30122,386
Federal Express Corporation99,16822,370
Oracle Corporation447,00421,613
Dominion Resources279,88221,531
IJJ Corp.145,09521,519
India Cement Ltd.140,64721,481
Consumer Portfolio Services392,83921,205
Enterprise Products Partners L.P.811,12221,146
Novartis AG244,84121,020
Celgene Corporation143,90320,984
Lowe's Companies260,35020,812
General Mills399,97820,703
Bowl America, Inc.525,68520,202
FVI Fondo Valores Inmobiliarios768,94820,123
Phillips 66217,11519,890
First Trust High Income Long Short Fund443,31519,827
IL2M International Corp.131,62619,649
PIMCO California Municipal Income Fund189,99519,342
Vanguard Energy Corporation126,64519,331
Vanguard Health Systems126,40619,249
MegaFon PJSC182,56019,118
iShares Gold Trust1,544,86019,017
Paychex315,67318,928
Raytheon Company100,12918,682
Colgate-Palmolive Company249,17818,153
The Blackstone Group L.P.540,72718,044
Financial Institutions, Inc.617,85817,794
Comcast Corporation462,07217,781
Vanguard Energy Corporation116,63617,727
Eli Lilly and Company206,32317,649
General Dynamics Corporation84,74217,421
Noble Group Ltd.292,18917,371
Selective Insurance Group320,46717,001
Citigroup Inc.229,17716,670
Pacer International595,30316,618
Islet Holdings, Inc.148,03116,597
Walgreens Boots Alliance214,69616,579
BlackRock Maryland Municipal Bond Trust352,53816,548
Nike318,56816,518
Italian Food & Beverage Corp92,31316,435
Corning Incorporated546,88016,363
Mastercard Incorporated113,60816,041
U.S. Bancorp294,02615,757
Clorox Company (The)117,47715,496
Stryker Corporation107,97415,335
iSoftStone Holdings Limited450,47215,208
Weyerhaeuser Company442,62315,062
Union Pacific Corporation129,14314,977
Waste Management190,88314,940
iShares MSCI All Country Asia ex Japan Index Fund182,58214,858
Select Asset Inc.164,33114,803
American Electric Power Company207,46414,572
iShares135,75614,461
John Hancock Preferred Income Fund III504,94214,396
The Kraft Heinz Company184,18714,284
Automatic Data Processing130,43314,259
Illinois Tool Works Inc.96,34314,255
Deutsche Bank Aktiengesellschaft457,14214,185
American Express Company154,12013,942
GlaxoSmithKline PLC339,70213,792
Federated Investors463,16613,756
Tesla Exploratin Services Inc.40,03713,657
PowerShares Global Steel Portfolio891,82013,404
USD Partners LP114,45313,325
iShares MSCI Emerging Markets Materials Sector Index Fund149,96813,311
Netflix72,69013,182
Investec Ltd.169,38413,173
Stanley Black & Decker87,07713,146
Pimco Corporate & Income Stategy Fund128,42213,040
Schlumberger N.V.186,78913,030
JPMorgan Chase Bank NA461,18713,015
Schindler Holding AG277,81413,002
Vanguard Energy Corporation138,74812,984
Crimson Wine Group Ltd.235,92912,801
BlackRock28,62912,800
General Motors Company311,13212,564
Deere & Company99,57512,506
Accenture plc.92,57112,504
Nuance Communications811,18912,428
Inchcape PLC245,79612,408
iShares FTSE EPRA/NAREIT Global Real Estate ex-U.S. Index Fund110,90512,296
European Real Estate Investment Trust Ltd.207,03412,076
Iren SPA77,47212,030
IBO (Listing Market - NYSE Amex Network B F)142,38112,024
Realty Income Corporation206,25311,796
Schweitzer-Mauduit International177,26111,712
Magellan Minerals Ltd.163,29811,604
Molina Healthcare Inc178,25711,515
Norfolk Souther Corporation86,02711,376
Deoleo SA85,81011,338
Sprott Resource Hldgs Inc.1,082,24411,299
Cummins Inc.66,90611,242
PayPal Holdings, Inc.174,42311,168
Intellisense Solutions Inc.76,14311,147
Subsea 7 SA ADR 105,02811,130
Sherwin-Williams Company (The)31,04211,114
Kinder Morgan574,73311,023
NoCopi Technologies, Inc.38,04010,945
PNC Financial Services Group80,85210,896
Becton, Dickinson & Co.55,26110,828
Esperance Minerals NL178,89610,812
Fidelity Bancorp265,32510,486
Victory Energy Corp.229,64210,472
Intertainment Media, Inc.664,87310,465
First Trust Exchange-Traded Fund II First Trust ISE Global Pla387,44610,389
Megacable Holdings SAB DE CV119,59010,317
Imerjn Inc.195,74810,247
Stark Naked Bobbers83,27910,203
Goldman Sachs MLP Income Opportunities Fund346,00410,038
Micron Technology254,1109,994
PSL Holdings Ltd179,3239,970
PowerShares DB Gold Fund523,9939,945
Aqua Bounty Technologies Inc299,3569,936
Enbridge Inc236,0069,874
PIMCO Dynamic Income Fund366,9989,866
Sysco Corporation180,9049,760
Nucor Corporation173,9579,749
FTE Networks, Inc.171,5839,420
iShares II plc.251,3709,409
Allergan45,5599,337
Analog Devices106,8029,203
Applied Materials176,1099,174
Texas Instruments Incorporated101,9069,135
Nordstrom193,4739,122
Goldman Sachs Group38,3399,094
British American Tobacco Industries144,2879,011
Royal Dutch Shell PLC148,1438,975
Brown-Forman Corporation Class B 164,1758,915
The Bank of Kentucky Financial Corp.166,8128,844
Fastenal Company191,9108,747
Nuveen Quality Preferred Income Fund 2836,5408,708
Prudential Financial81,8238,699
MSCI Inc139,7308,663
Nuveen AMT-Free Municipal Income Fund616,0608,653
Pimco California Municipal Income Fund II80,8218,628
Biogen Idec Inc.27,3098,551
HCP305,6058,505
Exelon Corporation225,2468,485
GSM Fund Group Inc169,5238,463
ProShares Trust ProShares UltraShort Nasdaq Biotechnology237,7368,442
Public Service Enterprise Group Incorporated182,5358,442
Dunkin' Brands Group158,9898,439
Target Corporation141,1908,332
INTERNATIONAL TEXTILE GROUP INC151,0998,250
First Trust Exchange-Traded Fund II First Trust BICK Index Fun410,2438,238
Aflac Incorporated100,3048,164
American Water Works99,3398,038
Inmarsat Plc.46,6528,018
American Tower Corporation (REIT)58,3507,975
Monotaro Co., Ltd.66,3987,956
Fidelity Nasdaq Composite Index Tracking Stock31,1537,949
INFORMATION ANALYSIS INC52,7887,914
Fifth Third Bancorp281,3927,873
International Paper Company135,9277,723
MetLife148,5967,720
U.S. Helicopter Corp.96,3307,695
PPG Industries70,7147,684
TJX Companies99,8147,359
Valero Energy Corporation95,5987,354
Archer172,7997,346
Cohen & Steers Dividend Majors Fund72,7707,324
Vodafone Group Plc254,7997,252
First Trust Advantaged Short Duration High Yield Bond Fund113,4957,247
Franco Nev Corp93,1777,219
Hydrocarb Energy Corporation230,0077,202
Aetna Inc.44,6107,093
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal373,0617,077
RIGHTSCORP, INC.112,7667,052
Pimco Corporate & Income Opportunity Fund418,8227,028
Yum! Brands95,2667,013
AmeriGas Partners155,3196,980
Ventas107,0106,970
Ishares III Plc136,9486,884
WisdomTree Trust WisdomTree China Dividend Ex-Financials Fund125,8596,884
Thermo Fisher Scientific Inc36,0396,818
Wake Forest Bancshares, Inc.107,6096,756
Annaly Capital Management Inc547,3376,672
Anheuser-Busch Inbev SA55,5526,627
Omega Healthcare Investors207,5036,621
Prospect Capital Corporation2,063,5416,621
CB Scientific Inc.46,2706,596
Hershey59,9296,542
Adobe Systems Incorporated43,1816,442
V.F. Corporation100,9646,418
Simmons First National Corporation110,2986,386
Legg Mason, Inc.208,8306,321
BROADVIEW INSTITUTE INC25,9726,299
Eaton Corporation81,4726,256
iShares FTSE EPRA/NAREIT Europe Index Fund56,7316,249
Allstate Corporation (The)67,9726,247
Hannon Armstrong Sustainable Infrastructure Capital, Inc.256,1696,243
T-Mobile US Inc99,4436,132
Constellation Brands Inc30,6286,108
PPlus Trust160,5276,092
The Cash Store Financial Services Inc.107,7456,063
Adriana Resources, Inc.24,3666,035
Williams-Sonoma120,9306,030
Vanguard Short Term Government Bond ETF120,3955,954
XBiotech Inc.68,5065,931
Brookfield Real Estate Services165,1845,892
Group Ten Metals Inc.230,9905,851
Scientific Metals Corp.196,5225,809
Southwest Airlines Company103,5825,799
Danaher Corporation87,7015,791
Xcel Energy Inc.122,0675,776
LIVEWIRE ERGOGENICS INC.246,1375,772
McKesson Corporation37,5245,764
Marriott International51,8805,720
Express Scripts Holding Company90,2015,712
First Trust Senior Floating Rate Income Fund II118,1265,693
IHI Corp34,0305,684
IFAN Financial, Inc.50,9655,672
Halliburton Company122,9255,658
T. Rowe Price Group61,5965,584
iShares II plc.41,9315,573
National Retail Properties133,3285,554
Gimv Nv Act.823,5445,551
J.M. Smucker Company (The)52,6065,520
DEMIRE DEUTSCHE MITTELSTAND REAL ESTATE AG127,5235,484
Ecolab Inc.42,6035,479
Calamos Convertible Opportunities and Income Fund475,1565,479
VANJIA CORP37,9735,443
Ultra Lithium Inc93,2845,407
Praxair38,4835,378
Capital One Financial Corp63,4065,368
Piedmont Office Realty Trust265,0515,343
Eaton Vance Limited Duration Income Fund377,1615,292
Indianapolis Power & Light Co.67,2835,207
McCormick & Company50,2735,160
Icon Media Holdings, Inc.71,0965,135
iShares47,5785,096
Cerner Corporation71,2405,081
Ares Capital Corporation309,2255,068
Flaherty & Crumrine Preferred Income Opportunity Fund Inc236,2015,055
Occidental Petroleum Corporation78,0635,012
CIGNA High Income Shares26,5724,967
iShares S&P Global Clean Energy Index Fund34,7424,946
Buckeye Technologies86,0944,907
GH Cap Inc.142,4144,902
Sanofi140,2394,900
Novo Nordisk A/S101,7184,898
TotalFinaElf91,5124,898
Peoples Financial Corporation269,7834,894
Cardinal Health72,9604,882
Hanesbrands Inc.197,5114,867
Lic Housing Finance Ltd.22,6784,853
COLUMBIA PROPERTY TRUST, INC.222,0624,834
NXP Semiconductors N.V.42,5904,817
Microchip Technology Incorporated53,5864,811
Salesforce.com Inc72,1144,804
Sirius XM Radio Inc.861,1754,754
Water Technologies International,Inc.165,5434,718
DTE Energy Company43,8744,710
Morgan Stanley97,6304,703
Kayne Anderson MLP Investment Company258,1194,690
Church & Dwight Company96,3254,667
Xenia Hotels & Resorts221,6454,666
Pembina Pipeline Corp.132,7654,660
ONEOK83,9574,652
Anthem United, Inc.24,3514,624
Kresta Holdings Ltd.81,2574,612
FIRST FIXTURES, INC.177,4684,579
USG People NV87,9994,560
Genuine Parts Company47,5964,553
KeyCorp241,5984,547
National Grid Transco Plc72,4864,546
priceline.com Incorporated12,4724,545
Material Sciences Corporation79,2154,499
Crown Equity Holdings, Inc.44,7634,475
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal68,1444,453
Global X Funds Global X NASDAQ 500 ETF258,7724,448
First Trust NASDAQ-100 Equal Weighted Index Fund79,7994,432
Diamond Bancshares, Inc.47,7244,415
Canadian National Railway Company53,0074,392
Time Warner Inc.42,8174,387
Johnson Electric Holdings Ltd.108,8024,384
PowerShares Global Wind Energy Portfolio195,7914,354
iShares MSCI ACWI Index Fund63,2484,353
Nuveen Dividend Advantage Municipal Fund 3282,7584,352
FIRST TRUST SENIOR FLOATING RATE 2022 TARGET TERM FUND64,4414,345
Rockwell Diamonds, Inc.24,3764,344
Pimco High Income Fund521,0774,335
Kreisler Manufacturing Corp.215,3674,320
Regions Financial Corporation282,7274,306
Hydrodynex, Inc.84,1304,286
FTS International, Inc.69,2804,286
CME Group Inc.31,4754,271
SunTrust Banks71,0074,244
Fluor Corporation100,4484,229
Etfs Commodity Securities Ltd.137,9214,221
Amex Exploration Inc.182,4834,190
Bank Of Montreal55,1414,175
UAN Power Corp.252,0434,154
Ameren Illinois Company71,6424,144
Freeport-McMoran Copper & Gold294,3854,133
Astrazeneca PLC121,7024,123
Main Street Capital Corporation103,1234,099
Royal Kpn N.V.52,8484,088
Gemini Group Global Corp.121,8264,076
Lincoln National Corporation54,7174,021
EEStor Corporation114,2623,996
Baxano Surgical, Inc.63,2993,972
Kite Realty Group Trust194,4743,938
Zimmer Holdings33,5523,929
Gabelli Equity Trust604,4873,929
HPC Acquisitions, Inc.195,0193,893
Sempra Energy33,9353,873
Xylem Inc.61,6533,861
AmerisourceBergen Corporation (Holding Co)46,1353,818
CubeSmart144,9333,762
Karelia Tobacco Co Inc60,2683,759
Vulcan Materials Company31,3803,753
Kratos Defense & Security Solutions286,1113,742
Yum China Holdings, Inc.93,2963,729
iShares MSCI Europe Financials Sector Index Fund30,1003,718
Valley National Bancorp306,2453,690
GAMCO Global Gold653,1383,664
Unilever NV62,0093,661
Interface83,9733,638
Hartford Financial Services Group65,1773,613
ETERNITY HEALTHCARE INC.207,7013,610
Hexcel Corporation62,4143,584
WisdomTree Middle East Dividend Fund95,9793,574
Digital Realty Trust30,1433,567
LyondellBasell Industries NV35,7893,545
Air Products and Chemicals23,4283,543
Nano-Textile Ltd96,4123,540
II-VI Incorporated85,9633,537
Williams Companies117,6173,530
State Street Corporation36,8613,522
Vanguard Scottsdale Funds Vanguard Russell 2000 Value ETF54,4293,519
1st Colonial Bancorp, Inc.72,8393,494
Ferrum Americas Mining, Inc.113,2933,493
iHeartMedia22,2533,480
Calamos Global Dynamic Income Fund384,3763,475
Marathon Petroleum Corporation61,5723,453
C.R. Bard10,7563,447
Cognizant Technology Solutions Corporation47,2153,425
Managed Duration Investment Grade Municipal Fund148,3453,424
VEREIT412,8743,422
Stargaze Entertainment Group Inc.21,8723,419
Aberdeen Asia-Pacific Income Fund Inc659,7083,404
Hancock Holding Company90,1683,391
Barclays Bank PLC1,350,9273,386
iShares MSCI ACWI ex US Index Fund69,9843,384
Edison International43,3583,346
Retail Properties of America254,7063,344
PIMCO Commercial Mortgage Securities Trust63,9303,337
Markel Corporation3,0983,309
Nuveen Arizona Dividend Advantage Municipal Fund235,9893,299
DoubleLine Income Solutions Fund155,2453,299
USG Corporation100,9293,295
Lamprell17,7983,293
Parker-Hannifin Corporation18,8143,293
International Bancshares Corporation81,3633,263
LPBP Inc158,1843,216
Harris Teeter Supermarkets24,4053,214
Zoetis50,2303,203
Schiff Nutrition International106,9103,193
Best Buy Co.56,0073,190
Wisdom International Corp.45,8293,184
ISHARES IV PLC28,8063,180
First Trust NASDAQ-100 Ex-Technology Sector Index Fund46,6283,178
Maxima Group, Inc.66,1483,156
Smart & Final Stores, Inc.21,1523,152
Apache Corporation68,6273,143
Envestnet32,1473,110
Power Efficiency Corp.104,3203,106
Entertainment Arts Research, Inc.44,4243,098
Eaton Vance Corporation62,4533,083
Simon Property Group19,0443,066
Intuitive Surgical2,9243,059
WGL Holdings Inc36,2123,049
Great Plains Energy Inc100,5213,046
Flowers Foods161,8073,044
Victory Square Technologies Inc69,4933,039
Janus Henderson Group60,1073,026
Palo Alto Networks20,9163,014
INTREXON CORP158,0893,005
Perrigo Company35,4743,003
Activision Blizzard46,4662,998
Cohen & Steers Closed-End Opportunity Fund225,9562,980
Alliant Energy Corporation71,6162,977
Hormel Foods Corporation91,6902,947
American Airlines Group61,2712,910
Manulife Financial Corp142,8652,899
Inca One Gold Corporation23,0192,872
Brookfield Infrastructure Partners LP66,4362,866
Potomac Bancshares, Inc.148,8812,864
National Health Investors36,9712,858
Exchange Income Corporation73,8702,857
AO Mosenergo27,8812,841
IDEXX Laboratories18,2572,839
ISC8 Inc.25,2282,837
Enterprise Bancorp Inc77,9942,832
Central Fund of Canada Limited222,6752,821
Teva Pharmaceutical Industries Ltd.160,1652,819
iShares25,3602,812
UBS AG110,2042,771
Fiserv21,3412,752
Doosan Heavy Industries & Construction Co., Ltd.64,3542,745
Nu Skin Enterprises44,6242,744
UAN Cultural & Creative Co., Ltd.58,0682,721
Union Equity, Inc.76,9082,715
Tekla Healthcare Opportunities Fund113,1252,709
Rockwell Collins20,7072,707
American States Water Company54,7212,695
Hasbro27,5912,695
PIMCO New York Municipal Income Fund III276,7422,693
US-Dadi Fertilizer Ind International Inc.44,8312,692
Guggenheim Strategic Opportunities Fund152,0042,655
Leggett & Platt55,5862,653
Banco Bilbao Viscaya Argentaria S.A.296,8042,647
Templeton Global Income Fund228,1822,640
Scholium Group PLC63,8252,625
Veeva Systems46,5292,625
CH Energy Group56,6082,622
ExactTarget280,2622,620
AmTrust Financial Services193,7822,608
Wynn Resorts17,5032,607
Pimco Global Stocksplus & Income Fund155,2522,596
Senior Housing Properties Trust132,7832,596
The Providence Service Corporation78,0402,595
Calamos Strategic Total Return Fund213,2512,587
Colony NorthStar Credit Real Estate, Inc.228,0442,575
CVB Financial Corporation106,4422,573
Albero Corp.18,8672,572
TPG Specialty Lending, Inc.144,3482,567
Huntington Bancshares Incorporated182,7232,551
Nuveen Dividend Advantage Municipal Fund241,2752,550
Pimco Income Opportunity Fund96,7062,548
AGNC Investment Corp.116,9352,535
eBay Inc.65,7602,529
Charles Schwab Corporation57,7492,526
Perpetual Energy Inc.93,8022,524
Editas Medicine, Inc.105,0292,522
B Communications Ltd.53,6922,514
Principal Real Estate Income Fund39,0742,514
UA Multimedia, Inc.166,7762,505
Marathon Oil Corporation184,5342,502
Edwards Lifesciences Corporation22,8722,500
Adams Express Company (The)163,9572,494
ProAssurance Corporation45,6052,492
Fidelity First Financial Corp.76,7232,487
VGambling Inc.18,4952,483
PACCAR Inc.34,2132,475
Evolva Holding AG111,7152,472
American International Group40,2302,470
Western Asset Middle Market Debt Fund Inc.95,7922,449
Charles River Laboratories International22,6762,449
Universal Display Corp18,9072,436
Dynex Capital334,5592,432
Lloyds Banking Group Plc663,2882,428
Pacific Gas & Electric Co.35,5482,420
LAS VEGAS RAILWAY EXPRESS, INC.37,6852,418
U.S. Stem Cell, Inc.39,6532,415
Avery Dennison Corporation24,4792,407
Schweiter Technologies AG Horgen71,5422,395
International Spirit & Beverage Group, Inc. 51,7712,394
Exchange Bankshares, Inc.120,4582,384
Blue Wolf Mongolia Holdings Corp.83,9452,380
ConAgra Foods70,3582,374
Exelixis97,8542,371
Nuvo Research Inc155,6952,368
Arkose Energy Corp.68,9162,363
Home Retail Group plc64,5232,358
Entergy Corporation30,8472,355
DLH Holdings Corp.361,5062,343
Seagate Technology.70,3602,334
OWENS-ILLINOIS GROUP INC79,0702,309
Anglo Am Plc Adr75,9622,302
Regeneron Pharmaceuticals5,1012,281
Orange SA138,5022,274
BHP Billiton Limited55,7942,261
CenturyLink118,1642,233
Republic Services33,7942,232
Blackrock Corporate High Yield Fund V Inc196,7772,224
Arconic89,2642,221
Fidelity National Information Services23,7652,219
Pentair32,4382,205
ISHARES VI PLC24,7972,204
Gramercy Capital Corp72,5432,194
iShares MSCI41,3362,170
Cedar Fair33,8342,169
AGIC Convertible & Income Fund304,6772,163
Helmerich & Payne41,4562,160
Banco Santander310,7102,156
First Trust NASDAQ ABA Community Bank Index Fund66,5612,155
Carnival Plc ADS33,2742,149
Berkshire Hills Bancorp55,1962,139
Cohen & Steers Total Return Realty Fund171,5732,138
Brinker International66,9662,134
Indofood Agri Resources Ltd.22,2512,131
Dell Technologies Inc.27,5402,126
EMERGING CTA PORTFOLIO LP43,2832,122
Bouygues 66,6002,121
McLaren Res Inc.20,5492,109
Healthcare Trust of America70,7612,109
Pan American Silver Corp.123,1402,100
Toyota Tsusho Corp.17,6252,100
Boston Scientific Corporation71,9692,099
Deutsche Bank AG (London Branch)165,1512,099
Advanced Visual Systems, Inc.21,1282,096
Otter Tail Corporation48,2942,094
Delta Air Lines Inc. (New)43,3692,091
Nuveen Municipal High Income Opportunity Fund203,6212,085
Dassault Aviation22,4582,072
Discover Financial Services32,0892,069
Reaves Utility Income Fund98,0292,063
Cheniere Energy45,7662,061
New York Community Bancorp Inc159,5802,057
Nemaura Medical Inc.54,7472,054
Cypress Semiconductor Corporation136,5362,051
Marsh & McLennan Companies24,3102,037
Nuveen Arizona Premium Income Municipal Fund143,1192,031
Tanger Factory Outlet Centers83,1312,030
Compass Minerals Intl Inc31,2782,030
iShares21,3132,024
M&T Bank Corporation12,5682,024
AGIC Convertible & Income Fund II322,2912,014
Darden Restaurants25,4002,001
Nuveen Massachusetts AMT-Free Municipal Income Fund90,2011,996
Bank of Nova Scotia (The)30,9971,992
POWERSHARES DB US DOLLAR INDEX BEARISH FUND128,6911,982
Eaton Vance Tax-Advantage Global Dividend Opp167,7461,956
America Movil109,9571,952
Fortune Brands Home & Security28,9151,944
Hologic71,2051,938
eUnits 2 Year U.S. Market Participation Trust51,9751,926
Thor Industries15,2701,923
Taiwan Semiconductor Manufacturing Company Limited51,1741,922
First Financial Bankshares42,3991,916
Royal Caribbean Cruises Ltd.16,1301,912
Therapy Cells, Inc.37,7071,908
Fulton Financial Corporation101,6571,906
PIMCO Income Strategy Fund124,5631,900
AMP Ltd.12,7471,893
Sun Life Financial Inc.47,3451,885
New York Community Bancorp100,8331,870
BlackRock Municipal Target Term Trust Inc. (The)82,3661,867
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal80,5551,866
Royce Value Trust117,8801,861
Swiss Helvetia Fund145,5401,858
Apollo Investment Corporation302,9861,851
Camden National Corporation42,3091,846
Louisiana-Pacific Corporation68,1281,845
Nuveen Real Asset Income and Growth Fund102,2431,840
Qorvo25,9731,836
Synchrony Financial59,0531,834
Tesco PLC28,9451,832
Nuveen Municipal High Income Opportunity Fund150,0451,832
CMG HOLDINGS GROUP, INC.5,9331,826
Devon Energy Corporation49,5941,821
Tiffany & Co.19,8021,817
Eaton Vance Tax-Managed Global Diversified Equity Income Fund118,6041,817
ONYX Pharmaceuticals8,4331,816
Ingersoll-Rand plc (Ireland)20,3691,816
Tyson Foods, Inc.25,6521,807
Coca Cola Icecek Sanayi As43,1841,797
Advanced Micro Devices140,6751,794
Blackrock Corporate High Yield Fund76,7821,794
Intuit Inc.12,6081,792
Nuveen Municipal Value Fund131,5171,790
Econocom Group SA64,8171,785
Harley-Davidson36,9031,779
Pimco New York Municipal Income Fund II35,0691,769
Arthur J. Gallagher & Co.28,6951,766
Paycom Software23,5591,766
CDK Global, Inc.27,9741,765
Newell Rubbermaid Inc.41,3251,763
Donaldson Company38,3411,761
Two Harbors Investments Corp174,7451,761
Western Asset Emerging Markets Income Fund20,3771,761
Dollar Tree20,1781,752
Hewlett Packard Enterprise Co119,0491,751
Shoprite Holdings Ltd.15,0141,749
Old Republic International Corporation88,7471,747
WD-40 Company15,5951,745
KKR Income Opportunities Fund97,3951,743
Fortive Corp24,5041,735
Calamos Dynamic Convertible & Income Fund84,0311,733
CNP Assurances SA59,1771,729
BLDRS Asia 50 ADR Index Fund41,0511,729
Putnam Municipal Opportunities Trust136,3501,722
Umpqua Holdings Corporation88,1591,720
Quest Management Inc.18,2891,713
Pinnacle Foods Inc29,8751,708
Mallinckrodt Plc45,6891,707
Eastman Chemical Company18,8271,704
Wachovia Corporation1,2931,700
Schuff International, Inc.30,7681,700
Calamos Global Total Return Fund126,2961,694
First Tractor Co. Ltd.40,4131,693
Vector Group Ltd.82,3661,686
Cantel Medical Corp.17,8571,682
Evolution Technology Resources Inc.97,5591,678
Tortoise Energy Infrastructure Corporation57,8371,675
Global Net Lease76,2361,669
Textron Inc.30,9661,668
Wheaton Precious Metals87,3211,667
Vanguard Scottsdale Funds Vanguard Russell 2000 Growth ETF24,2131,664
Twitter98,4511,661
Nuveen Preferred and Income Term Fund65,7301,655
Andeavor16,0231,653
Symantec Corporation50,3171,651
Legg Mason BW Global Income Opportunities Fund Inc.65,2981,639
First Sentry Bancshares Inc.35,5231,630
Apollo Global Management54,0131,626
Aareal Bank AG34,8511,625
Empire State Realty Trust, Inc.79,4301,624
iShares II plc.30,9491,624
Coach40,3261,624
Diamondback Energy16,5241,619
MPLX LP46,0251,611
EV Charging USA, Inc.107,6061,610
Portland General Electric Company35,2611,609
Cracker Barrel Old Country Store10,5791,604
Nearmap Ltd.31,8381,601
Sensata Technologies Holding N.V.32,9381,583
Willis Towers Watson10,2561,582
Singapore Post, Ltd.64,6321,579
Chimera Investment Corporation83,3591,577
United States Steel Corporation61,2851,573
National Fuel Gas Company27,7891,573
Equifax14,8331,572
CBS Corporation27,0491,569
Evans Brewing Co Inc.132,3031,566
Roper Technologies6,3981,557
Pacific Booker Minerals Inc.22,7951,555
Everett SpinCo, Inc.18,0901,554
Chesapeake Energy Corp.361,2461,553
Tri Continental Corporation60,4881,545
Carmax Mining Corp.20,3191,540
Terra Nitrogen Company34,1071,535
BlackRock Credit Allocation Income Trust I113,0151,534
Cott Corporation102,1301,533
Campbell Soup Company32,7191,532
Aspen Pharmacare Holdings plc10,4781,531
Westpac Banking Corporation60,7211,531
Community Bank System27,7071,531
United Bankshares41,1311,528
Barrick Gold Corporation94,6241,523
PIMCO Income Strategy Fund II141,8351,518
Suburban Propane Partners58,1791,518
DCT Industrial Trust Inc26,1661,516
Alliance Capital Management Holding L.P.62,2331,512
United Resource Holdings Group, Inc.10,8851,510
ISHARES V PLC27,0251,506
The RMR Group46,6571,504
NFJ Dividend112,1581,503
MGIC Investment Corporation119,8501,502
IPG Photonics Corporation8,0731,494
Smith (A.O.) Corporation25,1141,493
Rio Tinto31,4561,484
Westar Energy29,8981,483
HSBC Holdings plc29,9441,480
China Mobile (Hong Kong) Ltd.29,2241,478
OceanFirst Financial Corp.53,6121,474
CBIZ87,6931,473
The Hain Celestial Group35,4371,458
OGE Energy Corporation40,3861,455
Matador Resources Company53,5541,454
DXP Enterprises46,1181,452
Vertex Pharmaceuticals Incorporated9,5321,449
Square50,1991,446
IntercontinentalExchange21,0401,445
SCOTTS LIQUID GOLD INC14,8471,445
CA Inc.43,1891,442
Brookline Bancorp93,0521,442
MGM Growth Properties LLC44,1811,440
Nuveen Select Tax Free Income Portfolio II94,6701,437
Anadarko Petroleum Corporation29,1791,425
Pacific Sunwear of California, Inc.80,6111,405
ALLIANCEBERNSTEIN L.P.107,5431,403
Ambarella28,5211,398
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal37,4031,395
PAA Natural Gas Storage65,7811,394
Spirit Realty Capital, Inc.162,0841,389
Hancock Fabrics, Inc.63,2471,387
Alliance National Municipal Income Fund Inc99,3031,386
First Trust55,9711,384
CBRE Clarion Global Real Estate Income Fund175,0521,383
iShares FTSE China (HK Listed) Index Fund31,3661,381
Scana Corporation28,4351,379
NAVIENT CORP91,7851,379
Mascota Resources Corp35,3361,378
Xilinx19,4561,378
JetBlue Airways Corporation74,1591,374
Blackrock Municipal 2018 Term Trust91,4251,374
Mwana Africa Plc.21,3321,374
Cincinnati Financial Corporation17,8761,369
W.W. Grainger7,6081,367
Eagle Bancorp20,3591,365
Snap Inc93,7771,364
Colfax Corporation32,6331,359
JD.com Inc35,3551,351
CREDEX CORP12,0321,350
John Hancock Tax Advantaged Dividend Income Fund51,8551,341
Northern Trust Corporation14,5371,336
Hortonworks, Inc.78,6541,333
Legg Mason38,3021,332
Alaska Power & Telephone Co.17,4111,328
Hollywall Entertainment Inc.36,6571,319
Templeton Emerging Markets Fund79,9241,318
American Financial Group12,6831,312
Ironclad Performance Wear Corp33,7301,312
Steel Partners Holdings LP38,0471,311
Cintas Corporation9,0811,310
Vantage Goldfields Ltd,74,4881,306
Granada Gold Mine Inc.271,1601,304
Atmos Energy Corporation15,5381,303
Illumina6,5271,300
Chesapeake Utilities Corporation16,5651,296
Evermedia Group, Inc. (The)77,2501,294
United States Oil Fund, LP123,0271,283
DiMi Telematics International, Inc.19,3151,281
Kimco Realty Corporation65,4401,279
Tupras Turkiye Petrol Rafinerileri AS20,6351,276
John Hancock Pfd Income Fund II58,0761,272
Leidos Holdings, Inc.21,4811,272
PowerShares DB Precious Metals Fund33,4551,270
First Trust Energy Infrastructure Fund23,6631,270
PIMCO California Municipal Income Fund III101,0241,270
Vanguard Scottsdale Funds Vanguard Russell 1000 Growth ETF13,2081,244
Tableau Software16,5831,242
Adventure Gold, Inc.15,3431,239
Carlisle Companies Incorporated12,2621,230
Stericycle17,1671,230
Eaton Vance Enhanced Equity Income Fund II87,6831,229
Blackrock Municipal 2020 Term Trust78,4651,228
Labor Smart, Inc.8,1131,225
Western Asset/Claymore U.S. Treasury Inflation Prot Secs Fd125,7891,224
Humet-PBC North America, Inc.5,0181,223
Webster Ltd.23,2721,223
Cohn & Steers Inc57,6611,222
United Cannabis Corp.66,4391,215
Federal Realty Investment Trust9,7761,214
Cal-Maine Foods29,3631,207
Sun Communities14,0781,206
Nuveen Floating Rate Income Fund102,8761,205
Enbridge Energy75,0871,200
Maiden Holdings150,9281,200
Washington Trust Bancorp20,8911,196
Government Properties Income Trust63,3441,189
Medical Properties Trust90,5841,189
Macy's Inc54,4261,188
Western Union Company (The)61,5581,182
Hospitality Properites Trust41,4051,180
Orchid Island Capital115,8241,180
Canada Strategic Metals, Inc.40,6591,177
Avangrid, Inc.24,8021,176
D.R. Horton29,3851,173
Laredo Petroleum Holdings89,7241,160
Whirlpool Corporation6,2861,159
Motorola Solutions13,6251,156
Aecom Technology Corporation31,3971,156
Mylan Inc.36,7451,153
PowerShares Global Gold & Precious Metals Portfolio46,2661,152
MICRO IMAGING TECHNOLOGY, INC.15,8881,147
Shire plc7,4821,146
Expedition Mining Inc7,9561,145
Street Capital Group25,2681,139
Teleflex Incorporated4,7001,137
ETFS Precious Metals Basket Trust17,8141,128
Exchange Bank (Santa Rosa, CA)31,0251,128
Domino's Pizza Inc5,6711,126
ALAMOGORDO FINANCIAL CORP10,4691,124
Garmin Ltd.20,8181,124
Heico Corporation12,4881,122
Infineon Technologies AG 6,2661,118
Progressive Corporation (The)23,0691,117
Meridian Interstate Bancorp59,7831,115
Halozyme Therapeutics63,8461,109
iShares S&P Global Nuclear Index Fund32,5251,106
NCR Corporation29,4381,105
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal26,7371,104
South Jersey Industries31,8381,099
Jack Henry & Associates10,6941,099
Northwest Bancshares63,5681,098
Indianapolis Power & Light Co.33,4191,098
UBM Plc21,4451,096
athenahealth8,7941,094
Nuveen Energy MLP Total Return Fund90,6751,094
Charter Communications3,0021,091
Matica Enterprises Inc69,9671,083
Varian Medical Systems10,8181,082
Nuveen California Dividend Advantage Municipal Fund 272,4671,081
Expeditors International of Washington18,0231,079
Pinnacle West Capital Corporation12,7501,078
Blackrock Enhanced Equity Dividend Trust118,3491,073
DoubleLine Opportunistic Credit Fund44,5631,071
Pioneer Exploration, Inc.7,2601,071
Franklin Resources23,9741,067
Cullen/Frost Bankers11,2281,066
Mdu Res Group Inc40,9301,062
Dover Corporation11,5911,059
Alexion Pharmaceuticals7,5441,058
Eaton Vance Ohio Municipal Income Trust80,4901,054
Northern Offshore40,9591,053
HSBC Holdings plc39,8771,052
First Trust Exchange-Traded Fund VI First Trust NASDAQ Technol38,4071,051
Ishares Canadian Dex Universe Bond Index Fund8,8551,049
Polaris Futures Fund L.P.10,0091,047
Toll Brothers Inc.25,2151,046
Cohen & Steers Quality Income Realty Fund Inc82,9401,042
Canadian Imperial Bank of Commerce11,9011,042
TrustCo Bank Corp NY116,8311,040
JPMorgan Chase Bank NA17,9101,037
Cohen & Steers Infrastructure Fund45,0731,037
Check Point Software Technologies Ltd.9,0691,034
Lamb Weston Holdings, Inc.22,0371,033
Cable One, Inc.1,4151,022
Boston Properties8,2861,018
CatchMark Timber Trust, Inc.80,7281,018
Internap Network Services Corporation233,8331,017
Energy Revenue America, Inc.41,2501,017
Ramtron International Corporation19,7151,012
Suncor Energy Inc.28,7231,006
United Natural Foods24,0641,001
Ohio State Bancshares, Inc.33,006999
Ctrip.com International18,920998
Davis & Henderson In41,711998
Incyte Corporation8,548998
Bankshares Fayetteville Inc.761990
Visteon Corp.7,972987
Wendy's Company (The)62,789975
Honda Motor Company32,947974
Hingham Institution for Savings5,114973
The Hanover Insurance Group9,992969
Ulta Salon4,270965
Northern Empire Resources Corp.37,045959
Align Technology5,147959
Equity Residential14,550959
Sina Corporation8,353958
Spectra Energy Partners21,545956
Waterstone Financial49,021956
Leucadia National Corporation37,834955
Vectren Corporation14,491953
Calamos Convertible and High Income Fund79,976952
Molson Coors Brewing Company11,633950
Cognex Corporation8,566945
BorgWarner Inc.18,438945
ADAMANT DRI PROCESSING & MINERALS GROUP47,953942
Verisk Analytics11,304940
Global Technlogies Corp.42,477935
Golub Capital BDC49,687935
iShares FTSE Developed Small Cap ex-North America Index Fund16,626935
Gabelli Dividend41,599931
Wellesley Bancorp34,454930
Blackrock Municipal Income Quality Trust63,167928
Western Asset Managed High Income Fund58,856926
Putnam Master Intermediate Income Trust195,466925
Ionis Pharmaceuticals18,200923
Adient Ltd10,926918
Petrominerales Ltd7,999917
Sturm17,693915
Teladoc, Inc.27,574914
China Internet Cafe Holdings Group, Inc.16,033913
ABB Ltd36,907913
BSB Bancorp30,440912
STERLING CONSOLIDATED Corp16,498912
Stag Industrial33,184912
Adtalem Global Education25,392910
Vanguard Scottsdale Funds Vanguard Russell 1000 Value ETF17,224909
Western Asset Municipal Partners Fund39,592899
QUALITY CARE PROPERTIES, INC.40,435899
Broadridge Financial Solutions11,111898
Oritani Financial Corp.53,423898
YY Inc.10,348898
KSW Inc8,196891
Oil Optimization, Inc.34,172891
United States Cellular Corporation92,747890
Lincoln Electric Holdings9,704890
EDGEWELL PERSONAL CARE Co12,197888
GW Pharmaceuticals8,740887
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal17,661882
ClearBridge Energy MLP Fund Inc.59,231879
Energen Corporation15,978874
Quintiles Transnational Holdings Inc9,198874
Hawaiian Electric Industries25,866863
Gannett Co.95,937863
Rightmove Plc80,075862
Callon Petroleum Company76,589861
EQT Corporation13,183860
PVH Corp.6,807858
TIER REIT INC44,388857
STARWOOD PROPERTY TRUST39,338854
Armour Residential R31,726853
Agree Realty Corporation17,377853
Dthera Sciences19,393849
Michael Kors Holdings Limited17,696847
Community Svgs Bancorp Inc32,913842
The First Bancshares27,740841
TE Connectivity Ltd.10,130841
United Continental Holdings13,795840
Liberty Global4,418833
Juno Therapeutics, Inc.18,550832
Trans-Pacific Aerospace Company, Inc.16,819831
All Marketing Solutions Inc.12,926830
Omnicom Group Inc.11,159827
FireEye Inc49,309827
Alnylam Pharmaceuticals7,032826
PIMCO Municipal Income Fund III63,712825
Sappi Limited7,491821
Cooper Companies3,450818
Host Marriott Financial Trust44,260818
AK Steel Holding Corporation146,283818
Stewart Enterprises21,584815
Graco Inc.6,553811
American Housing Income Trust, Inc.12,261810
FNB United Corp.57,669809
Torchmark Corporation10,085808
J.B. Hunt Transport Services7,268807
IDACORP9,134803
ACNB Corporation28,941802
Hill-Rom Holdings Inc10,821801
Pitney Bowes Inc56,971798
Pioneer Municipal High Income Trust66,266797
Northeast Bancorp30,382795
Huntington Ingalls Industries3,476787
Comerica Incorporated10,326787
INC Research Holdings, Inc.15,026786
United Dominion Realty Trust20,561782
Pick n' Pay Stores Ltd.25,156779
Independent Bank Corporation10,390776
Nustar Energy L.P.19,038773
Equinix1,729772
Williams Creek Gold Ltd.19,647764
CoStar Group2,839762
India Fund28,346759
General Electric Capital Corporation21,032758
IGM Financial Inc.30,654757
Cheniere Energy Partners LP Holdings, LLC26,187755
Lexington Realty Trust73,806754
Cree26,641751
Covenant Transportation Group25,912751
Toro Company (The)12,073749
Connecticut Water Service12,635749
Nuveen Global Government Enhanced Income Fund56,667748
Trinity Industries23,402747
Tortoise MLP Fund41,173746
New York REIT, Inc.94,967745
Energizer Tennis Inc.16,156744
AutoNation15,681744
PowerShares Exchange-Traded Fund Trust II PowerShares S&P Smal24,486744
New York Community Bancorp17,658744
Prudential Global Short Duration High Yield Fund, Inc.49,762743
PCM, Inc.63,785742
Invesco Plc21,144741
Dollar General Corporation9,097737
Nuveen High Income 2020 Target Term Fund72,767736
Arista Networks, Inc.3,882736
Nuveen Real Estate Fund65,693732
LEAP TECHNOLOGY INC / DE4,219730
UNITED STATES BASKETBALL LEAGUE INC111,031729
MGE Energy Inc.11,273728
Xerox Corporation21,839727
Santeon Group Inc21,314727
Eaton Vance Tax-Advantaged Global Dividend Income Fund29,597727
CF Industries Holdings20,577724
Targa Resources15,274722
TCP Capital Corp.65,179720
Etfs Commodity Securities Ltd.22,848720
Lamar Advertising Company10,480718
Invesco Value Municipal Income Trust47,952717
Continental Resources18,521715
Cambria Africa PLC20,092714
Nuveen High Income December 2019 Target Term Fund70,892712
John Hancock Tax-Advantaged Global Shareholder Yield Fund77,208710
People's Bank of Commerce (Medford, OR)21,777707
First Busey Corporation22,531707
Martin Marietta Materials3,428707
Australian Pacific Coal Ltd.31,498707
Brown & Brown14,645706
Universal Corp.12,256702
Shaw Communications Inc.30,486701
Compass Biotechnologies Inc.39,378699
Alliance Creative Group, Inc.3,135695
Farmers National Banc Corp.46,122694
Sprott Resource Lending Corp.110,360693
Welbilt29,971691
Flexion Therapeutics28,565691
STMicroelectronics N.V.35,524690
Bausch Health Companies48,007688
WisdomTree Investments67,614688
iShares Oil Sands Index ETF11,709688
Koninklijke Philips Electronics16,656686
Loews Corporation14,309685
Icahn Enterprises L.P.12,492685
PulteGroup25,021684
Amplify Energy Corp.18,740683
LCNB Corporation32,624683
Autodesk6,062681
Commerce Bancshares11,793681
Prologis, Inc.10,721680
Nuveen Credit Strategies Income Fund79,804678
The Middleby Corporation5,249673
Mid-America Apartment Communities6,287672
Jacobs Engineering Group Inc.11,540672
Owens Corning Inc8,685672
John Hancock Preferred Income Fund17,926668
National-Oilwell Varco18,686668
Diebold29,059664
Dolan Company (The)13,357661
PIMCO New York Municipal Income Fund12,273660
Wheeler Real Estate Investment Trust29,730660
Yandex N.V.20,021660
CITIZENS FINANCIAL GROUP INC/RI17,406659
First Community Bancshares22,640659
First Trust Specialty Finance and Financial Opportunities Fund95,380654
Tanke, Inc.30,196654
The AES Corporation59,145652
Virtus Global Multi-Sector Income Fund35,958651
John Hancock Hedged Equity & Income Fund36,955651
Software AG4,448651
SEI Investments Company10,645650
Quanta Services17,400650
Stoneridge32,735648
Brown Forman Corporation11,638648
Dr Pepper Snapple Group7,311647
TriState Capital Holdings, Inc.28,190646
CornerWorld Corp.5,338644
Weibo6,497643
PowerShares DB Oil Fund72,964641
California Water Service Group Holding16,765640
EXACT Sciences Corporation13,573640
Power Amers Minerals Corp.14,496640
Barnes Group9,078639
Nabors Industries Ltd.78,700635
New England Realty Associates Limited Partnership9,186634
HCA Holdings7,966634
Gladstone Commercial Corporation28,449634
Blackrock California Municipal 2018 Term Trust43,095633
Blackrock MuniAssets Fund41,907632
Blackrock MuniVest Fund II54,844630
Balchem Corporation7,698626
Deutsche Telekom22,066625
Bioverativ Inc.10,934624
Sonoco Products Company12,360624
BioMarin Pharmaceutical Inc.27,458624
Cameco Corporation64,302622
PennantPark Floating Rate Capital Ltd.42,953622
William Demant Holdings30,901620
Moody's Corporation4,440618
PIMCO Flexible Credit Income Fund5,850617
First Trust/Aberdeen Global Opportunity Income Fund23,694617
Sierra Wireless28,551614
Telefonica Deutschland Holding AG38,693613
Axon Enterprise26,993612
Orbital Corporation Limited4,578610
Bespoke Tricyles, Inc.42,057609
mCig, Inc.38,455607
WesBanco14,780606
SiM Internal Test 477,628604
Century Bancorp7,521602
AvalonBay Communities3,373602
Jazz Pharmaceuticals plc4,119602
Okta, Inc.21,300601
Infinity Energy Resources, Inc.18,511600
TICC Capital Corp.165,284600
theScore Inc.18,140598
One Liberty Properties24,442595
Seeing Machines Ltd.13,905594
Patterson Companies15,364594
CASEY CONTAINER CORP5,419593
Brighthouse Financial, Inc.9,725591
Hercules Technology Growth Capital45,709590
Tahoe Resources111,929590
Lancaster Colony Corporation4,914590
Selective Insurance Group10,929589
Neogen Corporation7,581587
Graham Holdings1,004587
Multi-Strategy Growth & Income Fund19,591585
Franklin Templeton Limited Duration Income Trust48,733585
Aimmune Therapeutics, Inc.23,536583
Blackstone / GSO Strategic Credit Fund18,718581
Scudder High Income Trust13,632580
Copart16,687574
Nokia Corporation95,811573
Spartan Motors51,739572
Diamond Hill Investment Group2,678569
Olin Corporation16,483565
NewStar Financial21,882564
Insight Enterprises27,967562
iBrands Corp.13,455561
Jones Lang LaSalle Incorporated4,539561
Henry Schein6,838561
Telefonica SA52,024561
Marvell Technology Group Ltd.31,304560
Delphi Automotive plc5,676559
Eagle Energy Trust5,219557
Flow International Corporation13,075557
Nuveen Intermediate Duration Quality Municipal Term Fund41,498555
V Media Corp5,061553
Schawk15,685551
KBW Inc6,112550
Allegheny & Western Railway Co.22,954549
Electronic Arts Inc.4,633547
Invesco Van Kampen Pennsylvania Value Municipal Income Trust41,475544
Ameris Bancorp11,303543
SJW Corporation9,575542
lululemon athletica inc.8,679540
Tata Motors Ltd17,234539
Deutsche Euroshop AG9,938539
Putnam Premier Income Trust101,200538
Baldwin & Lyons23,829537
Rayonier Inc. REIT18,544536
FMB Equibanc, Inc.10,067536
ING Global Equity Dividend and Premium Opportunity Fund66,116536
Hess Midstream Partners LP11,419535
NICE-Systems Limited6,583535
Service Corporation International15,487534
Restaurant Brands International Inc.8,352534
Spirent Communications Plc.7,152534
Cara Therapeutics38,867532
Magna International9,955531
Monmouth Real Estate Investment Corporation32,786531
Wayfair Inc.7,882531
Western Asset Mortgage Defined Opportunity Fund Inc37,749528
3D Systems Corporation39,334527
Whitestone REIT40,310526
GGX Gold Corp.40,615526
IQE Plc19,435525
ConnectOne Bancorp21,338525
Pimco Municipal Income Fund II38,353524
Nuveen Massachusetts Premium Income Municipal Fund36,356523
Nuveen Build America Bond Opportunity Fund24,344523
Essex Property Trust2,059523
Credit Suisse Group33,034522
NorthStar Realty Europe Corp.40,673521
Global Telecom & Technology, Inc.8,627521
Mohawk Industries2,102520
BLACKROCK LTD DURATION INCOME TRUST32,178518
Limited Brands12,451518
1st Constitution Bancorp (NJ)28,477517
BlackRock Resources58,056516
Omega Protein Corporation30,955515
KLA-Tencor Corporation4,862515
MasTec11,044512
ONE Gas6,954512
Viacom Inc.18,327510
Planet Fitness18,884509
ResMed Inc.6,610509
UNITIL Corporation10,267508
Opko Health Inc74,061508
Cavium7,708508
Performance Sports Group7,362508
Quaker Chemical Corporation3,427507
Micro Focus International plc15,886507
Entegris17,537506
Gentex Corporation25,544506
TrueBlue22,467504
Barnes & Noble66,319504
Guggenheim Equal Weight Enhanced Equity Income Fund23,076501
Oshkosh Truck Corporation6,041499
Cleveland BioLabs69,508497
BlackRock Energy and Resources Trust36,230497
Gap16,768495
Nutanix, Inc.22,076494
BlackRock Kelso Capital Corporation65,545492
BlackRock Municipal Income Trust33,165492
Covanta Holding Corporation33,033491
Nuveen California Municipal Market Opportunity Fund46,609491
Blackrock Muni Intermediate Duration Fund Inc34,606490
Blackstone GSO Long Short Credit Income Fund53,661490
Global Payments Inc.5,154490
The Weir Group22,717490
ChemoCentryx6,431489
Advent Claymore Convertible Securities and Income Fund II30,095487
Tompkins Financial Corporation5,596482
Bioheart, Inc.3,981481
Triangle Capital Corporation33,642480
Centenera Mng Corp.4,944478
American Premium Water Corporation31,273477
Baker Hughes a GE Co13,024477
ANSYS3,868475
Bankwell Financial Group, Inc.12,806473
First Merchants Corporation11,015473
Integrated Research Ltd.9,370473
Tailored Brands32,732473
FINISAR CORP21,214470
Plug Power179,630469
Sunoco15,046468
Rite Aid Corporation238,529468
Ballroom Dance Fitness Inc11,319467
Allete6,044467
Lennar Corporation8,821466
Crane Company5,822466
DaVita Inc.7,809464
China Fund22,781464
Blackrock MuniYield Michigan Quality Fund32,396464
Redux Holdings, Inc.4,167462
U.S. Silica Holdings14,875462
Amicus Therapeutics30,561461
AutoZone774461
Uniti Financial Corp.31,388460
Newtek Business Services Inc.25,671457
Gabelli Utility Trust (The)64,283453
Putnam Managed Municipal Income Trust59,829452
Hubbell3,887451
Invesco Quality Municipal Income Trust35,117450
Neuberger Berman Real Estate Securities Income Fund79,856448
Waters Corporation2,494448
Brookfield Renewable Energy Partners L.P.13,334447
Citrix Systems5,806446
Duke Realty Corporation15,492446
Sandy Spring Bancorp10,748445
Ship Finance International Limited30,656445
CBL & Associates Properties53,090445
Syngenta AG4,827444
Argan6,597444
Apple Green Holding, Inc.23,502444
Silicom Ltd7,571443
SVB Financial Group2,364442
Banco de Guayaquil SA32,215441
Rogers Corporation3,308441
Blackrock Floating Rate Income Strategies Fund Inc30,645440
TCW Strategic Income Fund75,482438
Blackrock Global32,268438
EVN Energie-Versorgung Niederosterreich Aktiengesellschaft33,786438
Aegon NV75,330436
Andeavor Logistics8,712436
Tyler Technologies2,494435
Nuveen High Income November 2021 Target Term Fund43,175435
Canadian Pacific Railway Limited2,589435
First Trust Energy Income and Growth Fund30,337435
Landauer6,439433
TRIMOL GROUP INC6,382433
Western Asset High Yield Defined Opportunity Fund Inc.60,118433
Student Transportation Inc72,211432
First Century Fox Inc Class A16,328431
Guggenheim Build America Bonds Managed Duration Trust18,810429
Renasant Corporation9,981428
Sonic Corp.16,780427
Blackberry38,233427
Nuveen Build America Bond Fund19,389427
Wyndmoor Industries, Inc.4,039426
Workday4,028425
Oaktree Capital Group9,018424
CyberArk Software10,306423
Nuveen California Dividend Advantage Municipal Fund 324,918423
Bank of the Ozarks8,784422
Agnico Eagle Mines9,339422
Eaton Vance Risk-Managed Diversified Equity Income Fund44,686421
LaSalle Hotel Properties14,473420
VOXX International Corporation49,128420
Tootsie Roll Industries11,038419
FMC Corporation4,691419
Nuveen High Income December 2018 Target Term Fund41,410419
Lakeland Bancorp20,465417
PBF Energy15,114417
Salisbury Bancorp8,962417
ITT Educational Services, Inc.9,400416
First National Bankshares Corp.8,953415
Huntington Exploration Inc.9,941415
Bemis Company9,088414
Nuveen Intermediate Duration Municipal Term Fund31,219413
Flextronics International Ltd.24,847412
Nuveen Maryland Premium Income Municipal Fund32,094412
Texas Pacific Land Trust1,015410
Blackrock Floating Rate Income Strategies Fund II Inc28,922408
New Mountain Finance Corporation28,456406
Lazard Global Total Return and Income Fund8,948405
Blackstone GSO Senior Floating Rate Term Fund23,044405
PowerShares NASDAQ Internet Portfolio3,683405
FactSet Research Systems Inc.2,238403
Celanese Corporation3,866403
Invesco Municipal Premium Income Trust30,872402
Rogers Communications, Inc.7,802402
Foothills Exploration, Inc11,415402
RGC Resources Inc.13,985400
Air Lease Corporation9,381400
VSE Corporation7,019399
Canon Marketing Japan Inc.11,585398
Dreyfus Strategic Municipals45,268398
Highwoods Properties7,619397
Park National Corporation3,670396
Waste Connections5,654396
Washington Real Estate Investment Trust12,091396
Agrium Inc.3,684395
Essent Group9,744395
Morgan Stanley China A Share Fund Inc.16,530394
Eaton Vance Enhance Equity Income Fund26,385394
Nuveen California Investment Quality Municipal Fund24,993394
Eaton Vance Municipal Income Term Trust31,072394
Neuberger Berman Intermediate Municipal Fund Inc.25,647394
The Carlyle Group L.P.16,710394
Amphenol Corporation4,645393
MakeMyTrip Limited13,686393
ABIOMED2,324392
Clough Global Opportunities Fund35,084392
Golar LNG Limited17,354392
Eaton Vance Corporation26,709390
Washington Federal11,580390
Transdigm Group Incorporated1,520389
DEWEY ELECTRONICS CORP5,303387
BP Prudhoe Bay Royalty Trust17,215386
STATIONDIGITAL CORP19,121384
GasLog Partners16,528384
Republic First Bancorp41,259382
Transmontaigne Partners L.P.8,953382
Royal Boskalis Westminster NV4,411380
Pinnacle Financial Partners5,659379
Norwegian Cruise Line Holdings Ltd.7,020379
Universal Health Realty Income Trust5,009378
Martin Midstream Partners L.P.24,263377
Silicon Motion Technology Corporation7,846377
Cathay Pacific Airways, Ltd.9,363376
iRobot Corporation4,877376
Aaron's8,587375
Commercial Metals Company19,685375
Weight Watchers International Inc8,598374
eWELLNESS HEALTHCARE Corp4,346373
Solar Capital Ltd.17,210372
Sabra Healthcare REIT16,932372
RBB Bancorp16,144370
WestRock6,515370
iShares FTSE EPRA/NAREIT North America Index Fund7,486369
RUBICON PROJECT, INC.94,820369
MFS Government Markets Income Trust65,832369
Worthington Energy, Inc.7,993368
Invesco Van Kampen Advantage Municipal Income Trust II31,898367
AptarGroup4,238366
Natixis8,075365
Carolina Trust Bank10,144364
Versum Materials, Inc.9,377364
Socket Mobile, Inc.6,520363
BlackRock 2022 Global Income Opportunity Trust29,301362
Terramin Australia Ltd.9,714362
Core Laboratories N.V.3,669362
Kala Pharmaceuticals, Inc.15,804361
Citizens & Northern Corp14,692361
Nuveen Select Tax Free Income Portfolio III24,198361
International Hi-Tech Industries Inc.2,529361
Blackrock Corporate High Yield Fund III10,273360
Fundthatcompany3,512360
THERAPEUTIC SOLUTIONS INTERNATIONAL, INC.39,982360
Fiat20,109360
Cardiovascular Systems12,688357
LMP Capital and Income Fund Inc.24,424355
Gamestop Corporation17,164355
Healthcare Services Group6,554354
Sabine Royalty Trust8,678354
The York Water Company10,447354
Eaton Vance Municipal Income Trust17,255353
Forest City Realty Trust, Inc.13,760351
Madison Ventures Inc.1,636350
Greenlight Reinsurance16,178350
2U, Inc.6,243350
Sarepta Therapeutics7,714350
Petroleo Brasileiro S.A.- Petrobras34,423346
Mettler-Toledo International550344
ServiceNow2,928344
Arris Group Inc12,053343
LTC Properties7,293343
Ryanair Holdings Plc3,244342
Akamai Technologies7,028342
Avista Corporation6,608342
Kayne Anderson Energy Total Return Fund30,644341
Shell Midstream Partners, L.P.12,254341
Novavax298,539340
Semgroup Corporation11,826340
Hyde Park Acquisition Corp. II17,668339
ZIOPHARM Oncology Inc55,206339
Nuveen New Jersey Dividend Advantage Municipal Fund25,326338
Maximus5,235338
New Ulm Telecom, Inc.3,828338
Western Asset Middle Market Income Fund Inc.24,408338
Blackrock Debt Strategies Fund28,813336
Arch Capital Group Ltd.3,413336
Apollo Senior Floating Rate Fund Inc.18,572336
East West Bancorp5,617336
NewMarket Corporation786335
American Realty Investors8,680335
Beacon Roofing Supply6,513334
AGIC Equity & Convertible Income Fund16,126334
Provident Financial Plc.14,375333
Bank of Hawaii Corporation3,984332
Patterson-UTI Energy15,804331
E*TRADE Financial Corporation7,567330
Wright Express Corporation4,951330
TD Ameritrade Holding Corporation6,760330
The Ensign Group14,602330
BofI Holding11,545329
Seattle Genetics6,042329
PAREXEL International Corporation3,731329
Western Gas Partners6,422329
Harsco Corporation15,737329
Tekla World Healthcare Fund22,578329
LCI Industries2,818327
PetMed Express9,870327
Vornado Realty Trust4,236326
First Trust NASDAQ-100-Technology Sector Index Fund11,663325
Penns Woods Bancorp6,996325
TDC A/S9,604325
VALE S.A.32,293325
Cypress Sharpridge Investments Inc37,539324
Allegion PLC 3,748324
The NASDAQ OMX Group4,163323
Investors Bancorp23,658323
Union Bankshares6,670323
Ferrellgas Partners62,853323
FleetCor Technologies2,083322
Wintrust Financial Corporation4,118322
First American Minnesota Municipal Income Fund II6,436322
WPP plc3,457321
Dynagas LNG Partners22,876319
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index 6,806319
Bassett Furniture Industries8,472319
Zebra Technologies Corporation2,941319
CareTrust REIT, Inc.16,710318
Brandywine Realty Tr18,154318
Dun & Bradstreet Corporation (The)2,719317
Array BioPharma Inc.25,805317
ENSCO plc53,167317
CIENA Corporation14,422317
Raymond James Financial3,755317
Blackrock MuniYield Quality Fund20,461316
CleanPath Resources Corp.5,566316
Fresenius Medical Care Corporation6,452315
LeMaitre Vascular8,422315
VOYA INSURANCE & ANNUITY CO.60,135315
Boulder Energy Ltd.30,826314
Noble Energy Inc.11,082314
Lexicon Pharmaceuticals25,567314
Live Nation Entertainment7,180313
Greif Bros. Corporation5,355313
MercadoLibre1,199310
BlackRock Science & Technology Trust12,612308
Thomson Reuters Corp6,710308
Dorchester Minerals20,370307
Fiduciary/Claymore MLP Opportunity Fund23,656306
Epigenomics Ag Berli12,129305
Consolidated Communications Holdings15,980305
CyrusOne5,183305
NEW GOLD INC.81,987304
BCSB Bancorp29,405304
UBS AG13,780303
Ollie6,532303
TWILIO INC10,118302
Marriot Vacations Worldwide Corporation2,418301
HUBSPOT INC3,585301
BC Moly Ltd.2,619300
New York Mortgage Trust48,776300
United Therapeutics Corporation2,559300
Pioneer High Income Trust29,870299
Tallgrass Energy Partners, LP6,226298
Lattice Inc.10,493298
PacWest Bancorp5,900298
Columbia Banking System7,052297
POSCO4,283297
CBOE Holdings2,753296
Prudential Short Duration High Yield Fund19,386296
Vail Resorts1,292295
Select Income REIT12,570294
Delaware Investments Minnesota Municipal Income Fund II20,600294
Cirrus Logic5,495293
Informa20,025292
TEGNA21,940292
Calgon Carbon Corporation13,654292
Race World International, Inc.2,622290
Eaton Vance Short Diversified Income Fund20,290289
ASML Holding N.V.1,690289
Ballard Power Systems61,740289
Land Securities Group Plc21,800289
db x-trackers Sicav7,107288
ING Group15,609288
Fairmount Bancorp Inc.60,225288
STOCK BUILDING SUPPLY HOLDINGS, INC.7,561287
Sprouts Farmers Market Inc15,273287
Tetra Technologies6,176287
Pandora Media37,202286
Invesco Van Kampen Dynamic Credit Opportunities Fund20,909286
Community Bank of Santa Maria (CA)2,503285
Koldeck Inc19,603285
Kite Pharma, Inc.1,586285
iShares S&P India Nifty 50 Index Fund8,358285
Nuveen Core Equity Alpha Fund18,286284
Physicians Realty Trust15,958283
Victory Resources Corp.6,380283
First Trust Active Dividend Income Fund14,669282
Genworth Financial Inc73,215282
Blackrock MuniYield Fund18,714282
Global Partners LP16,172281
Intellia Therapeutics, Inc.11,296281
MKS Instruments2,975281
iShares S&P GSCI Commodity-Indexed Trust18,858281
Vanc Pharmaceuticals, Inc.21,987281
INVESCO MORTGAGE CAPITAL INC16,336280
Westinghouse Air Brake Technologies Corporation3,689279
NEVRO CORP3,066279
iShares MSCI ACWI ex US Financials Sector Index Fund3,316278
Blackrock Core Bond Trust19,684277
Arrow Electronics15,113276
Huntsman Corporation10,053276
CenterState Banks10,283276
Astoria Financial Corporation12,778275
ETFS Platinum Trust3,148275
Flaherty & Crumrine Dynamic Preferred & Income Fund Inc22,260273
Nordson Corporation2,300273
Enstar Group Limited1,230273
Watts Water Technologies3,948273
The Kroger Company13,019271
Sodexo 6,841271
InterDigital3,680271
Oak Valley Bancorp (CA)16,073270
Global X NASDAQ China Technology ETF26,247270
UBS AG (London Branch)15,724270
Credit Suisse High Yield Bond Fund93,459269
Etfs Commodity Securities Ltd.16,540269
Nuveen Michigan Quality Income Municipal Fund19,509267
Morgan Stanley14,568267
Dominion Resources Black Warrior Trust8,322266
Alamos Gold Inc. New39,201265
H. B. Fuller Company4,539264
Range Energy Resources, Inc.13,511264
Deutsche Bank Aktiengesellschaft17,351263
Total Energy Services Inc.4,020263
City Telecom (H.K.) Limited19,097263
Buffalo Wild Wings2,481262
Dick's Sporting Goods Inc9,706262
Pacific Continental Corporation (Ore)9,705262
West Pharmaceutical Services2,711261
Skechers U.S.A.10,382260
BLACKROCK INTERNATIONAL39,664260
Lumber Liquidators Holdings6,681260
Smith & Nephew SNATS7,118259
Alexander's5,591259
NorthWestern Corporation4,526258
EMCOR Group3,697257
The Cheesecake Factory Incorporated6,111257
Spark Therapeutics2,884257
BlackRock Income Trust Inc. (The)40,499254
Streamtrack, Inc.1,765254
Science Applications International Corp 3,785253
LKQ Corporation7,035253
Guggenheim Credit Allocation Fund10,915253
Deutsche Bank AG28,216253
Star Gas Partners22,230252
Immunomedics18,000252
RMR Industrials, Inc.13,064252
Global X Funds Global X Social Media Index ETF8,016252
GATX Corporation4,075251
Hecla Mining Company49,967251
Cohen & Steers Select Preferred and Income Fund8,889251
Stratasys10,828250
Elbit Systems Ltd.1,691249
Nuveen California Dividend Advantage Municipal Fund21,088249
Fidelity National Financial5,230248
ESCO Technologies Inc.4,125247
Invesco Van Kampen California Value Municipal Income Trust18,469247
Nuveen Global High Income Fund14,193247
Healthcare Realty Trust Incorporated7,595246
Alexandria Real Estate Equities2,067246
Aeolus Pharmaceuticals, Inc.17,166245
DENTSPLY International Inc.4,097245
Cabot Corporation4,395245
Extra Space Storage Inc3,067245
Cinemark Holdings Inc6,748244
Sprott Resource29,691244
Western Lucrative Enterprises, Inc.31,396243
Simpson Manufacturing Company4,947243
Boston Beer Company1,551242
EastGroup Properties2,743242
CPI Card Group Inc.203,869241
Masimo Corporation2,787241
NexPoint Credit Stategies Fund10,393240
Clovis Oncology2,903239
Helios Advantage Income Fund9,028239
CAM Group, Inc.4,873239
CENTER COAST MLP & INFRASTRUCTURE FUND22,634239
Tenneco Automotive3,936239
Kemper Corporation4,510239
MainStay DefinedTerm Municipal Opportunities Fund11,882238
Yamana Gold Inc.89,834238
Coca-Cola Bottling Co. Consolidated1,105238
AdvanSix Inc.5,956237
CONDUENT Inc15,112237
HD Supply Holdings, Inc.6,543236
TC PipeLines4,520236
Firstrand Limited2,258236
Ashland Inc.3,593235
Level 3 Communications4,388234
Rollins5,048233
Coty Inc14,077233
iShares4,263233
DBV Technologies5,500233
F5 Networks1,929233
Acacia Communications, Inc.4,930232
AxoGen, Inc.12,000232
Pebblebrook Hotel Trust6,430232
Comverse, Inc.8,338232
United Bank for Africa Plc5,805232
Watsco1,439232
Matson8,226232
ASA Gold and Precious Metals Limited19,350230
PB Bancorp, Inc.21,932230
IDEX Corporation1,893230
Ryder System2,717230
Xponential, Inc.3,396230
Eaton Vance New York Municipal Income Trust17,800230
Unique Pizza & Subs Corp.27,077229
Qualys4,398228
China Natural Gas, Inc.3,014228
Alon USA Partners19,778228
Gartner1,834228
Spirit Aerosystems Holdings2,937228
Nuveen S&P 500 Dynamic Overwrite Fund25,587228
BlackRock Investment Quality Municipal Trust Inc. (The)15,178227
VALVOLINE INC9,665227
Prudential Public Limited Company4,743227
Blackrock Enhanced Government Fund14,527227
Fortis6,347227
BIO-key International79,130226
Frontier Oilfield Services, Inc.19,178226
Ligand Pharmaceuticals Incorporated1,658226
APPLIED OPTOELECTRONICS, INC.3,497226
Seacoast Banking Corporation of Florida9,467226
VeriSign2,128226
Radiant Creations Group, Inc.12,039225
Whiting Petroleum Corporation40,983224
San Juan Basin Royalty Trust28,430223
Blackrock MuniYield California Fund14,429223
Lakeland Financial Corporation4,569223
Cadence Design Systems5,640223
Keysight Technologies, Inc.5,364223
TESARO1,722222
Fly Leasing Limited15,700220
KB Financial Group Inc4,472219
Nabriva Therapeutics26,760219
BioCryst Pharmaceuticals41,655218
Cavco Industries1,478218
De La Rue PLC 3,964218
Black Hills Corporation3,167218
COLLEGIUM PHARMACEUTICAL, INC20,800218
Belmond15,959218
Liberty All-Star Equity Fund35,942217
Control47,350217
U.S. NeuroSurgical, Inc.2,848217
BHP Billiton plc6,130217
ICICI Bank Limited25,321217
GoPro, Inc.19,590216
MFS Multimarket Income Trust34,647216
Sony Corp Ord5,774216
Consolidated Plen Tech Electronics, Inc.12,760216
Alkermes plc4,246216
Nuveen Virginia Premium Income Municipal Fund16,331215
Massachusetts Health and Education Tax-Exempt Trust45,251215
Choice Hotels International3,347214
ClearBridge Energy MLP Total Return Fund Inc.16,822214
ECA Marcellus Trust I18,104213
American Campus Communities Inc4,822213
WESCO International3,632212
CDW Corp3,209212
Newfield Exploration Company7,141212
Weingarten Realty Investors6,643211
Splunk Inc.3,170211
Nuveen Enhanced Municipal Value Fund14,352211
Eaton Vance Floating-Rate Income Plus Fund12,627210
Flaherty & Crumrine/Claymore Total Return Fund Inc7,912210
First West Virginia Bancorp, Inc.12,611210
Liberty Property Trust5,095209
Tennant Company3,162209
Heemskirk Consolidated Ltd.8,085209
ICON plc1,834209
Depomed45,723209
Voya SENIOR INCOME FUND31,507208
Northrim BanCorp Inc5,922207
Shake Shack6,221207
MSA Safety2,593206
Western Asset Global Corporate Defined Opportunity Fund Inc.19,634206
RenaissanceRe Holdings Ltd.1,526206
Concho Resources Inc.1,565206
SodaStream International Ltd.3,100206
Boise Cascade Holdings LLC5,862205
Schnitzer Steel Industries7,272205
Invesco Municipal Income Opportunities Trust25,965205
Imperial Oil Limited6,376204
JetPay Corp110,063204
Capitol Federal Financial13,866204
Myriad Interactive Media, Inc.5,610203
BlackRock Municipal Income Investment Trust13,364203
Fourlis Holding SA8,149203
PS Business Parks1,518203
Horizon Pharma16,013203
CBRE Group5,347203
Deutsche Bk Cap Fdg Tr X9,732202
Alpine Total Dynamic Dividend Fund22,452202
Lithium Americas Corp.5,375201
Source Capital5,009201
Aberdeen Australia Equity Fund Inc32,407201
Brocade Communications Systems16,830201
Penske Automotive Group4,201200
Royal Alliance Ventures Corp.7,781200
Dex One Corporation4,082200
Duff & Phelps Utilities Income21,555199
Neuberger Berman High Yield Strategies Fund16,357199
Allscripts Healthcare Solutions13,925198
MSB Financial Corp.10,981196
Nuveen Short Duration Credit Opportunities Fund11,281196
Clean Energy Fuels Corp.78,491195
Western Asset/Claymore U.S Treasury Inflation Prot Secs Fd 216,719193
Energous Corp15,215193
CLEARBRIDGE AMERICAN ENERGY MLP FUND INC.22,457192
Neogenomics Inc.17,200191
MFS Charter Income Trust21,987191
Teekay Corporation21,310190
Cemex S.A.B. de C.V.20,893190
Fidus Investment Corporation11,798190
Meridian Bioscience Inc.13,082187
Blackrock Municipal Bond Trust12,028187
Blackrock MuniEnhanced Fund15,713187
Weatherford International48,030185
MFS Municipal Income Trust25,564184
Western Asset Global High Income Fund Inc17,911184
Hopefluent Group Holdings Ltd10,385184
America First Mortgage Investments30,300183
Peregrine Diamonds Ltd.57,919182
Blackrock MuniYield New Jersey Quality Fund12,558181
Blackrock Gold Corp13,043180
Blackrock MuniYield California Insured Fund13,679180
Landec Corporation13,789179
Seaspan Corp.24,869176
MFS California Insured Municipal Trust14,157175
Nuveen Minnesota Municipal Income Fund11,445175
THC Biomed International Ltd.10,572174
Abercrombie & Fitch Company12,036174
Antares Pharma53,673174
Ideal Power67,363174
MUELLER WATER PRODUCTS13,547173
BlackRock Municipal Income Trust II11,321172
Boston Private Financial Holdings10,365172
Nuveen California Select Quality Municipal Fund12,513172
BioTime60,091171
Boardwalk Pipeline Partners L.P.11,612171
NAPCO Security Technologies17,608171
MFS Intermediate Income Trust39,817170
American Software14,767168
Sangamo BioSciences11,193168
Pioneer Municipal High Income Advantage Trust14,435167
Alpine Global Premier Properties Fund24,856165
Nuveen Pennsylvania Investment Quality Municipal Fund12,158165
Calumet Specialty Products Partners19,579163
Gladstone Capital Corporation17,024162
Noble Corporation35,294162
Medley Capital Corporation27,024161
Westport Innovations Inc49,309161
Peoples Insurance Company Group China10,848159
Photronics39,884159
Morgan Stanley Emerging Markets Debt Fund15,730158
Nimtech Corp.15,341158
Blackrock New York Municipal Income Quality Trust11,700157
Companhia de Bebidas das Americas - AmBev23,764157
Dreyfus High Yield Strategies Fund43,919155
Ladder Capital11,131153
Golden Minerals Company318,571153
Geron Corporation69,826152
Akoustis Technologies, Inc.23,025150
Cornerstone Bancshares10,172149
Rada Electronics Industries Limited43,818149
PROGRESSIVE GREEN SOLUTIONS, INC.147,000149
Capstead Mortgage Corporation15,295148
Alliance California Municipal Income Fund Inc10,700148
Ultra Petroleum Corp.16,945147
SeaSpine Holdings Corp12,973146
Hi-Crush Partners LP15,095143
BELLICUM PHARMACEUTICALS, INC12,300142
CVD Equipment Corporation12,778141
Himax Technologies12,767140
Northern Dynasty Minerals77,066139
Cenovus Energy Inc13,863139
PennantPark Investment Corporation18,317138
WPX Energy11,930137
BIO-PATH HOLDINGS INC379,398137
Western Asset High Income Fund II Inc.12,508136
Tortoise Energy Independence Fund10,020134
Gabelli Multi-Media Trust Inc. (The)13,070132
Royce Micro-Cap Trust13,816130
Voyager Therapeutics, Inc.11,092128
Invesco Van Kampen Senior Income Trust10,720128
Gladstone Capital Corporation13,429128
Bank Mutual Corporation12,596128
Arotech Corporation30,453128
WindStream Technologies, Inc.71,176126
Ericsson21,966126
First Majestic Silver Corp.18,238125
Durect Corporation70,775125
Western Asset High Income Opportunity Fund24,134124
Idera Pharmaceuticals54,700122
Western Asset Bond Fund10,851122
Independence Holding Company11,762120
Wells Fargo Advantage Global Dividend Opportunity Fund19,131120
ImmunoGen15,589119
AIRGAIN INC13,027118
NGL ENERGY PARTNERS LP10,215118
Blackrock Capital and Income Strategies Fund Inc116,000117
Amber Group Inc.14,825114
Ocera100,000114
Cohen & Steers Global Income Builder11,680113
Enerplus Corporation11,371112
Viavi Solutions11,781111
Invesco Van Kampen High Income Corporate Bond Fund24,706111
Polymet Mining Corp.172,336105
The Gabelli Healthcare & Wellness Trust10,889105
New America High Income Fund10,384103
J CREW GROUP INC.26,254100
Evoke Pharma Inc30,062100
Innodata Inc.66,513100
Zynga Inc.25,29096
Barnes & Noble Education, Inc.14,70496
Amarin Corporation PLC27,21695
ViewRay, Inc.16,41395
Putnam High Income Bond Fund10,46393
McDermott International12,69492
Dreyfus Municipal Bond Infrastructure Fund, Inc.10,87792
Inovio Pharmaceuticals14,21090
Summer Infant46,30188
Nordic Investment Bank16,48888
Severn Bancorp Inc12,35887
Community Health Systems11,22086
Revolution Lighting Technologies, Inc.13,12985
Energy Recovery10,67584
Novagold Resources Inc.19,97282
MILESTONE SCIENTIFIC INC.65,01081
StoneMor Partners L.P.12,04179
Fuel Performance Solutions, Inc.45,25479
OHA Investment Corporation62,47878
Keryx Biopharmaceuticals10,93478
Fusion-io28,30477
Glu Mobile Inc.20,10076
Eaton Vance Senior Income Trust11,12374
Fitbit10,55273
Synergy Pharmaceuticals25,33473
Southwest Iowa Renewable Energy, LLC11,84772
MannKind Corp.32,77971
Avon Products29,78469
Celadon Group10,08468
Lam Research Corporation22,00067
Camtek Ltd.12,90066
Precision Drilling Corporation20,68665
Kinross Gold Corporation14,78363
Calix12,55063
Champions Oncology, Inc.16,76762
BioLineRx Ltd.55,00062
Tuesday Morning Corp.19,05061
Catalyst Pharmaceutical Partners23,81560
On Track Innovations Ltd42,74859
Navios Maritime Partners LP28,50858
Applied DNA Sciences Inc.19,69457
AzurRx BioPharma, Inc.14,24757
Cloud Peak Energy Inc15,36456
Capital Product Partners L.P.15,65755
Atlas Air Worldwide Holdings45,00054
22nd Century Group, Inc.19,27753
Pengrowth Energy Corporation50,01652
Advaxis, Inc.12,15551
Eldorado Gold Corporation22,66650
Golden Star Resources64,36949
Anavex Life Sciences Corp.11,47548
BRAINSTORM CELL THERAPEUTICS INC.11,26646
Athersys22,50046
Lifevantage Corporation10,85346
Zion Oil & Gas Inc13,25145
Pluristem Therapeutics29,51645
TRANSENTERIX INC.29,93043
Denbury Resources32,22643
Fuel Tech42,21543
Cempra13,12343
Globalstar25,68842
Bovie Medical Corporation11,90040
ORGANOVO HOLDINGS, INC.17,96640
Micronet Enertec Technologies10,00038
Och-Ziff Capital Management Group LLC11,56937
Celldex Therapeutics12,18835
Energy Focus, Inc.12,77535
Tanzanian Royalty Exploration Corporation102,56533
Approach Resources Inc.13,20633
Abraxas Petroleum Corporation17,57933
BioScrip11,30031
Anite PLC29,00031
Atlantic Coal PLC12,47531
Moleculin Biotech, Inc.12,70030
Obsidian Enterprises, Inc.28,11230
Liberty Media Corporation24,00029
Synacor10,70029
STRATA Skin Sciences15,75528
M/I Homes27,00027
Apollo Commercial Real Estate Finance25,00027
INTELLINETICS, INC.19,00027
Redwood Trust26,00026
iPass Inc.38,73826
Ryland Group27,00026
KB Home24,00025
Encore Capital Group Inc25,00025
Parker Drilling Company21,41024
Micronic Laser23,00024
NANOVIRICIDES, INC.20,64124
Newalta23,00024
ProPhase Labs11,00024
HTG MOLECULAR DIAGNOSTICS, INC13,50323
Perion Network Ltd19,75023
Taseko Mines Limited12,20523
ADDvantage Technologies Group16,64523
Huron Consulting Group Inc.25,00023
Hugoton Royalty Trust10,56220
Neovasc11,90020
Netlist27,50020
Illumination Amer Inc17,00019
Helix Energy Solutions Group18,00018
Chartwell Seniors Hs17,00017
Sandridge Energy, Inc.12,91217
Inseego Corp11,00617
LiqTech International, Inc.42,00016
Uranium Energy Corp.10,78115
Teva Pharmaceutical Industries Limited17,00015
Synthetic Biologics14,53314
Navidea Biopharmaceuticals30,58713
RPM International Inc.11,00013
Verint Systems Inc.13,00013
Lightbridge Corporation11,45013
RAIT Financial Trust13,00013
Matinas BioPharma Holdings, Inc.10,20013
TANDEM DIABETES CARE INC16,10612
Platinum Group Metals Ltd.30,30012
Palatin Technologies17,45012
Hoshizaki Electric Co.16,00012
SolarCity Corp.11,00011
Keegan Resources Inc11,26611
Cerecor Inc.13,01211
Bottomline Technologies10,00011
Jefferies Group10,00010
Seadrill Limited28,89210
CorMedix Inc16,3869
CytRx Corporation16,7597
Biostage Inc14,5475
Comstock Mining12,0052

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