All Stocks And ETFs Historical Intraday Data

This list contains symbols for all the stocks and ETFs in our one minute interval "All Stocks And ETFs Historical Intraday Data" historical data package. All calculations are performed using files containing minute-by-minute intraday prices. Tab delimited text version of this list is also available.

Other Historical Data

Please visit our buy page for more information about our US stocks and ETFs, Futures and Forex historical data packages, and to download free historical data sample files. We offer daily (end-of-day or EOD) data, 1 minute and higher interval intraday data and tick (time and sales) bid and ask data.

Product Details

Listed: 8874 symbols and 164 gigabytes
Delisted: 5676 symbols and 65 gigabytes
List last updated on: 1/24/2020

Listed Instruments:

 #   Symbol   StartDate   Size(MB)   Description   Industry   Sector 
1    A 11/18/1999 90 AGILENT TECHNOLOGIES, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
2    AA 4/27/2007 65 ALCOA CORPORATION Aluminum Basic Industries
3    AAAU 8/15/2018 0.5 PERTH MINT PHYSICAL GOLD ETF Exchange Traded Fund Financial
4    AACG 1/29/2008 3.17 ATA CREATIVITY GLOBAL Other Consumer Services Consumer Services
5    AADR 7/21/2010 1.57 WCM BNY MELLON FOCUSED GROWTH A AdvisorShares Foreign Large Growth
6    AAL 12/9/2013 29 AMERICAN AIRLINES GROUP, INC. Air Freight/Delivery Services Transportation
7    AAMC 12/13/2012 1.98 ALTISOURCE ASSET MANAGEMENT CORP Real Estate Finance
8    AAME 1/5/1998 2.03 ATLANTIC AMERICAN CORPORATION Life Insurance Finance
9    AAN 4/30/2007 48 AARON'S, INC. Diversified Commercial Services Technology
10    AAOI 9/26/2013 21 APPLIED OPTOELECTRONICS, INC. Semiconductors Technology
11    AAON 1/2/1998 28 AAON, INC. Industrial Machinery/Components Capital Goods
12    AAP 11/29/2001 73 ADVANCE AUTO PARTS INC Other Specialty Stores Consumer Services
13    AAPL 1/2/1998 146 APPLE INC. Computer Manufacturing Technology
14    AAT 1/13/2011 21 AMERICAN ASSETS TRUST, INC. Real Estate Investment Trusts Consumer Services
15    AAU 12/20/2005 13 ALMADEN MINERALS, LTD. Precious Metals Basic Industries
16    AAWW 5/31/2006 38 ATLAS AIR WORLDWIDE HOLDINGS Transportation Services Transportation
17    AAXJ 8/15/2008 34 ISHARES MSCI ALL COUNTRY ASIA EX JAPAN INDEX FUND
18    AAXN 5/1/2007 47 AXON ENTERPRISE, INC. Ordnance And Accessories Capital Goods
19    AB 2/27/2006 42 ALLIANCEBERNSTEIN HOLDING L.P. Investment Managers Finance
20    ABB 4/6/2001 70 ABB LTD Electrical Products Consumer Durables
21    ABBV 1/2/2013 32 ABBVIE INC. Major Pharmaceuticals Health Care
22    ABC 8/30/2001 81 AMERISOURCEBERGEN CORPORATION (HOLDING CO) Other Pharmaceuticals Health Care
23    ABCB 1/2/1998 23 AMERIS BANCORP Major Banks Finance
24    ABDC 5/9/2014 4.2 ALCENTRA CAPITAL CORP.
25    ABEO 5/16/2007 13 ABEONA THERAPEUTICS INC. Major Pharmaceuticals Health Care
26    ABEV 11/11/2013 30 AMBEV S.A. Beverages (Production/Distribution) Consumer Non-Durables
27    ABG 5/10/2002 46 ASBURY AUTOMOTIVE GROUP INC Automotive Aftermarket Consumer Durables
28    ABIL 2/5/2014 3.23 ABILITY INC. Business Services Finance
29    ABIO 1/28/2009 11 ARCA BIOPHARMA, INC. Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
30    ABM 1/2/1998 54 ABM INDUSTRIES INCORPORATED Diversified Commercial Services Finance
31    ABMD 1/2/1998 52 ABIOMED, INC. Medical/Dental Instruments Health Care
32    ABR 4/7/2004 33 ARBOR REALTY TRUST Real Estate Investment Trusts Consumer Services
33    ABR.A 2/5/2013 0.6 ARBOR REALTY TRUST Real Estate Investment Trusts Consumer Services
34    ABR.B 5/14/2013 0.42 ARBOR REALTY TRUST Real Estate Investment Trusts Consumer Services
35    ABR.C 2/28/2014 0.38 ARBOR REALTY TRUST Real Estate Investment Trusts Consumer Services
36    ABT 1/2/1998 102 ABBOTT LABORATORIES Major Pharmaceuticals Health Care
37    ABTX 10/8/2015 3.77 ALLEGIANCE BANCSHARES, INC. Major Banks Finance
38    ABUS 10/27/2008 15 ARBUTUS BIOPHARMA CORPORATION Major Pharmaceuticals Health Care
39    AC 11/9/2015 1.54 ASSOCIATED CAPITAL GROUP, INC. Investment Bankers/Brokers/Service Finance
40    ACA 11/5/2018 3.26 ARCOSA, INC. Metal Fabrications Capital Goods
41    ACAD 5/27/2004 47 ACADIA PHARMACEUTICALS INC. Major Pharmaceuticals Health Care
42    ACAM 5/9/2019 0.01 ACAMAR PARTNERS ACQUISITION CORP. Business Services Finance
43    ACAMU 2/22/2019 0.06 ACAMAR PARTNERS ACQUISITION CORP. Business Services Finance
44    ACAMW 4/15/2019 0.01 ACAMAR PARTNERS ACQUISITION CORP. Business Services Finance
45    ACB 12/3/2007 7.5 AURORA CANNABIS INC. Specialty Chemicals Consumer Durables
46    ACBI 11/2/2015 4.98 ATLANTIC CAPITAL BANCSHARES, INC. Major Banks Finance
47    ACC 8/16/2004 53 AMERICAN CAMPUS COMMUNITIES INC Real Estate Investment Trusts Consumer Services
48    ACCO 8/17/2005 50 ACCO BRANDS CORPORATION Publishing Consumer Durables
49    ACEL 8/24/2017 0.6 ACCEL ENTERTAINMENT, INC. Services-Misc. Amusement & Recreation Consumer Services
50    ACER 5/16/2007 11 ACER THERAPEUTICS INC. Major Pharmaceuticals Health Care
51    ACES 6/29/2018 0.21 ALPS ETF TRUST Exchange Traded Fund Financial
52    ACGL 5/9/2000 55 ARCH CAPITAL GROUP LTD. Property-Casualty Insurers Finance
53    ACGLO 8/21/2017 1.34 ARCH CAPITAL GROUP LTD. Property-Casualty Insurers Finance
54    ACGLP 10/3/2016 2.44 ARCH CAPITAL GROUP LTD. Property-Casualty Insurers Finance
55    ACH 12/11/2001 37 ALUMINUM CORPORATION OF CHINA LIMITED Aluminum Basic Industries
56    ACHC 11/1/2011 28 ACADIA HEALTHCARE COMPANY, INC. Medical Specialities Health Care
57    ACHN 11/9/2006 36 ACHILLION PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
58    ACHV 8/21/2008 15 ACHIEVE LIFE SCIENCES, INC. Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
59    ACIA 5/13/2016 14 ACACIA COMMUNICATIONS, INC. Semiconductors Technology
60    ACIO 7/10/2019 0.05 ETF SERIES SOLUTIONS Exchange Traded Fund Financial
61    ACIU 9/23/2016 3.76 AC IMMUNE SA Major Pharmaceuticals Health Care
62    ACIW 7/25/2007 41 ACI WORLDWIDE, INC. Computer Software: Prepackaged Software Technology
63    ACLS 7/11/2000 57 AXCELIS TECHNOLOGIES, INC. Industrial Machinery/Components Technology
64    ACM 5/10/2007 51 AECOM Military/Government/Technical Consumer Services
65    ACMR 1/2/1998 22 ACM RESEARCH, INC. Industrial Machinery/Components Technology
66    ACN 7/19/2001 81 ACCENTURE PLC Business Services Miscellaneous
67    ACNB 10/25/2006 1.25 ACNB CORPORATION Major Banks Finance
68    ACOR 2/10/2006 47 ACORDA THERAPEUTICS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
69    ACP 1/27/2011 8.9 ABERDEEN INCOME CREDIT STRATEGIES FUND
70    ACRE 4/27/2012 14 ARES COMMERCIAL REAL ESTATE CORPORATION Real Estate Investment Trusts Consumer Services
71    ACRS 10/7/2015 9.96 ACLARIS THERAPEUTICS, INC. Major Pharmaceuticals Health Care
72    ACRX 2/11/2011 21 ACELRX PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
73    ACSG 12/6/2018 0.05 XTRACKERS MSCI ACWI EX USA ESG LEADERS EQUITY ETF Exchange Traded Fund Financial
74    ACSI 11/7/2016 0.18 ETF SERIES SOLUTIONS Exchange Traded Fund Financial
75    ACST 1/7/2013 5.86 ACASTI PHARMA, INC. Major Pharmaceuticals Health Care
76    ACT 12/13/2017 0.3 ADVISORSHARES VICE ETF
77    ACTG 12/16/2002 40 ACACIA RESEARCH CORPORATION Multi-Sector Companies Miscellaneous
78    ACTT 5/16/2007 0.16 ACT II GLOBAL ACQUISITION CORP. Business Services Finance
79    ACTTU 4/26/2019 0.04 ACT II GLOBAL ACQUISITION CORP. Business Services Finance
80    ACTTW 5/14/2019 0.02 ACT II GLOBAL ACQUISITION CORP. Business Services Finance
81    ACU 5/10/2004 2.64 ACME UNITED CORPORATION. Industrial Machinery/Components Capital Goods
82    ACV 5/22/2015 3.66 ALLIANZGI DIVERSIFIED INCOME & CONVERTIBLE FUND
83    ACWF 5/4/2015 0.53 ISHARES EDGE MSCI MULTIFACTOR GLOBAL ETF Exchange Traded Fund Financial
84    ACWI 3/28/2008 36 ISHARES MSCI ACWI INDEX FUND
85    ACWV 10/20/2011 11 ISHARES MSCI ALL COUNTRY WORLD iShares World Stock
86    ACWX 4/1/2008 22 ISHARES MSCI ACWI EX US INDEX FUND
87    ACY 9/19/2002 2.27 AEROCENTURY CORP. Diversified Commercial Services Technology
88    ADAP 5/6/2015 11 ADAPTIMMUNE THERAPEUTICS PLC Biotechnology: Biological Products (No Diagnostic Substances) Health Care
89    ADBE 1/2/1998 102 ADOBE SYSTEMS INCORPORATED Computer Software: Prepackaged Software Technology
90    ADC 1/2/1998 27 AGREE REALTY CORPORATION Real Estate Investment Trusts Consumer Services
91    ADES 10/14/2004 14 ADVANCED EMISSIONS SOLUTIONS, INC. Major Chemicals Basic Industries
92    ADI 1/2/1998 95 ANALOG DEVICES, INC. Semiconductors Technology
93    ADIL 7/27/2018 1.25 ADIAL PHARMACEUTICALS, INC Major Pharmaceuticals Health Care
94    ADILW 7/27/2018 0.04 ADIAL PHARMACEUTICALS, INC Major Pharmaceuticals Health Care
95    ADM 1/2/1998 93 ARCHER-DANIELS-MIDLAND COMPANY Packaged Foods Consumer Non-Durables
96    ADMA 10/17/2013 6.11 ADMA BIOLOGICS INC Biotechnology: Biological Products (No Diagnostic Substances) Health Care
97    ADMP 4/7/2010 11 ADAMIS PHARMACEUTICALS CORPORATION Major Pharmaceuticals Health Care
98    ADMS 4/10/2014 14 ADAMAS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
99    ADNT 10/17/2016 13 ADIENT PLC Auto Parts:O.E.M. Capital Goods
100    ADOM 6/15/2017 3.82 ADOMANI, INC. Auto Parts:O.E.M. Capital Goods
101    ADP 12/1/2000 84 AUTOMATIC DATA PROCESSING, INC. EDP Services Technology
102    ADPT 6/25/2014 9.88 ADEPTUS HEALTH INC. Hospitals Healthcare
103    ADRA 12/16/2002 2.46 BLDRS ASIA 50 ADR INDEX FUND
104    ADRD 10/18/2004 2.82 BLDRS DEVELOPED MARKETS 100 ADR INDEX FUND
105    ADRE 11/26/2002 14 BLDRS EMERGING MARKETS 50 ADR INDEX FUND
106    ADRO 4/15/2015 13 ADURO BIOTECH, INC. Major Pharmaceuticals Health Care
107    ADRU 12/7/2004 1.31 BLDRS EUROPE 100 ADR INDEX FUND
108    ADS 6/15/2001 66 ALLIANCE DATA SYSTEMS CORPORATION Business Services Miscellaneous
109    ADSK 1/2/1998 92 AUTODESK, INC. Computer Software: Prepackaged Software Technology
110    ADSW 10/6/2016 9.83 ADVANCED DISPOSAL SERVICES, INC. Environmental Services Public Utilities
111    ADT 1/19/2018 8.62 ADT INC. Diversified Commercial Services Consumer Services
112    ADTN 1/2/1998 75 ADTRAN, INC. Telecommunications Equipment Public Utilities
113    ADUS 10/28/2009 11 ADDUS HOMECARE CORPORATION Medical/Nursing Services Health Care
114    ADVM 7/31/2014 14 ADVERUM BIOTECHNOLOGIES, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
115    ADX 1/2/1998 25 ADAMS DIVERSIFIED EQUITY FUND, INC.
116    ADXS 5/16/2007 22 ADVAXIS, INC. Major Pharmaceuticals Health Care
117    ADYX 4/2/2007 5.84
118    AE 1/2/1998 4.73 ADAMS RESOURCES & ENERGY, INC. Oil Refining/Marketing Energy
119    AEB 12/4/2006 5.92 AEGON NV Life Insurance Finance
120    AEE 1/2/1998 85 AMEREN CORPORATION Power Generation Public Utilities
121    AEF 4/30/2018 1.47 AEGON NV PERPETUAL CAP SECURITI Life Insurance Finance, Insurance, and Real Estate
122    AEFC 10/24/2019 0.36 AEGON FUNDING COMPANY LLC Life Insurance Finance
123    AEG 1/2/1998 69 AEGON NV Life Insurance Finance
124    AEGN 7/31/2002 45 AEGION CORP Water Supply Basic Industries
125    AEHR 1/2/1998 6.2 AEHR TEST SYSTEMS Electrical Products Capital Goods
126    AEIS 1/2/1998 63 ADVANCED ENERGY INDUSTRIES, INC. Industrial Machinery/Components Capital Goods
127    AEL 12/4/2003 54 AMERICAN EQUITY INVESTMENT LIFE HOLDING COMPANY Life Insurance Finance
128    AEL.A 11/25/2019 0.2 AMERICAN EQUITY INVESTMENT LIFE HOLDING COMPANY Life Insurance Finance
129    AEM 1/2/1998 80 AGNICO EAGLE MINES LIMITED Precious Metals Basic Industries
130    AEMD 5/16/2007 5.95 AETHLON MEDICAL, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
131    AEO 1/2/1998 91 AMERICAN EAGLE OUTFITTERS, INC. Clothing/Shoe/Accessory Stores Consumer Services
132    AEP 1/2/1998 91 AMERICAN ELECTRIC POWER COMPANY, INC. Electric Utilities: Central Public Utilities
133    AEP.B 3/25/2019 0.3 AMERICAN ELECTRIC POWER COMPANY, INC. Electric Utilities: Central Public Utilities
134    AER 11/21/2006 46 AERCAP HOLDINGS N.V. Diversified Commercial Services Technology
135    AERI 10/25/2013 19 AERIE PHARMACEUTICALS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
136    AES 1/2/1998 96 THE AES CORPORATION Electric Utilities: Central Basic Industries
137    AESE 10/25/2017 0.36 ALLIED ESPORTS ENTERTAINMENT, INC. Services-Misc. Amusement & Recreation Consumer Services
138    AESEW 10/25/2017 0.16
139    AEY 11/24/2003 3.8 ADDVANTAGE TECHNOLOGIES GROUP, INC. Office Equipment/Supplies/Services Consumer Services
140    AEYE 4/26/2013 1.39 AUDIOEYE, INC. Computer Software: Prepackaged Software Technology
141    AEZS 6/3/2004 26 AETERNA ZENTARIS INC. Major Pharmaceuticals Health Care
142    AFB 1/29/2002 14 ALLIANCE NATIONAL MUNICIPAL INCOME FUND INC
143    AFC 4/17/2007 4.35 ARES CAPITAL CORPORATION
144    AFG 1/2/1998 62 AMERICAN FINANCIAL GROUP, INC. Property-Casualty Insurers Finance
145    AFGB 3/19/2019 0.29 AMERICAN FINANCIAL GROUP, INC. Property-Casualty Insurers Finance
146    AFGC 8/4/2011 0.17 AMERICAN FINANCIAL GROUP, INC. Property-Casualty Insurers Finance
147    AFGH 11/20/2015 1.45 AMERICAN FINANCIAL GROUP, INC. Property-Casualty Insurers Finance
148    AFH 2/12/2013 6 ATLAS FINANCIAL HOLDINGS, INC. Property-Casualty Insurers Finance
149    AFHBL 5/16/2017 0.14 ATLAS FINANCIAL HOLDINGS, INC. Property-Casualty Insurers Finance
150    AFI 3/17/2016 7.56 ARMSTRONG FLOORING, INC. Plastic Products Consumer Non-Durables
151    AFIF 9/18/2018 0.15 TWO ROADS SHARED TRUST Exchange Traded Fund Financial
152    AFIN 7/19/2018 4.71 AMERICAN FINANCE TRUST, INC. Real Estate Investment Trusts Consumer Services
153    AFINP 3/22/2019 0.53 AMERICAN FINANCE TRUST, INC. Real Estate Investment Trusts Consumer Services
154    AFK 7/14/2008 3.94 MARKET VECTORS-AFRICA INDEX ETF Van Eck Diversified Emerging Mkts
155    AFL 1/2/1998 94 AFLAC INCORPORATED Accident &Health Insurance Finance
156    AFLG 12/4/2019 0.01 FIRST TRUST ACTIVE FACTOR LARGE CAP ETF Exchange Traded Fund Financial
157    AFMC 12/4/2019 0.01 FIRST TRUST ACTIVE FACTOR MID CAP ETF Exchange Traded Fund Financial
158    AFMD 9/12/2014 10 AFFIMED N.V. Major Pharmaceuticals Health Care
159    AFSM 12/4/2019 0.01 FIRST TRUST ACTIVE FACTOR SMALL CAP ETF Exchange Traded Fund Financial
160    AFT 2/25/2011 9.98 APOLLO SENIOR FLOATING RATE FUND INC.
161    AFTY 3/12/2015 1.22 CSOP FTSE CHINA A50 ETF Exchange Traded Fund Financial
162    AFYA 7/19/2019 1.08 AFYA LIMITED Other Consumer Services Consumer Services
163    AG 12/15/2010 38 FIRST MAJESTIC SILVER CORP. Precious Metals Basic Industries
164    AGBAR 7/18/2019 0.01 AGBA ACQUISITION LIMITED Business Services Finance
165    AGBAU 5/14/2019 0.01 AGBA ACQUISITION LIMITED Business Services Finance
166    AGBAW 7/30/2019 0.01 AGBA ACQUISITION LIMITED Business Services Finance
167    AGCO 5/4/2009 43 AGCO CORPORATION Industrial Machinery/Components Capital Goods
168    AGD 7/27/2006 15 ALPINE GLOBAL DYNAMIC DIVIDEND FUND
169    AGE 11/29/2018 1.17 AGEX THERAPEUTICS, INC. Major Pharmaceuticals Health Care
170    AGEN 2/8/2000 48 AGENUS INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
171    AGFS 4/24/2014 7.48 AGROFRESH SOLUTIONS, INC. Business Services Finance
172    AGFSW 4/10/2014 0.38 AGROFRESH SOLUTIONS, INC. Business Services Finance
173    AGG 9/29/2003 56 ISHARES BARCLAYS AGGREGATE BOND iShares Intermediate-Term Bond
174    AGGE 5/10/2016 0.36 IQ ENHANCED CORE BOND U.S. ETF Exchange Traded Fund Financial
175    AGGP 5/10/2016 1.17 IQ ENHANCED CORE PLUS BOND U.S. ETF Exchange Traded Fund Financial
176    AGGY 7/9/2015 2.24 WISDOMTREE YIELD ENHANCED U.S. AGGREGATE BOND FUND Exchange Traded Fund Financial
177    AGI 2/13/2013 26 ALAMOS GOLD INC. Precious Metals Basic Industries
178    AGIO 7/24/2013 22 AGIOS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
179    AGLE 4/7/2016 3.78 AEGLEA BIOTHERAPEUTICS, INC. Major Pharmaceuticals Health Care
180    AGM 6/18/1999 24 FEDERAL AGRICULTURAL MORTGAGE CORPORATION Finance Companies Finance
181    AGM.A 6/18/1999 0.64 FEDERAL AGRICULTURAL MORTGAGE CORPORATION Finance Companies Finance
182    AGM.C 6/27/2014 0.17 FEDERAL AGRICULTURAL MORTGAGE CORPORATION Finance Companies Finance
183    AGM.D 5/17/2019 0.2 FEDERAL AGRICULTURAL MORTGAGE CORPORATION Finance Companies Finance
184    AGMH 4/18/2018 0.62 AGM GROUP HOLDINGS INC. EDP Services Technology
185    AGN 6/15/2015 22 ALLERGAN PLC. Major Pharmaceuticals Health Care
186    AGNC 5/15/2008 53 AGNC INVESTMENT CORP. Real Estate Investment Trusts Consumer Services
187    AGNCM 3/6/2019 0.54 AGNC INVESTMENT CORP. Real Estate Investment Trusts Consumer Services
188    AGNCN 8/28/2017 1.35 AGNC INVESTMENT CORP. Real Estate Investment Trusts Consumer Services
189    AGNCO 2/27/2019 0.31 AGNC INVESTMENT CORP. Real Estate Investment Trusts Consumer Services
190    AGND 12/18/2013 0.4 WISDOMTREE BARCLAYS NEGATIVE DURATION U.S. AGGREGATE BOND FUND
191    AGO 4/23/2004 59 ASSURED GUARANTY LTD. Property-Casualty Insurers Finance
192    AGO.B 4/1/2010 1.39 ASSURED GUARANTY LTD. Property-Casualty Insurers Finance
193    AGO.E 4/1/2010 3.44 ASSURED GUARANTY LTD. Property-Casualty Insurers Finance
194    AGO.F 4/1/2010 1.73 ASSURED GUARANTY LTD. Property-Casualty Insurers Finance
195    AGQ 12/4/2008 34 PROSHARES ULTRA SILVER ProShares Trading-Leveraged Commodities
196    AGR 12/17/2015 14 AVANGRID, INC. Electric Utilities: Central Public Utilities
197    AGRO 1/28/2011 21 ADECOAGRO S.A. Farming/Seeds/Milling Consumer Non-Durables
198    AGRX 5/23/2014 8.82 AGILE THERAPEUTICS, INC. Major Pharmaceuticals Health Care
199    AGS 1/26/2018 5.05 PLAYAGS, INC. Miscellaneous manufacturing industries Consumer Durables
200    AGT 4/27/2017 0.3 ISHARES TRUST Exchange Traded Fund Financial
201    AGTC 3/27/2014 8.15 APPLIED GENETIC TECHNOLOGIES CORPORATION Biotechnology: Biological Products (No Diagnostic Substances) Health Care
202    AGX 8/22/2007 16 ARGAN, INC. Engineering & Construction Basic Industries
203    AGYS 9/16/2003 29 AGILYSYS, INC. EDP Services Technology
204    AGZ 11/11/2008 4.51 ISHARES BARCLAYS AGENCY BOND iShares Intermediate Government
205    AGZD 12/18/2013 0.56 WISDOMTREE BARCLAYS INTEREST RATE HEDGED U.S. AGGREGATE BOND F
206    AHC 2/11/2008 13 A.H. BELO CORPORATION Newspapers/Magazines Consumer Services
207    AHCO 5/24/2018 0.2 ADAPTHEALTH CORP. Medical/Nursing Services Health Care
208    AHCOW 5/22/2018 0.03
209    AHH 5/8/2013 15 ARMADA HOFFLER PROPERTIES, INC. Real Estate Finance
210    AHH.A 6/19/2019 0.05 ARMADA HOFFLER PROPERTIES, INC. Real Estate Finance
211    AHL.C 5/7/2013 2.71 ASPEN INSURANCE HOLDINGS LIMITED Property-Casualty Insurers Finance
212    AHL.D 9/22/2016 1.68 ASPEN INSURANCE HOLDINGS LIMITED Property-Casualty Insurers Finance
213    AHL.E 8/15/2019 0.32 ASPEN INSURANCE HOLDINGS LIMITED
214    AHPI 9/17/2002 2.06 ALLIED HEALTHCARE PRODUCTS, INC. Industrial Specialties Health Care
215    AHT 8/26/2003 55 ASHFORD HOSPITALITY TRUST INC Real Estate Investment Trusts Consumer Services
216    AHT.D 7/30/2007 2.86 ASHFORD HOSPITALITY TRUST INC Real Estate Investment Trusts Consumer Services
217    AHT.F 7/19/2016 0.9 ASHFORD HOSPITALITY TRUST INC Real Estate Investment Trusts Consumer Services
218    AHT.G 10/21/2016 1.01 ASHFORD HOSPITALITY TRUST INC Real Estate Investment Trusts Consumer Services
219    AHT.H 8/29/2017 0.59 ASHFORD HOSPITALITY TRUST INC Real Estate Investment Trusts Consumer Services
220    AHT.I 11/22/2017 0.79 ASHFORD HOSPITALITY TRUST INC Real Estate Investment Trusts Consumer Services
221    AI 6/10/2009 25 ARLINGTON ASSET INVESTMENT CORP Finance/Investors Services Finance
222    AI.B 5/16/2017 0.12 ARLINGTON ASSET INVESTMENT CORP Finance/Investors Services Finance
223    AI.C 3/14/2019 0.14 ARLINGTON ASSET INVESTMENT CORP Real Estate Investment Trusts Consumer Services
224    AIA 11/20/2007 6.03 ISHARES ASIA 50 ETF
225    AIC 3/23/2015 0.38 ARLINGTON ASSET INVESTMENT CORP Finance/Investors Services Finance
226    AIEQ 10/18/2017 1.92 AI POWERED EQUITY ETF Exchange Traded Fund Financial
227    AIF 2/26/2013 7.5 APOLLO TACTICAL INCOME FUND INC.
228    AIG 1/2/1998 107 AMERICAN INTERNATIONAL GROUP, INC. Property-Casualty Insurers Finance
229    AIG.A 5/19/2008 3.61 AMERICAN INTERNATIONAL GROUP, INC. Property-Casualty Insurers Finance
230    AIH 10/25/2019 0.16 AESTHETIC MEDICAL INTERNATIONAL HOLDINGS GROUP LTD. Medical Specialities Health Care
231    AIHS 3/16/2018 1.02 SENMIAO TECHNOLOGY LIMITED Finance: Consumer Services Finance
232    AIIQ 6/6/2018 0.11 AI POWERED INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
233    AIM 2/4/2002 11 AEROSONIC CORPORATION COMMON ST Aerospace/Defense Products & Services Industrial Goods
234    AIMC 12/15/2006 30 ALTRA INDUSTRIAL MOTION CORP. Industrial Machinery/Components Capital Goods
235    AIMT 8/6/2015 13 AIMMUNE THERAPEUTICS, INC. Major Pharmaceuticals Health Care
236    AIN 1/2/1998 43 ALBANY INTERNATIONAL CORPORATION Textiles Basic Industries
237    AINC 11/7/2014 0.86 ASHFORD INC. Professional Services Consumer Services
238    AINV 4/6/2004 63 APOLLO INVESTMENT CORPORATION
239    AIO 10/29/2019 0.21 ALLIANZGI ARTIFICIAL INTELLIGENCE & TECH OPP FD
240    AIQ 5/16/2018 0.55 ALLIANCE HEALTHCARE SERVICES, INC. Medical Laboratories & Research Healthcare
241    AIR 1/2/1998 53 AAR CORP. Aerospace Capital Goods
242    AIRG 8/12/2016 4.71 AIRGAIN, INC. Radio And Television Broadcasting And Communications Equipment Technology
243    AIRI 7/16/2007 2.07 AIR INDUSTRIES GROUP Military/Government/Technical Capital Goods
244    AIRR 3/11/2014 1.91 FIRST TRUST RBA AMERICAN INDUSTRIAL RENAISSANCE ETF
245    AIRT 1/2/1998 6.83 AIR T, INC. Air Freight/Delivery Services Transportation
246    AIRTP 6/11/2019 0.05 AIR T, INC. Air Freight/Delivery Services Transportation
247    AIRTW 6/12/2019 0.03 AIR T, INC. Air Freight/Delivery Services Transportation
248    AIT 7/3/2000 49 APPLIED INDUSTRIAL TECHNOLOGIES, INC. Industrial Specialties Consumer Durables
249    AIV 1/2/1998 76 APARTMENT INVESTMENT AND MANAGEMENT COMPANY Real Estate Investment Trusts Consumer Services
250    AIW 5/6/2013 0.34 ARLINGTON ASSET INVESTMENT CORP Finance/Investors Services Finance
251    AIZ 2/5/2004 61 ASSURANT, INC. Accident &Health Insurance Finance
252    AIZP 3/15/2018 0.2 ASSURANT, INC. Accident &Health Insurance Finance
253    AJG 1/2/1998 73 ARTHUR J. GALLAGHER & CO. Specialty Insurers Finance
254    AJRD 4/26/2007 39 AEROJET ROCKETDYNE HOLDINGS, INC. Military/Government/Technical Capital Goods
255    AJX 2/13/2015 4.4 GREAT AJAX CORP. Real Estate Investment Trusts Consumer Services
256    AJXA 4/28/2017 0.2 GREAT AJAX CORP. Real Estate Investment Trusts Consumer Services
257    AKAM 10/29/1999 88 AKAMAI TECHNOLOGIES, INC. Business Services Miscellaneous
258    AKBA 3/20/2014 16 AKEBIA THERAPEUTICS, INC. Major Pharmaceuticals Health Care
259    AKCA 7/14/2017 6.22 AKCEA THERAPEUTICS, INC. Major Pharmaceuticals Health Care
260    AKER 1/23/2014 7.79 AKERS BIOSCIENCES INC Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
261    AKG 1/2/2008 19 ASANKO GOLD INC. Mining & Quarrying of Nonmetallic Minerals (No Fuels) Basic Industries
262    AKO.A 1/2/1998 2.28 EMBOTELLADORA ANDINA S.A.
263    AKO.B 1/2/1998 6.32 EMBOTELLADORA ANDINA S.A.
264    AKR 8/13/1998 48 ACADIA REALTY TRUST Real Estate Investment Trusts Consumer Services
265    AKRO 6/20/2019 0.84 AKERO THERAPEUTICS, INC. Major Pharmaceuticals Health Care
266    AKRX 2/7/2007 46 AKORN, INC. Major Pharmaceuticals Health Care
267    AKS 1/2/1998 84 AK STEEL HOLDING CORPORATION Steel/Iron Ore Basic Industries
268    AKTS 5/28/2015 5.1 AKOUSTIS TECHNOLOGIES, INC. Telecommunications Equipment Public Utilities
269    AKTX 1/6/2014 3.69 AKARI THERAPEUTICS PLC Major Pharmaceuticals Health Care
270    AL 4/19/2011 31 AIR LEASE CORPORATION Diversified Commercial Services Technology
271    AL.A 3/7/2019 0.39 AIR LEASE CORPORATION Diversified Commercial Services Technology
272    ALAC 10/24/2018 0.04 ALBERTON ACQUISITION CORPORATION Business Services Finance
273    ALACR 11/21/2018 0.01 ALBERTON ACQUISITION CORPORATION Business Services Finance
274    ALACU 10/24/2018 0.02 ALBERTON ACQUISITION CORPORATION Business Services Finance
275    ALACW 11/21/2018 0.02 ALBERTON ACQUISITION CORPORATION Business Services Finance
276    ALB 1/2/1998 70 ALBEMARLE CORPORATION Major Chemicals Basic Industries
277    ALBO 5/16/2007 18 ALBIREO PHARMA, INC. Major Pharmaceuticals Health Care
278    ALC 11/10/2006 16 ASSISTED LIVING CONCEPTS, INC. Long-Term Care Facilities Healthcare
279    ALCO 1/2/1998 6.82 ALICO, INC. Farming/Seeds/Milling Consumer Non-Durables
280    ALDX 5/2/2014 5.3 ALDEYRA THERAPEUTICS, INC. Major Pharmaceuticals Health Care
281    ALE 9/1/2000 50 ALLETE, INC. Power Generation Public Utilities
282    ALEC 2/7/2019 2.29 ALECTOR, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
283    ALEX 6/14/2012 18 ALEXANDER & BALDWIN, INC. Real Estate Investment Trusts Consumer Services
284    ALFA 5/31/2012 1.29 ETF SERIES SOLUTIONS Exchange Traded Fund Financial
285    ALG 1/2/1998 14 ALAMO GROUP, INC. Industrial Machinery/Components Capital Goods
286    ALGN 1/30/2001 66 ALIGN TECHNOLOGY, INC. Industrial Specialties Health Care
287    ALGR 8/13/2018 0.07 ALLEGRO MERGER CORP. Business Services Finance
288    ALGRR 8/13/2018 0.03 ALLEGRO MERGER CORP. Business Services Finance
289    ALGRU 7/3/2018 0.04 ALLEGRO MERGER CORP. Business Services Finance
290    ALGRW 8/13/2018 0.03 ALLEGRO MERGER CORP. Business Services Finance
291    ALGT 12/8/2006 32 ALLEGIANT TRAVEL COMPANY Air Freight/Delivery Services Transportation
292    ALIM 4/22/2010 13 ALIMERA SCIENCES, INC. Major Pharmaceuticals Health Care
293    ALJJ 5/16/2007 2.03 ALJ REGIONAL HOLDINGS, INC. Business Services Miscellaneous
294    ALK 1/2/1998 81 ALASKA AIR GROUP, INC. Air Freight/Delivery Services Transportation
295    ALKS 1/2/1998 78 ALKERMES PLC Major Pharmaceuticals Health Care
296    ALL 1/2/1998 95 ALLSTATE CORPORATION (THE) Property-Casualty Insurers Finance
297    ALL.A 6/17/2013 2.1 ALLSTATE CORPORATION (THE) Property-Casualty Insurers Finance
298    ALL.B 1/15/2013 4.11 ALLSTATE CORPORATION (THE) Property-Casualty Insurers Finance
299    ALL.G 3/27/2018 1.53 ALLSTATE CORPORATION (THE) Property-Casualty Insurers Finance
300    ALL.H 8/9/2019 0.77 ALLSTATE CORPORATION (THE) Property-Casualty Insurers Finance
301    ALL.I 11/13/2019 0.25 ALLSTATE CORPORATION (THE) Property-Casualty Insurers Finance
302    ALLE 11/18/2013 23 ALLEGION PLC Diversified Commercial Services Consumer Services
303    ALLK 7/19/2018 3.7 ALLAKOS INC. Major Pharmaceuticals Health Care
304    ALLO 10/11/2018 3.82 ALLOGENE THERAPEUTICS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
305    ALLT 11/16/2006 19 ALLOT COMMUNICATIONS LTD. Computer Communications Equipment Technology
306    ALLY 4/10/2014 26 ALLY FINANCIAL INC. Finance: Consumer Services Finance
307    ALLY.A 3/8/2011 11 ALLY FINANCIAL INC. Finance: Consumer Services Finance
308    ALNA 11/2/2017 2.06 ALLENA PHARMACEUTICALS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
309    ALNY 6/1/2004 50 ALNYLAM PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
310    ALO 2/9/2010 10 ALIO GOLD INC. Precious Metals Basic Industries
311    ALOT 2/5/2002 3.11 ASTRONOVA, INC. Computer peripheral equipment Technology
312    ALP.Q 9/12/2017 0.94 ALABAMA POWER COMPANY
313    ALPN 6/17/2015 3.11 ALPINE IMMUNE SCIENCES, INC. Major Pharmaceuticals Health Care
314    ALRM 6/26/2015 13 ALARM.COM HOLDINGS, INC. Computer Software: Prepackaged Software Technology
315    ALRN 8/4/2009 2.5 AILERON THERAPEUTICS, INC. Major Pharmaceuticals Health Care
316    ALRS 10/10/2008 0.3 ALERUS FINANCIAL CORPORATION Major Banks Finance
317    ALSK 11/18/1999 37 ALASKA COMMUNICATIONS SYSTEMS GROUP, INC. Telecommunications Equipment Public Utilities
318    ALSN 3/15/2012 30 ALLISON TRANSMISSION HOLDINGS, INC. Auto Parts:O.E.M. Capital Goods
319    ALT 11/16/2009 12 ALTIMMUNE, INC. Major Pharmaceuticals Health Care
320    ALTM 5/16/2007 3.2 ALTUS MIDSTREAM COMPANY Natural Gas Distribution Public Utilities
321    ALTR 11/1/2017 5.63 ALTAIR ENGINEERING INC. Computer Software: Prepackaged Software Technology
322    ALTS 10/9/2014 0.39 PROSHARES TRUST Exchange Traded Fund Financial
323    ALTY 7/14/2015 0.44 GLOBAL X SUPERDIVIDEND ALTERNATIVES ETF
324    ALUS 1/10/2020 0.01 ALUSSA ENERGY ACQUISITION CORP. Business Services Finance
325    ALUS.U 11/26/2019 0.03 ALUSSA ENERGY ACQUISITION CORP. Business Services Finance
326    ALV 1/2/1998 67 AUTOLIV, INC. Auto Parts:O.E.M. Capital Goods
327    ALX 1/2/1998 5.22 ALEXANDER'S, INC. Real Estate Investment Trusts Consumer Services
328    ALXN 1/2/1998 74 ALEXION PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
329    ALYA 5/16/2007 3.5 ALITHYA GROUP INC. Computer Software: Programming, Data Processing Technology
330    AM 11/5/2014 17 ANTERO MIDSTREAM PARTNERS LP Natural Gas Distribution Public Utilities
331    AMAG 6/27/2006 43 AMAG PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
332    AMAL 8/9/2018 1.51 AMALGAMATED BANK Textiles Consumer Non-Durables
333    AMAT 1/2/1998 114 APPLIED MATERIALS, INC. Semiconductors Technology
334    AMBA 10/10/2012 29 AMBARELLA, INC. Semiconductors Technology
335    AMBC 5/1/2013 19 AMBAC FINANCIAL GROUP, INC. Property-Casualty Insurers Finance
336    AMBCW 7/1/2019 0.04 AMBAC FINANCIAL GROUP, INC. Property-Casualty Insurers Finance
337    AMBO 8/5/2010 2.15 AMBOW EDUCATION HOLDING LTD. AM Education & Training Services Services
338    AMC 12/18/2013 22 AMC ENTERTAINMENT HOLDINGS, INC. Movies/Entertainment Consumer Services
339    AMCA 8/11/2017 0.09 ISHARES RUSSELL 1000 PURE U.S. REVENUE ETF
340    AMCI 8/4/2009 0.05 AMCI ACQUISITION CORP. Business Services Finance
341    AMCIU 11/16/2018 0.02 AMCI ACQUISITION CORP. Business Services Finance
342    AMCIW 1/24/2019 0.02 AMCI ACQUISITION CORP. Business Services Finance
343    AMCR 5/15/2012 30 AMCOR PLC Miscellaneous manufacturing industries Consumer Durables
344    AMCX 6/16/2011 31 AMC NETWORKS INC. Television Services Consumer Services
345    AMD 1/2/1998 113 ADVANCED MICRO DEVICES, INC. Semiconductors Technology
346    AME 1/2/1998 71 AMTEK, INC. Metal Fabrications Consumer Durables
347    AMED 5/10/2002 52 AMEDISYS INC Medical/Nursing Services Health Care
348    AMEH 9/8/2008 2.24 APOLLO MEDICAL HOLDINGS, INC. Professional Services Consumer Services
349    AMG 1/2/1998 68 AFFILIATED MANAGERS GROUP, INC. Investment Managers Finance
350    AMGN 1/2/1998 105 AMGEN INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
351    AMH 8/1/2013 27 AMERICAN HOMES 4 RENT Real Estate Investment Trusts Consumer Services
352    AMH.D 5/25/2016 1.09 AMERICAN HOMES 4 RENT Real Estate Investment Trusts Consumer Services
353    AMH.E 6/30/2016 1.33 AMERICAN HOMES 4 RENT Real Estate Investment Trusts Consumer Services
354    AMH.F 4/26/2017 0.62 AMERICAN HOMES 4 RENT Real Estate Investment Trusts Consumer Services
355    AMH.G 7/19/2017 0.49 AMERICAN HOMES 4 RENT Real Estate Investment Trusts Consumer Services
356    AMH.H 9/24/2018 0.38 AMERICAN HOMES 4 RENT Real Estate Investment Trusts Consumer Services
357    AMHC 1/23/2014 0.01 AMPLITUDE HEALTHCARE ACQUISITION CORPORATION Business Services Finance
358    AMHCU 11/20/2019 0.02 AMPLITUDE HEALTHCARE ACQUISITION CORPORATION Business Services Finance
359    AMHCW 1/10/2020 0.01 AMPLITUDE HEALTHCARE ACQUISITION CORPORATION Business Services Finance
360    AMJ 6/2/2009 39 JPMORGAN CHASE CAPITAL XVI JP M JPMorgan Equity Energy
361    AMJL 5/18/2016 0.33 CREDIT SUISSE AG Investment Bankers/Brokers/Service Finance
362    AMK 5/16/2007 1.18 ASSETMARK FINANCIAL HOLDINGS, INC. Investment Managers Finance
363    AMKR 5/1/1998 79 AMKOR TECHNOLOGY, INC. Semiconductors Technology
364    AMLP 8/25/2010 41 ALERIAN MLP ETF ALPS Equity Energy
365    AMN 11/13/2001 39 AMN HEALTHCARE SERVICES INC Professional Services Technology
366    AMNB 2/5/2002 4.51 AMERICAN NATIONAL BANKSHARES, INC. Major Banks Finance
367    AMOM 5/21/2019 0.04 QRAFT AI-ENHANCED U.S. LARGE CAP MOMENTUM ETF Exchange Traded Fund Financial
368    AMOT 11/21/2002 7.58 ALLIED MOTION TECHNOLOGIES, INC. Electrical Products Capital Goods
369    AMOV 2/8/2001 2.41 AMERICA MOVIL, S.A.B. DE C.V. Telecommunications Equipment Public Utilities
370    AMP 10/3/2005 62 AMERIPRISE FINANCIAL SERVICES, INC. Investment Managers Finance
371    AMPE 3/31/2010 20 AMPIO PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
372    AMPH 6/25/2014 13 AMPHASTAR PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
373    AMPY 5/19/2017 1.45 MIDSTATES PETROLEUM COMPANY, INC. Oil & Gas Production Energy
374    AMRB 12/9/2002 1.69 AMERICAN RIVER BANKSHARES Major Banks Finance
375    AMRC 7/22/2010 14 AMERESCO, INC. Engineering & Construction Basic Industries
376    AMRH 11/22/2016 4.29 AMERI HOLDINGS, INC. Semiconductors Technology
377    AMRHW 11/17/2017 0.07 AMERI HOLDINGS, INC. Semiconductors Technology
378    AMRK 3/17/2014 1.87 A-MARK PRECIOUS METALS, INC. Other Specialty Stores Basic Industries
379    AMRN 1/12/2000 44 AMARIN CORPORATION PLC Major Pharmaceuticals Health Care
380    AMRS 9/28/2010 24 AMYRIS, INC. Major Chemicals Basic Industries
381    AMRX 5/7/2018 6.4 AMNEAL PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
382    AMS 1/2/1998 2.43 AMERICAN SHARED HOSPITAL SERVICES Medical Specialities Health Care
383    AMSC 1/2/1998 51 AMERICAN SUPERCONDUCTOR CORPORATION Metal Fabrications Consumer Durables
384    AMSF 11/18/2005 23 AMERISAFE, INC. Property-Casualty Insurers Finance
385    AMSWA 10/25/2005 18 AMERICAN SOFTWARE, INC. Computer Software: Prepackaged Software Technology
386    AMT 6/5/1998 85 AMERICAN TOWER CORPORATION (REIT) Real Estate Investment Trusts Consumer Services
387    AMTB 8/29/2018 0.91 AMERANT BANCORP INC. Major Banks Finance
388    AMTBB 8/29/2018 0.08 AMERANT BANCORP INC. Major Banks Finance
389    AMTD 1/2/1998 94 TD AMERITRADE HOLDING CORPORATION Investment Bankers/Brokers/Service Finance
390    AMTX 5/15/2014 2.67 AEMETIS, INC Major Chemicals Basic Industries
391    AMU 7/31/2012 6.75 ETRACS 2X WELLS FARGO - BDCI Exchange Traded Fund Financial
392    AMUB 10/9/2015 0.05 UBS AG Major Banks Finance
393    AMWD 1/2/1998 31 AMERICAN WOODMARK CORPORATION Forest Products Basic Industries
394    AMX 2/12/2001 81 AMERICA MOVIL, S.A.B. DE C.V. Telecommunications Equipment Public Utilities
395    AMZA 10/2/2014 11 INFRACAP MLP ETF Exchange Traded Fund Financial
396    AMZN 1/2/1998 118 AMAZON.COM, INC. Catalog/Specialty Distribution Consumer Services
397    AN 4/6/1999 77 AUTONATION, INC. Automotive Aftermarket Consumer Durables
398    ANAB 1/26/2017 7.16 ANAPTYSBIO, INC. Major Pharmaceuticals Health Care
399    ANAT 1/2/1998 11 AMERICAN NATIONAL INSURANCE COMPANY Life Insurance Finance
400    ANCN 2/12/2019 0.25 ANCHIANO THERAPEUTICS LTD. Major Pharmaceuticals Health Care
401    ANDA 3/6/2019 0.01 ANDINA ACQUISITION CORP. III Business Services Finance
402    ANDAR 12/7/2015 0.1 ANDINA ACQUISITION CORP. III Business Services Finance
403    ANDAU 3/19/2012 0.06 ANDINA ACQUISITION CORP. III Business Services Finance
404    ANDAW 5/10/2012 0.12 ANDINA ACQUISITION CORP. III Business Services Finance
405    ANDE 1/2/1998 38 THE ANDERSONS, INC. Farming/Seeds/Milling Consumer Services
406    ANET 6/6/2014 23 ARISTA NETWORKS, INC. Computer Communications Equipment Technology
407    ANF 1/2/1998 92 ABERCROMBIE & FITCH COMPANY Clothing/Shoe/Accessory Stores Consumer Services
408    ANGI 11/17/2011 27 ANGI HOMESERVICES INC. Advertising Consumer Services
409    ANGL 4/11/2012 8.09 VANECK VECTORS FALLEN ANGEL HIGH YIELD BOND ETF
410    ANGO 6/1/2004 33 ANGIODYNAMICS, INC. Medical/Dental Instruments Health Care
411    ANH 5/9/2003 62 ANWORTH MORTGAGE ASSET CORPORATION Real Estate Investment Trusts Consumer Services
412    ANH.A 5/16/2007 0.87 ANWORTH MORTGAGE ASSET CORPORATION Real Estate Investment Trusts Consumer Services
413    ANH.B 5/16/2007 0.56 ANWORTH MORTGAGE ASSET CORPORATION Real Estate Investment Trusts Consumer Services
414    ANH.C 1/28/2015 0.48 ANWORTH MORTGAGE ASSET CORPORATION Real Estate Investment Trusts Consumer Services
415    ANIK 1/2/1998 25 ANIKA THERAPEUTICS INC. Medical/Dental Instruments Health Care
416    ANIP 11/5/2007 25 ANI PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
417    ANIX 5/16/2007 5.09 ANIXA BIOSCIENCES, INC. Medical Specialities Health Care
418    ANSS 1/2/1998 60 ANSYS, INC. Computer Software: Prepackaged Software Technology
419    ANTE 11/7/2007 18 AIRNET TECHNOLOGY INC. Advertising Technology
420    ANTM 10/30/2001 80 ANTHEM, INC. Medical Specialities Health Care
421    ANY 8/12/2013 8.3 SPHERE 3D CORP. EDP Services Technology
422    AOA 11/11/2008 5.97 ISHARES S&P AGGRESSIVE ALLOCATI iShares Aggressive Allocation
423    AOBC 5/1/2007 48 AMERICAN OUTDOOR BRANDS CORPORATION Ordnance And Accessories Capital Goods
424    AOD 4/23/2007 37 ALPINE TOTAL DYNAMIC DIVIDEND FUND
425    AOIL 3/31/2017 0.07 ABERDEEN STANDARD BLOOMBERG WTI CRUDE OIL STRATEGY K-1 FREE ET Exchange Traded Fund Financial
426    AOK 11/19/2008 4.72 ISHARES S&P CONSERVATIVE ALLOCA iShares Conservative Allocation
427    AOM 11/11/2008 7.54 ISHARES S&P MODERATE ALLOCATION iShares Conservative Allocation
428    AON 1/2/1998 86 AON PLC Specialty Insurers Finance
429    AOR 11/19/2008 6.77 ISHARES S&P GROWTH ALLOCATION iShares World Allocation
430    AOS 1/2/1998 64 SMITH (A.O.) CORPORATION Consumer Electronics/Appliances Consumer Durables
431    AOSL 4/29/2010 13 ALPHA AND OMEGA SEMICONDUCTOR LIMITED Semiconductors Technology
432    AP 1/2/1998 17 AMPCO-PITTSBURGH CORPORATION Fluid Controls Capital Goods
433    APA 1/2/1998 93 APACHE CORPORATION Oil & Gas Production Energy
434    APAM 3/7/2013 20 ARTISAN PARTNERS ASSET MANAGEMENT INC. Investment Managers Finance
435    APD 1/2/1998 88 AIR PRODUCTS AND CHEMICALS, INC. Major Chemicals Basic Industries
436    APDN 5/16/2007 8.67 APPLIED DNA SCIENCES INC Other Consumer Services Consumer Services
437    APEI 11/9/2007 25 AMERICAN PUBLIC EDUCATION, INC. Other Consumer Services Consumer Services
438    APEN 5/16/2007 4.7 APOLLO ENDOSURGERY, INC. Medical/Dental Instruments Health Care
439    APEX 5/10/2007 12 APEX GLOBAL BRANDS INC. Apparel Consumer Non-Durables
440    APH 1/2/1998 77 AMPHENOL CORPORATION Electrical Products Capital Goods
441    APHA 3/18/2015 11 APHRIA INC. Specialty Chemicals Consumer Durables
442    APLE 5/18/2015 20 APPLE HOSPITALITY REIT, INC. Real Estate Investment Trusts Consumer Services
443    APLS 8/5/2009 5.4 APELLIS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
444    APLT 5/14/2019 0.5 APPLIED THERAPEUTICS, INC. Major Pharmaceuticals Health Care
445    APM 12/18/2018 0.13 APTORUM GROUP LIMITED Major Pharmaceuticals Health Care
446    APO 3/30/2011 31 APOLLO GLOBAL MANAGEMENT, LLC Investment Managers Finance
447    APO.A 3/9/2017 1.45 APOLLO GLOBAL MANAGEMENT, LLC Investment Managers Finance
448    APO.B 3/26/2018 1.09 APOLLO GLOBAL MANAGEMENT, INC Investment Managers Finance
449    APOG 1/2/1998 48 APOGEE ENTERPRISES, INC. Auto Parts:O.E.M. Capital Goods
450    APOP 8/1/2016 1.76 CELLECT BIOTECHNOLOGY LTD.
451    APOPW 7/29/2016 0.09 CELLECT BIOTECHNOLOGY LTD.
452    APPF 6/26/2015 6.7 APPFOLIO, INC. Computer Software: Prepackaged Software Technology
453    APPN 5/25/2017 8.72 APPIAN CORPORATION Computer Software: Prepackaged Software Technology
454    APPS 5/16/2007 14 DIGITAL TURBINE, INC. Multi-Sector Companies Miscellaneous
455    APRE 10/3/2019 0.42 APREA THERAPEUTICS, INC. Major Pharmaceuticals Health Care
456    APRN 6/29/2017 10 BLUE APRON HOLDINGS, INC. Catalog/Specialty Distribution Consumer Services
457    APT 9/21/2000 10 ALPHA PRO TECH, LTD. Industrial Specialties Health Care
458    APTO 10/31/2008 5.65 APTOSE BIOSCIENCES, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
459    APTS 4/1/2011 15 PREFERRED APARTMENT COMMUNITIES, INC. Real Estate Investment Trusts Consumer Services
460    APTV 11/17/2011 34 APTIV PLC Auto Parts:O.E.M. Capital Goods
461    APTX 6/21/2018 2.39 APTINYX INC. Major Pharmaceuticals Health Care
462    APVO 7/20/2016 5.75 APTEVO THERAPEUTICS INC. Major Pharmaceuticals Health Care
463    APWC 4/29/2011 0.54 ASIA PACIFIC WIRE & CABLE CORPORATION LIMITED Telecommunications Equipment Basic Industries
464    APXT 11/5/2019 0.01 APEX TECHNOLOGY ACQUISITION CORPORATION Business Services Finance
465    APXTU 9/17/2019 0.03 APEX TECHNOLOGY ACQUISITION CORPORATION Business Services Finance
466    APXTW 11/5/2019 0.01 APEX TECHNOLOGY ACQUISITION CORPORATION Business Services Finance
467    APY 5/16/2007 6.04 APERGY CORPORATION Industrial Machinery/Components Technology
468    APYX 5/16/2007 8.23 APYX MEDICAL CORPORATION Medical/Dental Instruments Health Care
469    AQB 1/9/2017 1.82 AQUABOUNTY TECHNOLOGIES, INC.
470    AQMS 7/31/2015 8.73 AQUA METALS, INC. Metal Fabrications Basic Industries
471    AQN 11/29/2016 7.35 ALGONQUIN POWER & UTILITIES CORP. Electric Utilities: Central Public Utilities
472    AQNA 10/23/2018 0.47 ALGONQUIN POWER & UTILITIES CORP. Electric Utilities: Central Public Utilities
473    AQNB 5/28/2019 0.34 ALGONQUIN POWER & UTILITIES CORP. Electric Utilities: Central Public Utilities
474    AQST 7/25/2018 2.38 AQUESTIVE THERAPEUTICS, INC. Major Pharmaceuticals Health Care
475    AQUA 11/2/2017 7.42 EVOQUA WATER TECHNOLOGIES CORP. Industrial Machinery/Components Technology
476    AR 10/10/2013 27 ANTERO RESOURCES CORPORATION Oil & Gas Production Energy
477    ARA 1/2/1998 32 AMERICAN RENAL ASSOCIATES HOLDINGS, INC Hospital/Nursing Management Health Care
478    ARAV 3/21/2014 10 ARAVIVE, INC. Major Pharmaceuticals Health Care
479    ARAY 2/8/2007 40 ACCURAY INCORPORATED Medical/Dental Instruments Health Care
480    ARC 2/4/2005 32 ARC DOCUMENT SOLUTIONS, INC. Professional Services Consumer Services
481    ARCB 4/27/2007 41 ARCBEST CORPORATION Trucking Freight/Courier Services Transportation
482    ARCC 10/5/2004 62 ARES CAPITAL CORPORATION
483    ARCE 9/26/2018 1.59 ARCO PLATFORM LIMITED Other Consumer Services Consumer Services
484    ARCH 10/5/2016 9.12 ARCH COAL, INC. Coal Mining Energy
485    ARCM 3/31/2017 0.04 ARROW INVESTMENTS TRUST Exchange Traded Fund Financial
486    ARCO 4/14/2011 30 ARCOS DORADOS HOLDINGS INC. Restaurants Consumer Services
487    ARCT 5/22/2013 8.76 ARCTURUS THERAPEUTICS LTD.
488    ARCW 3/13/2007 2.88 ARC GROUP WORLDWIDE, INC. Metal Fabrications Capital Goods
489    ARD 3/15/2017 3.85 ARDAGH GROUP S.A. Containers/Packaging Consumer Durables
490    ARDC 11/28/2012 8.5 ARES DYNAMIC CREDIT ALLOCATION FUND, INC.
491    ARDS 8/14/2018 0.23 ARIDIS PHARMACEUTICALS INC. Major Pharmaceuticals Health Care
492    ARDX 6/19/2014 11 ARDELYX, INC. Major Pharmaceuticals Health Care
493    ARE 1/2/1998 59 ALEXANDRIA REAL ESTATE EQUITIES, INC. Real Estate Investment Trusts Consumer Services
494    AREC 11/25/2015 0.3 AMERICAN RESOURCES CORPORATION Other Consumer Services Consumer Services
495    ARES 5/2/2014 10 ARES MANAGEMENT L.P. Investment Managers Finance
496    ARES.A 6/14/2016 1.58 ARES MANAGEMENT L.P. Investment Managers Finance
497    ARGD 5/7/2018 0.2 ARGO GROUP INTERNATIONAL HOLDINGS, LTD. Specialty Insurers Finance
498    ARGO 5/3/2007 26 ARGO GROUP INTERNATIONAL HOLDINGS, LTD. Specialty Insurers Finance
499    ARGT 3/3/2011 4.03 GLOBAL X FTSE ARGENTINA 20 ETF Global X Funds Latin America Stock
500    ARGX 5/18/2017 4.91 ARGENX SE Biotechnology: Biological Products (No Diagnostic Substances) Health Care
501    ARI 9/24/2009 32 APOLLO COMMERCIAL REAL ESTATE FINANCE Real Estate Investment Trusts Consumer Services
502    ARKF 2/4/2019 0.41 ARK FINTECH INNOVATION ETF Exchange Traded Fund Financial
503    ARKG 10/31/2014 3.91 ARK GENOMIC REVOLUTION ETF Exchange Traded Fund Financial
504    ARKK 10/31/2014 6.94 ARK INNOVATION ETF Exchange Traded Fund Financial
505    ARKQ 9/30/2014 1.74 ARK AUTONOMOUS TECHNOLOGY & ROBOTICS ETF Exchange Traded Fund Financial
506    ARKR 3/15/2004 2.02 ARK RESTAURANTS CORP. Restaurants Consumer Services
507    ARKW 9/30/2014 4.45 ARK NEXT GENERATION INTERNET ETF Exchange Traded Fund Financial
508    ARL 8/3/2000 1.82 AMERICAN REALTY INVESTORS, INC. Real Estate Finance
509    ARLO 8/3/2018 4.9 ARLO TECHNOLOGIES, INC. Consumer Electronics/Appliances Consumer Non-Durables
510    ARLP 8/17/1999 39 ALLIANCE RESOURCE PARTNERS, L.P. Coal Mining Energy
511    ARMK 12/12/2013 24 ARAMARK Restaurants Consumer Services
512    ARMP 8/21/2015 4.53 ARMATA PHARMACEUTICALS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
513    ARNA 7/28/2000 62 ARENA PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
514    ARNC 1/2/1998 103 ARCONIC INC. Metal Fabrications Capital Goods
515    AROC 8/21/2007 50 ARCHROCK, INC. Natural Gas Distribution Public Utilities
516    AROW 1/2/1998 9.8 ARROW FINANCIAL CORPORATION Major Banks Finance
517    ARPO 8/8/2017 1.53 AERPIO PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
518    ARQL 1/2/1998 42 ARQULE, INC. Major Pharmaceuticals Health Care
519    ARR 11/10/2009 37 ARMOUR RESIDENTIAL REIT, INC. Real Estate Investment Trusts Consumer Services
520    ARR.B 2/13/2013 2.41 ARMOUR RESIDENTIAL REIT, INC. Real Estate Investment Trusts Consumer Services
521    ARTL 11/14/2017 0.25 ARISTOTLE CORP NASDAQ NASDAQ
522    ARTLW 6/21/2019 0.02 ARTELO BIOSCIENCES, INC. Business Services Miscellaneous
523    ARTNA 1/2/1998 6.26 ARTESIAN RESOURCES CORPORATION Water Supply Public Utilities
524    ARTW 2/6/2003 2.85 ART'S-WAY MANUFACTURING CO., INC. Industrial Machinery/Components Capital Goods
525    ARVN 9/27/2018 2.41 ARVINAS, INC. Major Pharmaceuticals Health Care
526    ARW 1/2/1998 76 ARROW ELECTRONICS, INC. Electronic Components Consumer Non-Durables
527    ARWR 9/3/2004 32 ARROWHEAD PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
528    ARYA 10/5/2018 0.04 ARYA SCIENCES ACQUISITION CORP. Business Services Finance
529    ARYAU 10/5/2018 0.06 ARYA SCIENCES ACQUISITION CORP. Business Services Finance
530    ARYAW 12/12/2018 0.01 ARYA SCIENCES ACQUISITION CORP. Business Services Finance
531    ASA 1/2/1998 25 ASA GOLD AND PRECIOUS METALS LIMITED
532    ASB 1/2/1998 75 ASSOCIATED BANC-CORP Major Banks Finance
533    ASB.C 6/10/2015 0.37 ASSOCIATED BANC-CORP Major Banks Finance
534    ASB.D 9/21/2016 0.63 ASSOCIATED BANC-CORP Major Banks Finance
535    ASB.E 9/28/2018 0.18 ASSOCIATED BANC-CORP Major Banks Finance
536    ASC 8/1/2013 13 ARDMORE SHIPPING CORPORATION Marine Transportation Transportation
537    ASEA 2/17/2011 1.68 GLOBAL X FTSE ASEAN 40 ETF Global X Funds Pacific/Asia ex-Japan Stk
538    ASET 12/8/2015 0.16 FLEXSHARES REAL ASSETS ALLOCATION INDEX FUND
539    ASFI 1/7/1998 17 ASTA FUNDING, INC. Finance Companies Finance
540    ASG 1/2/1998 16 LIBERTY ALL-STAR GROWTH FUND, INC.
541    ASGN 1/2/1998 46 ON ASSIGNMENT, INC. Professional Services Technology
542    ASH 1/2/1998 78 ASHLAND GLOBAL HOLDINGS INC. Specialty Chemicals Consumer Durables
543    ASHR 11/6/2013 21 XTRACKERS HARVEST CSI 300 CHINA A-SHARES ETF Exchange Traded Fund Financial
544    ASHS 5/21/2014 2.82 XTRACKERS HARVEST CSI 500 CHINA A-SHARES SMALL CAP ETF Exchange Traded Fund Financial
545    ASHX 10/21/2015 0.2 XTRACKERS MSCI CHINA A INCLUSION EQUITY ETF Exchange Traded Fund Financial
546    ASIX 9/15/2016 7.96 ADVANSIX INC. Major Chemicals Basic Industries
547    ASLN 5/4/2018 0.98 ASLAN PHARMACEUTICALS LIMITED Major Pharmaceuticals Health Care
548    ASM 5/16/2007 8.11 AVINO SILVER Precious Metals Basic Industries
549    ASMB 12/17/2010 12 ASSEMBLY BIOSCIENCES, INC. Major Pharmaceuticals Health Care
550    ASML 2/16/1999 86 ASML HOLDING N.V. Industrial Machinery/Components Technology
551    ASNA 4/30/2007 50 ASCENA RETAIL GROUP, INC. Clothing/Shoe/Accessory Stores Consumer Services
552    ASND 1/28/2015 7.06 ASCENDIS PHARMA A/S Major Pharmaceuticals Health Care
553    ASPN 6/13/2014 3.49 ASPEN AEROGELS, INC. RETAIL: Building Materials Consumer Services
554    ASPS 8/10/2009 23 ALTISOURCE PORTFOLIO SOLUTIONS S.A. Other Consumer Services Consumer Services
555    ASPU 6/30/2011 1.86 ASPEN GROUP INC. Other Consumer Services Consumer Services
556    ASR 9/28/2000 27 GRUPO AEROPORTUARIO DEL SURESTE, S.A. DE C.V. Aerospace Transportation
557    ASRT 4/26/2007 41 ASSERTIO THERAPEUTICS, INC. Major Pharmaceuticals Health Care
558    ASRV 5/7/2001 3.69 AMERISERV FINANCIAL INC. Major Banks Finance
559    ASRVP 1/26/2006 0.57 AMERISERV FINANCIAL INC. Major Banks Finance
560    ASTC 5/4/2009 5.54 ASTROTECH CORPORATION Military/Government/Technical Capital Goods
561    ASTE 1/2/1998 40 ASTEC INDUSTRIES, INC. Construction/Ag Equipment/Trucks Capital Goods
562    ASUR 9/13/2007 7.89 ASURE SOFTWARE INC EDP Services Technology
563    ASX 10/2/2000 45 ADVANCED SEMICONDUCTOR ENGINEERING, INC. Semiconductors Technology
564    ASYS 1/2/1998 18 AMTECH SYSTEMS, INC. Industrial Machinery/Components Technology
565    AT 7/23/2010 27 ATLANTIC POWER CORPORATION Electric Utilities: Central Energy
566    ATAX 7/1/2008 9.34 AMERICA FIRST MULTIFAMILY INVESTORS, L.P. Finance: Consumer Services Finance
567    ATEC 6/12/2006 17 ALPHATEC HOLDINGS, INC. Medical/Dental Instruments Health Care
568    ATEN 3/21/2014 15 A10 NETWORKS, INC. Computer Communications Equipment Technology
569    ATEST.C 9/26/2016 0.01 NASDAQ TEST STOCK
570    ATEX 2/3/2015 4.48 ANTERIX INC. Telecommunications Equipment Public Utilities
571    ATGE 5/1/2007 47 ADTALEM GLOBAL EDUCATION INC. Other Consumer Services Consumer Services
572    ATH 12/9/2016 12 ATHENE HOLDING LTD. Life Insurance Finance
573    ATH.A 6/19/2019 0.61 ATHENE HOLDING LTD. Life Insurance Finance
574    ATH.B 9/25/2019 0.22 ATHENE HOLDING LTD. Life Insurance Finance
575    ATHE 5/16/2007 8.89 ALTERITY THERAPEUTICS LIMITED Major Pharmaceuticals Health Care
576    ATHM 12/11/2013 22 AUTOHOME INC. EDP Services Technology
577    ATHX 12/12/2007 19 ATHERSYS, INC. Major Pharmaceuticals Health Care
578    ATI 11/30/1999 79 ALLEGHENY TECHNOLOGIES INCORPORATED Steel/Iron Ore Basic Industries
579    ATIF 5/3/2019 0.22 ATIF HOLDINGS LIMITED Professional Services Consumer Services
580    ATIS 5/16/2007 2.42
581    ATISW 1/25/2017 0.04
582    ATKR 6/10/2016 10 ATKORE INTERNATIONAL GROUP INC. Industrial Machinery/Components Miscellaneous
583    ATLC 4/23/1999 29 ATLANTICUS HOLDINGS CORPORATION Finance: Consumer Services Finance
584    ATLO 5/12/2005 3.55 AMES NATIONAL CORPORATION Major Banks Finance
585    ATMP 3/13/2013 2.76 BARCLAYS PLC Commercial Banks Finance
586    ATNI 5/23/2006 17 ATN INTERNATIONAL, INC. Telecommunications Equipment Public Utilities
587    ATNM 6/2/2011 12 ACTINIUM PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
588    ATNX 6/14/2017 6.98 ATHENEX, INC. Major Pharmaceuticals Health Care
589    ATO 1/2/1998 66 ATMOS ENERGY CORPORATION Oil/Gas Transmission Public Utilities
590    ATOM 8/5/2016 1.53 ATOMERA INCORPORATED Semiconductors Technology
591    ATOS 11/8/2012 9.65 ATOSSA GENETICS INC. Major Pharmaceuticals Health Care
592    ATR 1/2/1998 52 APTARGROUP, INC. Plastic Products Consumer Non-Durables
593    ATRA 10/16/2014 14 ATARA BIOTHERAPEUTICS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
594    ATRC 8/5/2005 19 ATRICURE, INC. Medical/Dental Instruments Health Care
595    ATRI 10/29/2004 2.44 ATRION CORPORATION Medical/Dental Instruments Health Care
596    ATRO 1/2/1998 21 ASTRONICS CORPORATION Military/Government/Technical Capital Goods
597    ATRS 5/23/2002 46 ANTARES PHARMA, INC. Medical/Dental Instruments Health Care
598    ATSG 5/16/2008 27 AIR TRANSPORT SERVICES GROUP, INC Air Freight/Delivery Services Transportation
599    ATTO 10/2/2014 5.29 ATENTO S.A. Telecommunications Equipment Public Utilities
600    ATUS 6/22/2017 11 ALTICE USA, INC. Television Services Consumer Services
601    ATV 5/3/2007 6.29 ACORN INTERNATIONAL, INC. Other Specialty Stores Consumer Services
602    ATVI 1/2/1998 92 ACTIVISION BLIZZARD, INC Computer Software: Prepackaged Software Technology
603    ATXI 6/27/2017 0.86 AVENUE THERAPEUTICS, INC. Major Pharmaceuticals Health Care
604    AU 8/5/1998 84 ANGLOGOLD ASHANTI LIMITED Precious Metals Basic Industries
605    AUB 11/28/2014 12 ATLANTIC UNION BANKSHARES CORPORATION Major Banks Finance
606    AUBN 3/30/2005 0.87 AUBURN NATIONAL BANCORPORATION, INC. Major Banks Finance
607    AUDC 5/28/1999 37 AUDIOCODES LTD. Telecommunications Equipment Public Utilities
608    AUG 7/17/2017 1.67 AURYN RESOURCES INC. Precious Metals Basic Industries
609    AUMN 8/3/2009 15 GOLDEN MINERALS COMPANY Precious Metals Basic Industries
610    AUPH 9/3/2014 12 AURINIA PHARMACEUTICALS INC Major Pharmaceuticals Health Care
611    AUSF 8/28/2018 0.22 GLOBAL X FUNDS GLOBAL X ADAPTIVE U.S. FACTOR ETF Exchange Traded Fund Financial
612    AUTL 6/22/2018 1.91 AUTOLUS THERAPEUTICS PLC Biotechnology: Biological Products (No Diagnostic Substances) Health Care
613    AUTO 5/16/2007 8.93 AUTOWEB, INC. Computer Software: Programming, Data Processing Technology
614    AUY 3/13/2007 65 YAMANA GOLD INC. Precious Metals Basic Industries
615    AVA 1/4/1999 61 AVISTA CORPORATION Power Generation Public Utilities
616    AVAL 9/23/2014 8.44 GRUPO AVAL ACCIONES Y VALORES S.A. Commercial Banks Finance
617    AVAV 1/23/2007 34 AEROVIRONMENT, INC. Aerospace Capital Goods
618    AVB 6/5/1998 71 AVALONBAY COMMUNITIES, INC. Real Estate Investment Trusts Consumer Services
619    AVCO 12/6/2016 1.35 AVALON GLOBOCARE CORP. Professional Services Consumer Services
620    AVD 3/7/2006 31 AMERICAN VANGUARD CORPORATION Agricultural Chemicals Basic Industries
621    AVDE 9/26/2019 0.05 AVANTIS INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
622    AVDL 5/4/2007 20 AVADEL PHARMACEUTICALS PLC Major Pharmaceuticals Health Care
623    AVDV 9/26/2019 0.06 AVANTIS INTERNATIONAL SMALL CAP VALUE ETF Exchange Traded Fund Financial
624    AVEM 9/19/2019 0.06 AVANTIS EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
625    AVEO 3/12/2010 27 AVEO PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
626    AVGO 8/6/2009 47 BROADCOM LIMITED Semiconductors Technology
627    AVGOP 9/25/2019 0.12 BROADCOM INC. Semiconductors Technology
628    AVGR 1/30/2015 10 AVINGER, INC. Medical/Dental Instruments Health Care
629    AVH 11/6/2013 10 AVIANCA HOLDINGS S.A. Air Freight/Delivery Services Transportation
630    AVID 1/2/1998 53 AVID TECHNOLOGY, INC. Computer Software: Prepackaged Software Technology
631    AVK 4/30/2003 21 ADVENT CLAYMORE CONVERTIBLE SECURITIES AND INCOME FUND
632    AVLR 6/15/2018 5.48 AVALARA, INC. Computer Software: Prepackaged Software Technology
633    AVNS 11/3/2014 16 AVANOS MEDICAL, INC. Industrial Specialties Health Care
634    AVNW 1/29/2010 14 AVIAT NETWORKS, INC. Radio And Television Broadcasting And Communications Equipment Technology
635    AVP 1/2/1998 93 AVON PRODUCTS, INC. Package Goods/Cosmetics Consumer Non-Durables
636    AVRO 6/21/2018 2.75 AVROBIO, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
637    AVT 1/2/1998 80 AVNET, INC. Electronic Components Consumer Non-Durables
638    AVTR 5/14/2007 8.87 AVATAR HOLDINGS INC. Operative Builders Construction
639    AVTR.A 5/17/2019 0.26 AVANTOR, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
640    AVUS 9/26/2019 0.06 AVANTIS U.S. EQUITY ETF Exchange Traded Fund Financial
641    AVUV 9/26/2019 0.06 AVANTIS U.S. SMALL CAP VALUE ETF Exchange Traded Fund Financial
642    AVX 1/2/1998 57 AVX CORPORATION Electrical Products Capital Goods
643    AVXL 5/16/2007 13 ANAVEX LIFE SCIENCES CORP. Biotechnology: Commercial Physical & Biological Resarch Health Care
644    AVY 1/2/1998 80 AVERY DENNISON CORPORATION Containers/Packaging Consumer Durables
645    AVYA 12/19/2017 8.02 AVAYA HOLDINGS CORP. Telecommunications Equipment Public Utilities
646    AWF 1/2/1998 38 ALLIANCE WORLD DOLLAR GOVERNMENT FUND II
647    AWI 10/18/2006 43 ARMSTRONG WORLD INDUSTRIES INC Plastic Products Consumer Non-Durables
648    AWK 4/23/2008 48 AMERICAN WATER WORKS Water Supply Public Utilities
649    AWP 4/26/2007 31 ALPINE GLOBAL PREMIER PROPERTIES FUND
650    AWR 7/1/1998 39 AMERICAN STATES WATER COMPANY Water Supply Public Utilities
651    AWRE 1/2/1998 18 AWARE, INC. Computer Software: Prepackaged Software Technology
652    AWSM 5/10/2007 8.04
653    AWTM 1/29/2019 0.06 AWARE ULTRA-SHORT DURATION ENHANCED INCOME ETF Exchange Traded Fund Financial
654    AWX 6/23/1998 2.39 AVALON HOLDINGS CORPORATION Environmental Services Public Utilities
655    AX 5/16/2007 26 AXOS FINANCIAL, INC. Savings Institutions Finance
656    AXAS 7/25/2008 36 ABRAXAS PETROLEUM CORPORATION Oil & Gas Production Energy
657    AXDX 10/9/2003 17 ACCELERATE DIAGNOSTICS, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
658    AXE 1/2/1998 55 ANIXTER INTERNATIONAL INC. Telecommunications Equipment Consumer Non-Durables
659    AXGN 5/16/2007 12 AXOGEN, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
660    AXGT 6/11/2015 14 AXOVANT GENE THERAPIES LTD. Major Pharmaceuticals Health Care
661    AXJL 5/16/2007 1.95 WISDOMTREE ASIA PACIFIC EX-JAPA WisdomTree Pacific/Asia ex-Japan Stk
662    AXL 1/29/1999 73 AMERICAN AXLE & MANUFACTURING HOLDINGS, INC. Auto Parts:O.E.M. Capital Goods
663    AXLA 5/9/2019 0.37 AXCELLA HEALTH INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
664    AXNX 10/31/2018 2.71 AXONICS MODULATION TECHNOLOGIES, INC. Medical/Dental Instruments Health Care
665    AXO 3/4/2016 0.27 AXOS FINANCIAL, INC. Savings Institutions Finance
666    AXP 1/2/1998 100 AMERICAN EXPRESS COMPANY Finance: Consumer Services Finance
667    AXR 1/2/1998 6.94 AMREP CORPORATION Newspapers/Magazines Consumer Services
668    AXS 7/1/2003 59 AXIS CAPITAL HOLDINGS LIMITED Property-Casualty Insurers Finance
669    AXS.D 5/24/2013 2.62 AXIS CAPITAL HOLDINGS LIMITED Property-Casualty Insurers Finance
670    AXS.E 11/22/2016 2.64 AXIS CAPITAL HOLDINGS LIMITED Property-Casualty Insurers Finance
671    AXSM 11/19/2015 7.68 AXSOME THERAPEUTICS, INC. Major Pharmaceuticals Health Care
672    AXTA 11/12/2014 22 AXALTA COATING SYSTEMS LTD. Paints/Coatings Basic Industries
673    AXTI 5/21/1998 32 AXT INC Semiconductors Technology
674    AXU 9/20/2007 20 ALEXCO RESOURCE CORP Precious Metals Basic Industries
675    AY 6/13/2014 19 ATLANTICA YIELD PLC Electric Utilities: Central Public Utilities
676    AYI 12/3/2001 58 ACUITY BRANDS INC Building Products Consumer Durables
677    AYR 8/8/2006 45 AIRCASTLE LIMITED Diversified Commercial Services Technology
678    AYTU 10/7/2015 3.39 AYTU BIOSCIENCE, INC. Major Pharmaceuticals Health Care
679    AYX 3/24/2017 11 ALTERYX, INC. Computer Software: Prepackaged Software Technology
680    AZN 4/6/1999 86 ASTRAZENECA PLC Major Pharmaceuticals Health Care
681    AZO 1/2/1998 78 AUTOZONE, INC. Other Specialty Stores Consumer Services
682    AZPN 3/22/2005 46 ASPEN TECHNOLOGY, INC. EDP Services Technology
683    AZRE 10/12/2016 1.12 AZURE POWER GLOBAL LIMITED Electric Utilities: Central Public Utilities
684    AZRX 10/11/2016 1.92 AZURRX BIOPHARMA, INC. Major Pharmaceuticals Health Care
685    AZUL 4/11/2017 9.31 AZUL S.A. Air Freight/Delivery Services Transportation
686    AZZ 1/2/1998 30 AZZ INC. Building Products Consumer Durables
687    B 1/2/1998 50 BARNES GROUP, INC. Metal Fabrications Capital Goods
688    BA 1/2/1998 104 BOEING COMPANY (THE) Aerospace Capital Goods
689    BAB 11/17/2009 15 POWERSHARES BUILD AMERICA BOND PowerShares Long-Term Bond
690    BABA 9/19/2014 36 ALIBABA GROUP HOLDING LIMITED Business Services Miscellaneous
691    BAC 1/2/1998 133 BANK OF AMERICA CORPORATION Major Banks Finance
692    BAC.A 4/26/2016 3.69 BANK OF AMERICA CORPORATION Major Banks Finance
693    BAC.B 5/2/2007 8.06 BANK OF AMERICA CORPORATION Major Banks Finance
694    BAC.C 5/16/2007 16 BANK OF AMERICA CORPORATION Major Banks Finance
695    BAC.E 5/16/2007 6.5 BANK OF AMERICA CORPORATION Major Banks Finance
696    BAC.K 7/25/2018 1.99 BANK OF AMERICA CORPORATION Major Banks Finance
697    BAC.L 1/31/2008 9.15 BANK OF AMERICA CORPORATION Major Banks Finance
698    BAC.M 6/26/2019 1.02 BANK OF AMERICA CORPORATION Major Banks Finance
699    BAC.N 9/18/2019 0.58 BANK OF AMERICA CORPORATION Major Banks Finance
700    BAC.Y 5/16/2007 8.94 BANK OF AMERICA CORPORATION Major Banks Finance
701    BAF 10/29/2002 5.38 BLACKROCK INCOME INVESTMENT QUALITY TRUST
702    BAH 11/18/2010 32 BOOZ ALLEN HAMILTON HOLDING CORPORATION Professional Services Consumer Services
703    BAK 9/3/2002 45 BRASKEM S.A. Major Chemicals Basic Industries
704    BAL 6/25/2008 3.96 IPATH DJ-UBS COTTON SUBINDEX TO iPath Commodities Agriculture
705    BAM 10/5/2005 59 BROOKFIELD ASSET MANAGEMENT INC Building operators Consumer Services
706    BANC 6/13/2006 22 BANC OF CALIFORNIA, INC. Major Banks Finance
707    BANC.D 4/9/2015 0.93 BANC OF CALIFORNIA, INC. Major Banks Finance
708    BANC.E 2/9/2016 0.84 BANC OF CALIFORNIA, INC. Major Banks Finance
709    BAND 11/10/2017 4.19 BANDWIDTH INC. Computer Software: Prepackaged Software Technology
710    BANF 1/2/1998 12 BANCFIRST CORPORATION Major Banks Finance
711    BANFP 11/14/2006 0.3 BANCFIRST CORPORATION Major Banks Finance
712    BANR 10/30/2000 32 BANNER CORPORATION Major Banks Finance
713    BANX 11/7/2013 1.86 STONECASTLE FINANCIAL CORP
714    BAP 1/2/1998 46 CREDICORP LTD. Commercial Banks Finance
715    BAPR 4/1/2019 0.1 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
716    BAR 9/1/2017 1.24 GRANITESHARES GOLD TRUST Exchange Traded Fund Financial
717    BASI 1/2/1998 3.16 BIOANALYTICAL SYSTEMS, INC. Biotechnology: Commercial Physical & Biological Resarch Health Care
718    BATRA 4/18/2016 3.88 LIBERTY MEDIA CORPORATION Broadcasting Consumer Services
719    BATRK 4/18/2016 6.68 LIBERTY MEDIA CORPORATION Broadcasting Consumer Services
720    BATT 6/6/2018 0.2 AMPLIFY ADVANCED BATTERY METALS AND MATERIALS ETF Exchange Traded Fund Financial
721    BAUG 8/1/2019 0.08 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
722    BAX 1/2/1998 95 BAXTER INTERNATIONAL INC. Medical/Dental Instruments Health Care
723    BB 4/25/2007 66 BLACKBERRY LIMITED Computer Software: Prepackaged Software Technology
724    BBAR 5/16/2007 23 BANCO BBVA ARGENTINA S.A. Commercial Banks Finance
725    BBAX 8/8/2018 1.71 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
726    BBBY 1/2/1998 97 BED BATH & BEYOND INC. Home Furnishings Consumer Services
727    BBC 12/17/2014 1.45 VIRTUS LIFESCI BIOTECH CLINICAL TRIALS ETF
728    BBCA 8/8/2018 2.46 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
729    BBCP 8/21/2017 1.13 CONCRETE PUMPING HOLDINGS, INC. Engineering & Construction Basic Industries
730    BBD 8/2/2002 73 BANCO BRADESCO SA Major Banks Finance
731    BBDC 5/16/2007 24 BARINGS BDC, INC.
732    BBDO 3/13/2012 0.7 BANCO BRADESCO SA Major Banks Finance
733    BBEU 6/18/2018 2.92 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
734    BBF 7/27/2001 4.82 BLACKROCK MUNICIPAL INCOME INVESTMENT TRUST
735    BBGI 2/11/2000 5.75 BEASLEY BROADCAST GROUP, INC. Broadcasting Consumer Services
736    BBH 11/23/1999 39 VANECK VECTORS BIOTECH ETF
737    BBI 8/11/1999 56 BLOCKBUSTER INC NYSE NYSE
738    BBIN 12/5/2019 0.01 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
739    BBIO 6/27/2019 1.4 BRIDGEBIO PHARMA, INC. Major Pharmaceuticals Health Care
740    BBJP 6/18/2018 3.54 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
741    BBK 5/10/2002 5.78 BLACKROCK MUNICIPAL BOND TRUST
742    BBL 6/25/2003 58 BHP BILLITON PLC Coal Mining Energy
743    BBN 8/30/2010 17 BALCKROCK TAXABLE MUNICIPAL BOND TRUST
744    BBP 12/17/2014 0.9 VIRTUS LIFESCI BIOTECH PRODUCTS ETF
745    BBQ 5/16/2007 6.88 BBQ HOLDINGS, INC. Restaurants Consumer Services
746    BBRE 6/18/2018 0.24 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
747    BBSA 3/13/2019 0.06 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
748    BBSI 8/14/2002 17 BARRETT BUSINESS SERVICES, INC. Professional Services Technology
749    BBU 6/1/2016 2.02 BROOKFIELD BUSINESS PARTNERS L.P. Engineering & Construction Basic Industries
750    BBUS 3/13/2019 0.11 J.P. MORGAN EXCHANGE-TRADED FUND TRUST Exchange Traded Fund Financial
751    BBVA 12/14/2009 41 BANCO BILBAO VISCAYA ARGENTARIA S.A. Commercial Banks Finance
752    BBW 10/28/2004 29 BUILD-A-BEAR WORKSHOP, INC. Recreational Products/Toys Consumer Services
753    BBX 7/13/2017 5.49 BBX CAPITAL CORPORATION Real Estate Finance
754    BBY 1/2/1998 99 BEST BUY CO., INC. Consumer Electronics/Video Chains Consumer Services
755    BC 1/2/1998 80 BRUNSWICK CORPORATION Industrial Machinery/Components Energy
756    BC.A 10/8/2018 0.44 BRUNSWICK CORPORATION Industrial Machinery/Components Energy
757    BC.B 12/6/2018 0.31 BRUNSWICK CORPORATION Industrial Machinery/Components Energy
758    BC.C 3/8/2019 0.49 BRUNSWICK CORPORATION Industrial Machinery/Components Energy
759    BCBP 5/2/2006 2.62 BCB BANCORP, INC. (NJ) Savings Institutions Finance
760    BCC 2/6/2013 21 BOISE CASCADE, L.L.C. RETAIL: Building Materials Consumer Services
761    BCD 3/31/2017 0.09 ABERDEEN STANDARD BLOOMBERG ALL COMMODITY LONGER DATED STRATEG Exchange Traded Fund Financial
762    BCDA 11/28/2008 0.8 BIOCARDIA, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
763    BCDAW 8/2/2019 0.01 BIOCARDIA, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
764    BCDS 1/28/2011 0.97 BCD SEMICONDUCTOR MANUFACTURING Semiconductor Equipment & Materials Technology
765    BCE 1/2/1998 75 BCE, INC. Telecommunications Equipment Public Utilities
766    BCEI 12/15/2011 28 BONANZA CREEK ENERGY, INC. Oil & Gas Production Energy
767    BCEL 6/20/2019 0.82 ATRECA, INC. Major Pharmaceuticals Health Care
768    BCH 8/2/2002 11 BANCO DE CHILE Commercial Banks Finance
769    BCI 3/31/2017 0.86 ABERDEEN STANDARD BLOOMBERG ALL COMMODITY STRATEGY K-1 FREE ET Exchange Traded Fund Financial
770    BCLI 5/16/2007 6.11 BRAINSTORM CELL THERAPEUTICS INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
771    BCM 4/21/2011 0.53 IPATH PURE BETA BROAD COMMODITY Commercial Banks, Not Elsewhere Classified Finance, Insurance, and Real Estate
772    BCML 5/16/2007 0.97 BAYCOM CORP Major Banks Finance
773    BCO 5/5/2003 54 BRINK'S COMPANY (THE) Oil Refining/Marketing Transportation
774    BCOM 8/4/2009 0.8 B COMMUNICATIONS LTD. Telecommunications Equipment Consumer Services
775    BCOR 12/15/1998 70 BLUCORA, INC. Finance: Consumer Services Finance
776    BCOV 2/17/2012 17 BRIGHTCOVE INC. EDP Services Technology
777    BCOW 1/9/2019 0.08 1895 BANCORP OF WISCONSIN, INC. Banks Finance
778    BCPC 12/22/2006 24 BALCHEM CORPORATION Major Chemicals Basic Industries
779    BCRH 11/6/2013 3.28 BLUE CAPITAL REINSURANCE HOLDINGS LTD. Property-Casualty Insurers Finance
780    BCRX 1/2/1998 48 BIOCRYST PHARMACEUTICALS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
781    BCS 1/2/1998 72 BARCLAYS PLC Commercial Banks Finance
782    BCSF 11/15/2018 2.36 BAIN CAPITAL SPECIALTY FINANCE, INC.
783    BCTF 10/12/2016 0.18 BANCORP 34, INC. Savings Institutions Finance
784    BCV 1/2/1998 4.66 BANCROFT FUND LIMITED
785    BCV.A 8/11/2016 0.19 BANCROFT FUND LIMITED
786    BCX 3/29/2011 18 BLACKROCK RESOURCES
787    BCYC 5/23/2019 0.29 BICYCLE THERAPEUTICS PLC Major Pharmaceuticals Health Care
788    BDC 7/16/2004 48 BELDEN INC Telecommunications Equipment Basic Industries
789    BDCL 5/25/2011 9.29 2XLEVERAGED LONG EXCHANGE TRADE
790    BDCS 4/28/2011 2.5 UBS AG EXCHANGE TRADED ACCESS S
791    BDCZ 10/9/2015 0.07 UBS AG Major Banks Finance
792    BDEC 12/2/2019 0.04 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
793    BDGE 9/27/2002 6.42 BRIDGE BANCORP, INC. Major Banks Finance
794    BDJ 8/30/2005 33 BLACKROCK ENHANCED EQUITY DIVIDEND TRUST
795    BDL 5/3/2006 0.74 FLANIGAN'S ENTERPRISES, INC. Restaurants Consumer Services
796    BDN 1/2/1998 73 BRANDYWINE REALTY TRUST Real Estate Investment Trusts Consumer Services
797    BDR 1/2/1998 3.44 BLONDER TONGUE LABORATORIES, INC. Radio And Television Broadcasting And Communications Equipment Technology
798    BDRY 3/22/2018 0.14 BREAKWAVE DRY BULK SHIPPING ETF Exchange Traded Fund Financial
799    BDSI 7/25/2002 28 BIODELIVERY SCIENCES INTERNATIONAL, INC. Major Pharmaceuticals Health Care
800    BDX 1/2/1998 89 BECTON, DICKINSON AND COMPANY Medical/Dental Instruments Health Care
801    BDXA 5/18/2017 1.8 BECTON, DICKINSON AND COMPANY Medical/Dental Instruments Health Care
802    BE 7/25/2018 5.71 BLOOM ENERGY CORPORATION Industrial Machinery/Components Energy
803    BEAT 3/19/2008 29 BIOTELEMETRY, INC. Medical Specialities Health Care
804    BECN 9/23/2004 52 BEACON ROOFING SUPPLY, INC. RETAIL: Building Materials Consumer Services
805    BEDU 5/18/2017 4.73 BRIGHT SCHOLAR EDUCATION HOLDINGS LIMITED Other Consumer Services Consumer Services
806    BELFA 7/10/1998 2.43 BEL FUSE INC. Electrical Products Capital Goods
807    BELFB 7/10/1998 16 BEL FUSE INC. Electrical Products Capital Goods
808    BEN 1/2/1998 88 FRANKLIN RESOURCES, INC. Investment Managers Finance
809    BEP 6/11/2013 8.81 BROOKFIELD RENEWABLE PARTNERS L.P. Electric Utilities: Central Public Utilities
810    BERY 10/4/2012 28 BERRY GLOBAL GROUP, INC. Plastic Products Consumer Non-Durables
811    BEST 2/14/2008 4.51 SHINER INTERNATIONAL, INC. Packaging & Containers Consumer Goods
812    BF.A 1/2/1998 6.52 BROWN FORMAN CORPORATION
813    BF.B 1/2/1998 70 BROWN FORMAN CORPORATION
814    BFAM 1/25/2013 16 BRIGHT HORIZONS FAMILY SOLUTIONS INC. Other Consumer Services Miscellaneous
815    BFC 5/17/2007 0.49 BANK FIRST CORPORATION Major Banks Finance
816    BFIN 6/28/2005 13 BANKFINANCIAL CORPORATION Savings Institutions Finance
817    BFIT 9/6/2016 0.12 GLOBAL X HEALTH & WELLNESS THEMATIC ETF
818    BFK 7/27/2001 16 BLACKROCK MUNICIPAL INCOME TRUST
819    BFO 9/29/2003 1.91 BLACKROCK FLORIDA MUNICIPAL 2020 TERM TRUST
820    BFOR 6/4/2013 2.13 BARRON'S 400 Exchange Traded Fund Financial
821    BFRA 2/14/2018 0.09 BIOFRONTERA AG Major Pharmaceuticals Health Care
822    BFS 1/2/1998 18 SAUL CENTERS, INC. Real Estate Investment Trusts Consumer Services
823    BFS.D 1/25/2018 0.17 SAUL CENTERS, INC. Real Estate Investment Trusts Consumer Services
824    BFS.E 9/19/2019 0.08 SAUL CENTERS, INC. Real Estate Investment Trusts Consumer Services
825    BFST 4/11/2018 0.58 BUSINESS FIRST BANCSHARES, INC. Major Banks Finance
826    BFY 7/30/2002 3.17 BLACKROCK NEW YORK MUNICIPAL INCOME TRUST II
827    BFZ 7/27/2001 11 BLACKROCK CALIFORNIA MUNICIPAL INCOME TRUST
828    BG 8/2/2001 70 BUNGE LIMITED Packaged Foods Consumer Non-Durables
829    BGB 9/26/2012 13 BLACKSTONE / GSO STRATEGIC CREDIT FUND
830    BGCP 4/2/2008 47 BGC PARTNERS, INC. Investment Bankers/Brokers/Service Finance
831    BGFV 10/6/2005 36 BIG 5 SPORTING GOODS CORPORATION Other Specialty Stores Consumer Services
832    BGG 1/2/1998 66 BRIGGS & STRATTON CORPORATION Industrial Machinery/Components Energy
833    BGH 10/26/2012 8.24 BABSON GLOBAL SHORT DURATION HIGH YIELD FUND
834    BGI 11/15/2005 1.62 BIRKS GROUP INC. Consumer Specialties Consumer Services
835    BGIO 2/24/2017 1.77 BLACKROCK 2022 GLOBAL INCOME OPPORTUNITY TRUST
836    BGNE 2/3/2016 9.7 BEIGENE, LTD. Major Pharmaceuticals Health Care
837    BGR 12/23/2004 25 BLACKROCK ENERGY AND RESOURCES TRUST
838    BGRN 11/27/2018 0.07 ISHARES GLOBAL GREEN BOND ETF
839    BGS 5/23/2007 41 B&G FOODS, INC. Packaged Foods Consumer Non-Durables
840    BGSF 2/19/2015 3.66 BG STAFFING INC Professional Services Technology
841    BGT 8/30/2004 16 BLACKROCK GLOBAL
842    BGX 1/27/2011 8.01 BLACKSTONE GSO LONG SHORT CREDIT INCOME FUND
843    BGY 5/25/2007 32 BLACKROCK INTERNATIONAL, LTD.
844    BH 8/4/2009 11 BIGLARI HOLDINGS INC. Restaurants Consumer Services
845    BH.A 5/1/2018 0.2 BIGLARI HOLDINGS INC. Restaurants Consumer Services
846    BHAT 7/26/2019 0.31 BLUE HAT INTERACTIVE ENTERTAINMENT TECHNOLOGY Recreational Products/Toys Consumer Non-Durables
847    BHB 12/29/2003 3.44 BAR HARBOR BANKSHARES, INC. Major Banks Finance
848    BHC 4/27/2007 60 BAUSCH HEALTH COMPANIES INC. Major Pharmaceuticals Health Care
849    BHE 1/2/1998 63 BENCHMARK ELECTRONICS, INC. Electrical Products Technology
850    BHF 7/17/2017 9.95 BRIGHTHOUSE FINANCIAL, INC. Life Insurance Finance
851    BHFAL 9/14/2018 0.94 BRIGHTHOUSE FINANCIAL, INC. Life Insurance Finance
852    BHFAP 3/26/2019 0.62 BRIGHTHOUSE FINANCIAL, INC. Life Insurance Finance
853    BHK 11/28/2001 20 BLACKROCK CORE BOND TRUST
854    BHLB 10/25/2005 21 BERKSHIRE HILLS BANCORP, INC. Banks Finance
855    BHP 1/2/1998 82 BHP BILLITON LIMITED Precious Metals Basic Industries
856    BHR 11/20/2013 13 BRAEMAR HOTELS & RESORTS INC. Real Estate Investment Trusts Consumer Services
857    BHR.B 5/2/2016 0.42 BRAEMAR HOTELS & RESORTS INC. Real Estate Investment Trusts Consumer Services
858    BHR.D 11/26/2018 0.17 BRAEMAR HOTELS & RESORTS INC. Real Estate Investment Trusts Consumer Services
859    BHTG 10/28/2015 0.69 BIOHITECH GLOBAL, INC. Other Consumer Services Consumer Services
860    BHV 6/26/2006 0.79 BLACKROCK VIRGINIA MUNICIPAL BOND TRUST
861    BHVN 5/4/2017 7.91 BIOHAVEN PHARMACEUTICAL HOLDING COMPANY LTD. Major Pharmaceuticals Health Care
862    BIB 4/9/2010 18 PROSHARES ULTRA NASDAQ BIOTECHNOLOGY
863    BIBL 10/31/2017 0.33 INSPIRE 100 ETF Exchange Traded Fund Financial
864    BICK 4/13/2010 1.48 FIRST TRUST BICK INDEX FUND
865    BIDU 8/5/2005 76 BAIDU, INC. Computer Software: Programming, Data Processing Technology
866    BIF 5/10/2002 12 USLIFE INCOME FUND, INC.
867    BIG 8/18/2006 56 BIG LOTS, INC. Department/Specialty Retail Stores Consumer Services
868    BIIB 1/2/1998 97 BIOGEN INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
869    BIL 5/30/2007 23 SPDR LEHMAN 1-3 MONTH T-BILL ET State Street Global Advisors Ultrashort Bond
870    BILI 3/28/2018 8.98 BILIBILI INC. EDP Services Technology
871    BILL 12/12/2019 0.38 BILL.COM HOLDINGS, INC. Computer Software: Prepackaged Software Technology
872    BIMI 8/26/2009 3.85 BOQI INTERNATIONAL MEDICAL INC. Metal Fabrications Capital Goods
873    BIO 5/10/2002 34 BIO-RAD LABORATORIES, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
874    BIO.B 8/20/2001 0.18 BIO-RAD LABORATORIES, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
875    BIOC 2/5/2014 11 BIOCEPT, INC. Medical Specialities Health Care
876    BIOL 10/6/2005 18 BIOLASE, INC. Medical/Dental Instruments Health Care
877    BIOS 3/14/2005 41 BIOSCRIP, INC. Medical/Nursing Services Health Care
878    BIOX 3/15/2019 0.22 BIOCERES CROP SOLUTIONS CORP. Agricultural Chemicals Basic Industries
879    BIP 1/31/2008 31 BROOKFIELD INFRASTRUCTURE PARTNERS LP Marine Transportation Consumer Services
880    BIS 4/9/2010 11 PROSHARES ULTRASHORT NASDAQ BIOTECHNOLOGY
881    BIT 2/26/2013 11 BLACKROCK MULTI-SECTOR INCOME TRUST
882    BITA 11/18/2010 26 BITAUTO HOLDINGS LIMITED EDP Services Technology
883    BIV 4/10/2007 30 VANGUARD IT BOND ETF Vanguard Intermediate-Term Bond
884    BIVI 5/5/2014 0.19
885    BIZD 2/12/2013 3.82 VANECK VECTORS BDC INCOME ETF Exchange Traded Fund Financial
886    BJ 1/2/1998 52 BJS WHOLESALE CLUB INC Variety Stores Retail Trade
887    BJAN 1/2/2019 0.13 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
888    BJK 1/24/2008 2.8 MARKET VECTORS GAMING ETF Van Eck Consumer Cyclical
889    BJRI 8/16/2004 44 BJ'S RESTAURANTS, INC. Restaurants Consumer Services
890    BJUL 8/29/2018 0.18 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
891    BJUN 6/3/2019 0.02 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
892    BK 1/2/1998 96 BANK OF NEW YORK MELLON CORPORATION (THE) Major Banks Finance
893    BK.C 9/21/2012 5.75 BANK OF NEW YORK MELLON CORPORATION (THE) Major Banks Finance
894    BKCC 6/27/2007 35 BLACKROCK CAPITAL INVESTMENT CORPORATION
895    BKD 11/22/2005 54 BROOKDALE SENIOR LIVING INC. Hospital/Nursing Management Health Care
896    BKE 1/2/1998 53 BUCKLE, INC. (THE) Clothing/Shoe/Accessory Stores Consumer Services
897    BKEP 12/31/2010 5.73 BLUEKNIGHT ENERGY PARTNERS L.P., L.L.C. Natural Gas Distribution Energy
898    BKEPP 3/5/2012 1.35 BLUEKNIGHT ENERGY PARTNERS L.P., L.L.C. Natural Gas Distribution Energy
899    BKF 11/20/2007 12 ISHARES MSCI BRIC INDEX FUND iShares Diversified Emerging Mkts
900    BKH 1/2/1998 57 BLACK HILLS CORPORATION Electric Utilities: Central Public Utilities
901    BKI 1/2/1998 41 BLACK KNIGHT, INC. Computer Software: Prepackaged Software Technology
902    BKJ 6/3/2008 0.91 BANCORP OF NEW JERSEY, INC Major Banks Finance
903    BKK 9/29/2003 6 BLACKROCK MUNICIPAL 2020 TERM TRUST
904    BKLN 3/3/2011 32 POWERSHARES EXCHANGE-TRADED FUN PowerShares Bank Loan
905    BKN 1/2/1998 8.38 BLACKROCK INVESTMENT QUALITY MUNICIPAL TRUST INC. (THE)
906    BKNG 4/30/2007 56 BOOKING HOLDINGS INC. Business Services Miscellaneous
907    BKR 3/15/2018 8.5 BAKER (MICHAEL) CORPORATION COM Management Services Services
908    BKSC 3/8/2006 0.84 BANK OF SOUTH CAROLINA CORP. Major Banks Finance
909    BKT 1/2/1998 23 BLACKROCK INCOME TRUST INC. (THE)
910    BKTI 4/26/2007 4.52 BK TECHNOLOGIES CORPORATION Radio And Television Broadcasting And Communications Equipment Technology
911    BKU 1/28/2011 31 BANKUNITED, INC. Savings Institutions Finance
912    BKYI 12/11/2006 1.92 BIO-KEY INTERNATIONAL, INC. Computer Communications Equipment Technology
913    BL 10/28/2016 9.11 BLACKLINE, INC. Computer Software: Prepackaged Software Technology
914    BLBD 3/20/2014 4.96 BLUE BIRD CORPORATION Construction/Ag Equipment/Trucks Capital Goods
915    BLCM 12/18/2014 15 BELLICUM PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
916    BLCN 1/17/2018 1.08 REALITY SHARES NASDAQ NEXTGEN ECONOMY ETF
917    BLD 6/17/2015 13 TOPBUILD CORP. Engineering & Construction Basic Industries
918    BLDP 3/31/1999 56 BALLARD POWER SYSTEMS, INC. Industrial Machinery/Components Energy
919    BLDR 6/28/2005 40 BUILDERS FIRSTSOURCE, INC. RETAIL: Building Materials Consumer Services
920    BLE 7/30/2002 11 BLACKROCK MUNICIPAL INCOME TRUST II
921    BLES 2/28/2017 0.5 INSPIRE GLOBAL HOPE ETF Exchange Traded Fund Financial
922    BLFS 5/16/2007 5.96 BIOLIFE SOLUTIONS, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
923    BLHY 12/14/2016 0.56 VIRTUS NEWFLEET DYNAMIC CREDIT Exchange Traded Fund Financial
924    BLIN 8/4/2009 4.44 BRIDGELINE DIGITAL, INC. Computer Software: Prepackaged Software Technology
925    BLK 10/1/1999 64 BLACKROCK, INC. Investment Bankers/Brokers/Service Finance
926    BLKB 7/26/2004 42 BLACKBAUD, INC. Computer Software: Prepackaged Software Technology
927    BLL 1/2/1998 81 BALL CORPORATION Containers/Packaging Consumer Durables
928    BLMN 8/8/2012 30 BLOOMIN' BRANDS, INC. Restaurants Consumer Services
929    BLNK 2/14/2018 3.73 BLINK CHARGING CO. Electrical Products Consumer Durables
930    BLNKW 2/14/2018 0.39 BLINK CHARGING CO. Electrical Products Consumer Durables
931    BLOK 1/25/2018 1.9 AMPLIFY TRANSFORMATIONAL DATA SHARING ETF Exchange Traded Fund Financial
932    BLPH 2/13/2015 5.42 BELLEROPHON THERAPEUTICS, INC. Major Pharmaceuticals Health Care
933    BLRX 7/27/2011 9.09 BIOLINERX LTD. Major Pharmaceuticals Health Care
934    BLU 1/2/1998 6.65 BELLUS HEALTH INC. Major Pharmaceuticals Health Care
935    BLUE 6/19/2013 24 BLUEBIRD BIO, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
936    BLV 4/10/2007 14 VANGUARD LT BOND ETF Vanguard Long-Term Bond
937    BLW 7/29/2003 22 CITIGROUP INC. Major Banks Finance
938    BLX 1/2/1998 34 BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A. Commercial Banks Finance
939    BMA 3/27/2006 29 MACRO BANK INC. Commercial Banks Finance
940    BMCH 8/9/2013 15 BMC STOCK HOLDINGS, INC. RETAIL: Building Materials Consumer Services
941    BME 3/29/2005 7.63 BLACKROCK HEALTH SCIENCES TRUST
942    BMI 1/2/1998 28 BADGER METER, INC. Industrial Machinery/Components Capital Goods
943    BML.G 1/2/2009 2.42 BANK OF AMERICA CORPORATION Major Banks Finance
944    BML.H 1/2/2009 4.36 BANK OF AMERICA CORPORATION Major Banks Finance
945    BML.J 1/2/2009 3.31 BANK OF AMERICA CORPORATION Major Banks Finance
946    BML.L 1/2/2009 5.88 BANK OF AMERICA CORPORATION Major Banks Finance
947    BMLP 1/25/2017 0.03 BANK OF MONTREAL Commercial Banks Finance
948    BMO 1/2/1998 56 BANK OF MONTREAL Commercial Banks Finance
949    BMRA 5/17/2007 0.94 BIOMERICA, INC. Medical/Dental Instruments Health Care
950    BMRC 2/5/2004 4.58 BANK OF MARIN BANCORP Major Banks Finance
951    BMRN 7/26/1999 69 BIOMARIN PHARMACEUTICAL INC. Major Pharmaceuticals Health Care
952    BMTC 2/4/2002 11 BRYN MAWR BANK CORPORATION Major Banks Finance
953    BMY 1/2/1998 103 BRISTOL-MYERS SQUIBB COMPANY Major Pharmaceuticals Health Care
954    BND 4/10/2007 45 VANGUARD TOTAL BOND MARKET ETF Vanguard Intermediate-Term Bond
955    BNDC 12/13/2016 0.12 FLEXSHARES CORE SELECT BOND FUND Exchange Traded Fund Financial
956    BNDW 9/6/2018 0.4 VANGUARD TOTAL WORLD BOND ETF
957    BNDX 6/4/2013 20 VANGUARD TOTAL INTERNATIONAL BOND ETF
958    BNED 7/23/2015 11 BARNES & NOBLE EDUCATION, INC Other Specialty Stores Consumer Services
959    BNFT 9/18/2013 15 BENEFITFOCUS, INC. Computer Software: Prepackaged Software Technology
960    BNGO 9/21/2018 1.43 BIONANO GENOMICS, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
961    BNGOW 9/21/2018 0.07 BIONANO GENOMICS, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
962    BNKD 4/3/2019 0.05 BANK OF MONTREAL Commercial Banks Finance
963    BNKL 3/5/2015 0.19
964    BNKO 4/3/2019 0.03 BANK OF MONTREAL Commercial Banks Finance
965    BNKU 4/3/2019 0.05 BANK OF MONTREAL Commercial Banks Finance
966    BNKZ 4/3/2019 0.03 BANK OF MONTREAL Commercial Banks Finance
967    BNO 6/2/2010 13 UNITED STATES BRENT OIL FUND, L United States Commodity Funds LLC Commodities Energy
968    BNOV 11/1/2019 0.04 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
969    BNS 6/7/2002 53 BANK OF NOVA SCOTIA (THE) Major Banks Finance
970    BNSO 4/27/1999 3.45 BONSO ELECTRONICS INTERNATIONAL, INC. Industrial Machinery/Components Capital Goods
971    BNTC 8/18/2015 1.13 BENITEC BIOPHARMA LIMITED Major Pharmaceuticals Health Care
972    BNTCW 8/18/2015 0.04 BENITEC BIOPHARMA LIMITED Major Pharmaceuticals Health Care
973    BNTX 10/10/2019 0.59 BIONTECH SE Biotechnology: Biological Products (No Diagnostic Substances) Health Care
974    BNY 7/27/2001 5.96 BLACKROCK NEW YORK INVESTMENT QUALITY MUNICIPAL TRUST INC. (TH
975    BOCH 8/4/2005 3.24 BANK OF COMMERCE HOLDINGS (CA) Major Banks Finance
976    BOCT 10/1/2018 0.29 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
977    BOE 5/26/2005 26 BLACKROCK GLOBAL
978    BOH 1/2/1998 59 BANK OF HAWAII CORPORATION Major Banks Finance
979    BOIL 10/6/2011 15 PROSHARES ULTRA DJ UBS NATURAL ProShares Trading-Leveraged Commodities
980    BOKF 1/2/1998 32 BOK FINANCIAL CORPORATION Major Banks Finance
981    BOKFL 6/30/2016 0.95 BOK FINANCIAL CORPORATION Major Banks Finance
982    BOLD 7/20/2016 7.86 AUDENTES THERAPEUTICS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
983    BOMN 9/6/2016 2.18 BOSTON OMAHA CORPORATION Real Estate Finance
984    BOND 3/1/2012 15 PIMCO ACTIVE BOND EXCHANGE-TRADED FUND EXCHANGE-TRADED FUND Exchange Traded Fund Financial
985    BOOM 1/5/1998 34 DMC GLOBAL INC. Industrial Specialties Capital Goods
986    BOOT 1/2/1998 19 BOOT BARN HOLDINGS, INC. Clothing/Shoe/Accessory Stores Consumer Services
987    BORR 7/31/2019 0.24 BORR DRILLING LIMITED Oil & Gas Production Energy
988    BOSC 8/2/1999 4.26 B.O.S. BETTER ONLINE SOLUTIONS Computer Communications Equipment Technology
989    BOSS 2/15/2017 0.12 GLOBAL X FUNDS Exchange Traded Fund Financial
990    BOTJ 1/25/2012 0.39 BANK OF THE JAMES FINANCIAL GROUP, INC. Major Banks Finance
991    BOTZ 9/13/2016 10 GLOBAL X ROBOTICS & ARTIFICIAL INTELLIGENCE ETF
992    BOUT 9/13/2018 0.29 INNOVATOR IBD BREAKOUT OPPORTUNITIES ETF Exchange Traded Fund Financial
993    BOX 10/29/2010 25 BOX, INC. Computer Software: Prepackaged Software Technology
994    BOXL 11/30/2017 2.1 BOXLIGHT CORPORATION Industrial Machinery/Components Miscellaneous
995    BP 8/1/2000 98 BP P.L.C. Integrated oil Companies Energy
996    BPFH 4/23/1998 56 BOSTON PRIVATE FINANCIAL HOLDINGS, INC. Major Banks Finance
997    BPMC 6/9/2015 13 BLUEPRINT MEDICINES CORPORATION Major Pharmaceuticals Health Care
998    BPMP 10/26/2017 4.65 BP MIDSTREAM PARTNERS LP Natural Gas Distribution Energy
999    BPMX 9/8/2014 12 BIOPHARMX CORPORATION Major Pharmaceuticals Health Care
1000    BPOP 1/2/1998 69 POPULAR, INC. Major Banks Finance
1001    BPOPM 11/19/2008 0.71 POPULAR, INC. Major Banks Finance
1002    BPOPN 9/13/2005 1.32 POPULAR, INC. Major Banks Finance
1003    BPR 8/28/2018 5.91 BROOKFIELD PROPERTY REIT INC. Real Estate Investment Trusts Consumer Services
1004    BPRAP 8/29/2018 0.37 BROOKFIELD PROPERTY REIT INC. Real Estate Investment Trusts Consumer Services
1005    BPRN 5/31/2017 0.55 THE BANK OF PRINCETON
1006    BPT 1/2/1998 45 BP PRUDHOE BAY ROYALTY TRUST Integrated oil Companies Energy
1007    BPTH 4/28/2008 7.64 BIO-PATH HOLDINGS, INC. Major Pharmaceuticals Health Care
1008    BPY 3/22/2013 18 BROOKFIELD PROPERTY PARTNERS L.P. Real Estate Finance
1009    BPYPO 8/21/2019 0.25 BROOKFIELD PROPERTY PARTNERS L.P. Real Estate Finance
1010    BPYPP 3/22/2019 0.31 BROOKFIELD PROPERTY PARTNERS L.P. Real Estate Finance
1011    BQH 5/10/2002 1.78 BLACKROCK NEW YORK MUNICIPAL BOND TRUST
1012    BR 4/2/2007 51 BROADRIDGE FINANCIAL SOLUTIONS, INC. Business Services Miscellaneous
1013    BRBR 10/17/2019 0.9 BELLRING BRANDS, INC. Packaged Foods Consumer Non-Durables
1014    BRBS 7/10/2007 0.05 BLUE RIDGE BANKSHARES, INC. Major Banks Finance
1015    BRC 5/18/1999 46 BRADY CORPORATION Miscellaneous manufacturing industries Consumer Durables
1016    BREW 1/2/1998 13 CRAFT BREW ALLIANCE, INC. Beverages (Production/Distribution) Consumer Non-Durables
1017    BRF 5/14/2009 14 MARKET VECTORS BRAZIL SMALL-CAP Van Eck Latin America Stock
1018    BRFS 12/10/2009 43 BRF S.A. Meat/Poultry/Fish Consumer Non-Durables
1019    BRG 3/28/2014 10 BLUEROCK RESIDENTIAL GROWTH REIT, INC. Real Estate Investment Trusts Consumer Services
1020    BRG.A 10/26/2015 0.76 BLUEROCK RESIDENTIAL GROWTH REIT, INC. Real Estate Investment Trusts Consumer Services
1021    BRG.C 7/21/2016 0.31 BLUEROCK RESIDENTIAL GROWTH REIT, INC. Real Estate Investment Trusts Consumer Services
1022    BRG.D 10/17/2016 0.4 BLUEROCK RESIDENTIAL GROWTH REIT, INC. Real Estate Investment Trusts Consumer Services
1023    BRID 10/12/2006 0.85 BRIDGFORD FOODS CORPORATION Specialty Foods Consumer Non-Durables
1024    BRK.A 1/2/1998 28 BERKSHIRE HATHAWAY INC.
1025    BRK.B 1/2/1998 75 BERKSHIRE HATHAWAY INC.
1026    BRKL 3/25/1998 51 BROOKLINE BANCORP, INC. Savings Institutions Finance
1027    BRKR 7/2/2003 56 BRUKER CORPORATION Biotechnology: Laboratory Analytical Instruments Capital Goods
1028    BRKS 1/2/1998 69 BROOKS AUTOMATION, INC. Industrial Machinery/Components Technology
1029    BRMK 11/15/2019 0.66 BROADMARK REALTY CAPITAL INC. Real Estate Investment Trusts Consumer Services
1030    BRN 1/12/2004 2.59 BARNWELL INDUSTRIES, INC. Oil & Gas Production Energy
1031    BRO 4/29/1999 70 BROWN & BROWN, INC. Specialty Insurers Finance
1032    BROG 12/17/2007 0.16 BROOGE HOLDINGS LIMITED Integrated oil Companies Energy
1033    BROGW 7/13/2018 0.13 BROOGE HOLDINGS LIMITED Integrated oil Companies Energy
1034    BRP 4/1/2011 7.43 BROOKFIELD RESIDENTIAL PROPERTIES INC. Real Estate Development Financial
1035    BRPA 12/4/2017 0.03 BIG ROCK PARTNERS ACQUISITION CORP. Business Services Finance
1036    BRPAR 12/1/2017 0.04 BIG ROCK PARTNERS ACQUISITION CORP. Business Services Finance
1037    BRPAW 12/1/2017 0.03 BIG ROCK PARTNERS ACQUISITION CORP. Business Services Finance
1038    BRPM 4/25/2019 0.05 B. RILEY PRINCIPAL MERGER CORP. Industrial Machinery/Components Capital Goods
1039    BRPM.U 4/9/2019 0.04 B. RILEY PRINCIPAL MERGER CORP. Industrial Machinery/Components Capital Goods
1040    BRT 1/2/1998 7.01 BRT APARTMENTS CORP. Real Estate Investment Trusts Consumer Services
1041    BRX 10/30/2013 27 BRIXMOR PROPERTY GROUP INC. Real Estate Investment Trusts Consumer Services
1042    BRY 9/14/2017 5.08 BERRY PETROLEUM COMPANY COMMON Independent Oil & Gas Basic Materials
1043    BRZU 4/10/2013 18 DIREXION DAILY BRAZIL BULL 3X SHARES Exchange Traded Fund Financial
1044    BSA 8/19/2016 0.97 BRIGHTSPHERE INVESTMENT GROUP INC. Investment Managers Finance
1045    BSAC 4/27/2007 37 BANCO SANTANDER CHILE Commercial Banks Finance
1046    BSAE 10/8/2018 0.07 INVESCO BULLETSHARES 2021 USD EMERGING MARKETS DEBT ETF
1047    BSBE 10/10/2018 0.06 INVESCO BULLETSHARES 2022 USD EMERGING MARKETS DEBT ETF
1048    BSBK 1/16/2020 0.03 BOGOTA FINANCIAL CORP. Banks Finance
1049    BSBR 10/7/2009 45 BANCO SANTANDER BRASIL SA Commercial Banks Finance
1050    BSCE 10/10/2018 0.06 GUGGENHEIM BULLETSHARES 2014 CO Guggenheim Funds Distributors, Inc. Intermediate-Term Bond
1051    BSCK 3/29/2012 7.76 INVESCO BULLETSHARES 2020 CORPORATE BOND ETF
1052    BSCL 7/17/2013 6.15 INVESCO BULLETSHARES 2021 CORPORATE BOND ETF
1053    BSCM 7/17/2013 5.58 INVESCO BULLETSHARES 2022 CORPORATE BOND ETF
1054    BSCN 9/17/2014 3.41 INVESCO BULLETSHARES 2023 CORPORATE BOND ETF
1055    BSCO 9/19/2014 2.97 INVESCO BULLETSHARES 2024 CORPORATE BOND ETF
1056    BSCP 10/9/2015 1.51 INVESCO BULLETSHARES 2025 CORPORATE BOND ETF
1057    BSCQ 9/22/2016 0.77 INVESCO BULLETSHARES 2026 CORPORATE BOND ETF
1058    BSCR 9/27/2017 0.41 INVESCO BULLETSHARES 2027 CORPORATE BOND ETF
1059    BSCS 8/9/2018 0.21 INVESCO BULLETSHARES 2028 CORPORATE BOND ETF
1060    BSCT 9/12/2019 0.04 INVESCO BULLETSHARES 2029 CORPORATE BOND ETF
1061    BSD 8/25/1999 5.43 BLACKROCK STRATEGIC MUNICIPAL TRUST INC. (THE)
1062    BSDE 10/16/2018 0.06 INVESCO BULLETSHARES 2024 USD EMERGING MARKETS DEBT ETF
1063    BSE 10/29/2002 3.84 BLACKROCK NEW YORK MUNICIPAL INCOME QUALITY TRUST
1064    BSEP 9/3/2019 0.02 INNOVATOR ETFS TRUST Exchange Traded Fund Financial
1065    BSET 1/2/1998 15 BASSETT FURNITURE INDUSTRIES, INCORPORATED Home Furnishings Consumer Durables
1066    BSGM 9/21/2018 1.3 BIOSIG TECHNOLOGIES, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1067    BSIG 10/9/2014 16 BRIGHTSPHERE INVESTMENT GROUP INC. Investment Managers Finance
1068    BSJK 9/24/2013 5.05 INVESCO BULLETSHARES 2020 HIGH YIELD CORPORATE BOND ETF
1069    BSJL 9/17/2014 3.31 INVESCO BULLETSHARES 2021 HIGH YIELD CORPORATE BOND ETF
1070    BSJM 9/17/2014 2.51 INVESCO BULLETSHARES 2022 HIGH YIELD CORPORATE BOND ETF
1071    BSJN 10/14/2015 1.34 INVESCO BULLETSHARES 2023 HIGH YIELD CORPORATE BOND ETF
1072    BSJO 9/14/2016 0.6 INVESCO BULLETSHARES 2024 HIGH YIELD CORPORATE BOND ETF
1073    BSJP 9/27/2017 0.42 INVESCO BULLETSHARES 2025 HIGH YIELD CORPORATE BOND ETF
1074    BSJQ 8/9/2018 0.17 INVESCO BULLETSHARES 2026 HIGH YIELD CORPORATE BOND ETF
1075    BSJR 9/12/2019 0.04 INVESCO BULLETSHARES 2027 HIGH YIELD CORPORATE BOND ETF
1076    BSL 5/26/2010 9.59 BLACKSTONE GSO SENIOR FLOATING RATE TERM FUND
1077    BSM 5/1/2015 8.41 BLACK STONE MINERALS, L.P. Oil & Gas Production Energy
1078    BSML 8/7/2009 0.02 INVESCO BULLETSHARES 2021 MUNICIPAL BOND ETF
1079    BSMM 9/27/2019 0.01 INVESCO BULLETSHARES 2022 MUNICIPAL BOND ETF
1080    BSMN 9/26/2019 0.01 INVESCO BULLETSHARES 2023 MUNICIPAL BOND ETF
1081    BSMO 9/26/2019 0.01 INVESCO BULLETSHARES 2024 MUNICIPAL BOND ETF
1082    BSMP 8/23/2007 0.01 INVESCO BULLETSHARES 2025 MUNICIPAL BOND ETF
1083    BSMQ 9/26/2019 0.01 INVESCO BULLETSHARES 2026 MUNICIPAL BOND ETF
1084    BSMR 9/26/2019 0.01 INVESCO BULLETSHARES 2027 MUNICIPAL BOND ETF
1085    BSMS 9/26/2019 0.01 INVESCO BULLETSHARES 2028 MUNICIPAL BOND ETF
1086    BSMT 9/25/2019 0.01 INVESCO BULLETSHARES 2029 MUNICIPAL BOND ETF
1087    BSMX 9/26/2012 28 BANCO SANTANDER (MXICO), S.A., INSTITUCIN DE BAN Commercial Banks Finance
1088    BSQR 10/21/1999 12 BSQUARE CORPORATION Business Services Miscellaneous
1089    BSRR 6/10/1999 8.53 SIERRA BANCORP Major Banks Finance
1090    BST 10/29/2014 7.08 BLACKROCK SCIENCE AND TECHNOLOGY TRUST
1091    BSTC 11/20/2006 7.11 BIOSPECIFICS TECHNOLOGIES CORP Major Pharmaceuticals Health Care
1092    BSTZ 6/26/2019 0.93 BLACKROCK SCIENCE AND TECHNOLOGY TRUST II
1093    BSV 4/10/2007 41 VANGUARD ST BOND ETF Vanguard Short-Term Bond
1094    BSVN 9/20/2018 0.3 BANK7 CORP. Major Banks Finance
1095    BSX 1/2/1998 94 BOSTON SCIENTIFIC CORPORATION Medical/Dental Instruments Health Care
1096    BTA 2/27/2006 8.72 BLACKROCK LONG-TERM MUNICIPAL ADVANTAGE TRUST
1097    BTAI 3/8/2018 1.49 BIOXCEL THERAPEUTICS, INC. Major Pharmaceuticals Health Care
1098    BTAL 9/13/2011 1.25 QUANTSHARES U.S. MARKET NEUTRAL FQF TRUST Market Neutral
1099    BTE 4/3/2006 44 BAYTEX ENERGY CORP Oil & Gas Production Energy
1100    BTEC 8/22/2016 0.1 PRINCIPAL HEALTHCARE INNOVATORS INDEX ETF
1101    BTG 2/5/2010 29 B2GOLD CORP Precious Metals Basic Industries
1102    BTI 1/2/1998 50 BRITISH AMERICAN TOBACCO P.L.C. Farming/Seeds/Milling Consumer Non-Durables
1103    BTN 9/24/2004 7.65 BALLANTYNE STRONG, INC Industrial Machinery/Components Miscellaneous
1104    BTO 1/2/1998 26 JOHN HANCOCK FINANCIAL OPPORTUNITIES FUND
1105    BTT 8/30/2012 11 BLACKROCK MUNICIPAL TARGET TERM TRUST INC. (THE)
1106    BTU 4/3/2017 11 PEABODY ENERGY CORPORATION Coal Mining Energy
1107    BTZ 12/22/2006 25 BLACKROCK CREDIT ALLOCATION INCOME TRUST
1108    BUD 9/16/2009 46 ANHEUSER-BUSCH INBEV SA Beverages (Production/Distribution) Consumer Non-Durables
1109    BUG 10/31/2019 0.03 GLOBAL X CYBERSECURITY ETF
1110    BUI 11/23/2011 6.55 BLACKROCK UTILITY, INFRASTRUCTURE & POWER OPPORTUN
1111    BUL 5/3/2019 0.03 PACER US CASH COWS GROWTH ETF Exchange Traded Fund Financial
1112    BURG 1/16/2013 3.38 CHANTICLEER HOLDINGS, INC. Restaurants Consumer Services
1113    BURL 10/2/2013 25 BURLINGTON STORES, INC. Department/Specialty Retail Stores Consumer Services
1114    BUSE 10/6/1998 25 FIRST BUSEY CORPORATION Major Banks Finance
1115    BUY 12/1/2017 0.06 USCF SUMMERHAVEN SHPEI INDEX FUND Exchange Traded Fund Financial
1116    BUYN 12/1/2017 0.05 USCF SUMMERHAVEN SHPEN INDEX FUND Exchange Traded Fund Financial
1117    BV 2/24/2012 21 BAZAARVOICE, INC. Application Software Technology
1118    BVAL 6/14/2017 0.12 BRAND VALUE ETF Exchange Traded Fund Financial
1119    BVN 1/2/1998 70 BUENAVENTURA MINING COMPANY INC. Precious Metals Basic Industries
1120    BVSN 3/8/2006 5.31 BROADVISION, INC. Computer Software: Prepackaged Software Technology
1121    BVXV 5/12/2015 0.83 BIONDVAX PHARMACEUTICALS LTD. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1122    BVXVW 5/12/2015 0.13 BIONDVAX PHARMACEUTICALS LTD. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1123    BW 7/1/2015 14 BABCOCK Building Products Capital Goods
1124    BWA 1/2/1998 78 BORGWARNER INC. Auto Parts:O.E.M. Capital Goods
1125    BWAY 5/16/2007 0.18 BRAINSWAY LTD. Medical/Dental Instruments Health Care
1126    BWB 3/14/2018 1.8 BRIDGEWATER BANCSHARES, INC. Major Banks Finance
1127    BWEN 3/4/2008 17 BROADWIND ENERGY, INC. Metal Fabrications Capital Goods
1128    BWFG 8/20/2012 1.28 BANKWELL FINANCIAL GROUP, INC. Major Banks Finance
1129    BWG 3/28/2012 8.38 BRANDYWINEGLOBAL GLOBAL INCOME OPPORTUNITIES FUND
1130    BWL.A 10/11/2002 0.38 BOWL AMERICA, INC.
1131    BWMC 11/16/2018 0.11 BOXWOOD MERGER CORP. Business Services Finance
1132    BWMCU 11/16/2018 0.07 BOXWOOD MERGER CORP. Business Services Finance
1133    BWMCW 2/13/2019 0.03 BOXWOOD MERGER CORP. Business Services Finance
1134    BWX 10/11/2007 24 SPDR LEHMAN INTL TREASURY BD State Street Global Advisors World Bond
1135    BWXT 8/2/2010 35 BWX TECHNOLOGIES, INC. Industrial Machinery/Components Energy
1136    BWZ 1/30/2009 3.97 SPDR BARCLAYS CAPITAL SHORT TER State Street Global Advisors World Bond
1137    BX 6/22/2007 58 THE BLACKSTONE GROUP L.P. Investment Managers Finance
1138    BXC 12/14/2004 21 BLUELINX HOLDINGS INC. Wholesale Distributors Capital Goods
1139    BXG 11/17/2017 2.62 BLUEGREEN VACATIONS CORPORATION Real Estate Finance
1140    BXMT 5/2/2007 34 CAPITAL TRUST, INC. Real Estate Investment Trusts Consumer Services
1141    BXMX 5/2/2007 20 NUVEEN S&P 500 BUY-WRITE INCOME FUND
1142    BXP 1/2/1998 74 BOSTON PROPERTIES, INC. Real Estate Investment Trusts Consumer Services
1143    BXP.B 3/28/2013 1.58 BOSTON PROPERTIES, INC. Real Estate Investment Trusts Consumer Services
1144    BXRX 11/14/2019 0.28 BAUDAX BIO, INC. Misc Health and Biotechnology Services Health Care
1145    BXS 1/2/1998 60 BANCORPSOUTH BANK Major Banks Finance
1146    BXS.A 5/16/2007 0.75 BANCORPSOUTH BANK
1147    BY 6/30/2017 2.88 BYLINE BANCORP, INC. Major Banks Finance
1148    BYD 1/2/1998 74 BOYD GAMING CORPORATION Hotels/Resorts Consumer Services
1149    BYFC 2/20/2004 0.87 BROADWAY FINANCIAL CORPORATION Savings Institutions Finance
1150    BYLD 4/24/2014 0.69 ISHARES YIELD OPTIMIZED BOND ETF Exchange Traded Fund Financial
1151    BYM 10/29/2002 12 BLACKROCK MUNICIPAL INCOME QUALITY TRUST
1152    BYND 5/2/2019 4.6 BEYOND MEAT, INC. Packaged Foods Consumer Non-Durables
1153    BYSI 3/9/2017 0.99 BEYONDSPRING, INC. Major Pharmaceuticals Health Care
1154    BZH 1/2/1998 72 BEAZER HOMES USA, INC. Homebuilding Capital Goods
1155    BZM 7/13/2006 0.87 BLACKROCK MARYLAND MUNICIPAL BOND TRUST
1156    BZQ 6/19/2009 12 PROSHARES ULTRASHORT MSCI BRAZI ProShares Trading-Inverse Equity
1157    BZUN 5/21/2015 17 BAOZUN INC. Catalog/Specialty Distribution Consumer Services
1158    C 1/2/1998 121 CITIGROUP INC. Major Banks Finance
1159    C.J 3/19/2010 9.28 CITIGROUP INC. Major Banks Finance
1160    C.K 4/26/2007 45 CITIGROUP INC. Major Banks Finance
1161    C.N 2/2/2011 2.87 CITIGROUP INC. Major Banks Finance
1162    C.PRN 6/8/2015 0.51
1163    C.PRP 5/26/2008 0.44
1164    C.PRS 5/23/2007 0.02
1165    C.S 5/4/2007 26 CITIGROUP INC. Major Banks Finance
1166    CAAP 2/1/2018 3.18 CORPORACION AMERICA AIRPORTS SA Aerospace Transportation
1167    CAAS 8/24/2004 18 CHINA AUTOMOTIVE SYSTEMS, INC. Auto Parts:O.E.M. Capital Goods
1168    CABA 10/25/2019 0.33 CABALETTA BIO, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1169    CABO 6/11/2015 3.71 CABLE ONE, INC. Television Services Consumer Services
1170    CAC 2/4/2002 8.33 CAMDEN NATIONAL CORPORATION Major Banks Finance
1171    CACC 4/26/2006 19 CREDIT ACCEPTANCE CORPORATION Finance: Consumer Services Finance
1172    CACG 5/4/2017 0.54 CLEARBRIDGE ALL CAP GROWTH ETF
1173    CACI 5/4/2009 29 CACI INTERNATIONAL, INC. EDP Services Technology
1174    CADE 4/13/2017 9.55 CADENCE BANCORPORATION Major Banks Finance
1175    CAE 1/2/1998 28 CAE INC Industrial Machinery/Components Miscellaneous
1176    CAF 9/28/2006 27 MORGAN STANLEY CHINA A SHARE FUND INC.
1177    CAG 1/2/1998 97 CONAGRA BRANDS, INC. Packaged Foods Consumer Non-Durables
1178    CAH 1/2/1998 92 CARDINAL HEALTH, INC. Other Pharmaceuticals Health Care
1179    CAI 8/16/2002 41 CAI INTERNATIONAL, INC. Diversified Commercial Services Technology
1180    CAI.A 4/6/2018 0.28 CAI INTERNATIONAL, INC. Diversified Commercial Services Technology
1181    CAI.B 8/17/2018 0.17 CAI INTERNATIONAL, INC. Diversified Commercial Services Technology
1182    CAJ 9/14/2000 52 CANON, INC. Industrial Machinery/Components Miscellaneous
1183    CAKE 1/2/1998 78 THE CHEESECAKE FACTORY INCORPORATED Restaurants Consumer Services
1184    CAL 5/4/1999 75 CALERES, INC. Shoe Manufacturing Consumer Non-Durables
1185    CALA 10/2/2014 12 CALITHERA BIOSCIENCES, INC. Major Pharmaceuticals Health Care
1186    CALF 6/19/2017 0.29 PACER FUNDS Exchange Traded Fund Financial
1187    CALM 1/2/1998 45 CAL-MAINE FOODS, INC. Farming/Seeds/Milling Consumer Non-Durables
1188    CALX 3/24/2010 24 CALIX, INC Telecommunications Equipment Consumer Services
1189    CAMP 1/2/1998 41 CALAMP CORP. Radio And Television Broadcasting And Communications Equipment Technology
1190    CAMT 7/28/2000 14 CAMTEK LTD. Electronic Components Capital Goods
1191    CAN 11/21/2019 0.3 CANAAN INC. Semiconductors Technology
1192    CANE 9/19/2011 1.32 TEUCRIUM SUGAR FUND ETV Teucrium Commodities Agriculture
1193    CANF 2/22/2013 5.1 CAN-FITE BIOPHARMA LTD Major Pharmaceuticals Health Care
1194    CANG 7/26/2018 0.2 CANGO INC. Computer Software: Prepackaged Software Technology
1195    CAPE 10/11/2012 0.59 BARCLAYS PLC Commercial Banks Finance
1196    CAPL 10/25/2012 7.5 CROSSAMERICA PARTNERS LP Oil Refining/Marketing Energy
1197    CAPR 5/13/2008 4.6 CAPRICOR THERAPEUTICS, INC. Major Pharmaceuticals Health Care
1198    CAR 9/5/2006 56 AVIS BUDGET GROUP, INC. Rental/Leasing Companies Consumer Services
1199    CARA 1/31/2014 19 CARA THERAPEUTICS, INC. Major Pharmaceuticals Health Care
1200    CARE 5/16/2007 1.48 CARTER BANK & TRUST
1201    CARG 10/12/2017 7.78 CARGURUS, INC. EDP Services Technology
1202    CARO 5/14/2014 4.56 CAROLINA FINANCIAL CORPORATION Major Banks Finance
1203    CARS 5/18/2017 10 CARS.COM INC. EDP Services Technology
1204    CART 5/16/2005 0.59 CAROLINA TRUST BANCSHARES, INC. Major Banks Finance
1205    CARV 7/10/2007 0.97 CARVER BANCORP, INC. Savings Institutions Finance
1206    CARZ 5/10/2011 1.04 FIRST TRUST NASDAQ GLOBAL AUTO INDEX FUND
1207    CASA 5/16/2007 6.14 CASA SYSTEMS, INC. Radio And Television Broadcasting And Communications Equipment Technology
1208    CASH 3/21/2006 9.11 META FINANCIAL GROUP, INC. Savings Institutions Finance
1209    CASI 4/24/2007 10 CASI PHARMACEUTICALS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1210    CASS 3/9/2004 7.53 CASS INFORMATION SYSTEMS, INC Business Services Miscellaneous
1211    CASY 1/2/1998 60 CASEYS GENERAL STORES, INC. Automotive Aftermarket Consumer Durables
1212    CAT 1/2/1998 103 CATERPILLAR, INC. Construction/Ag Equipment/Trucks Capital Goods
1213    CATB 6/25/2015 5.85 CATABASIS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1214    CATC 5/18/2007 0.58 CAMBRIDGE BANCORP Major Banks Finance
1215    CATH 4/26/2016 0.46 GLOBAL X S&P 500 CATHOLIC VALUES ETF
1216    CATM 12/13/2007 34 CARDTRONICS PLC Business Services Miscellaneous
1217    CATO 10/16/2009 26 CATO CORPORATION (THE) Clothing/Shoe/Accessory Stores Consumer Services
1218    CATS 4/26/2017 2.69 CATASYS, INC. Hospital/Nursing Management Health Care
1219    CATY 1/2/1998 53 CATHAY GENERAL BANCORP Major Banks Finance
1220    CB 1/2/1998 91 CHUBB LIMITED Property-Casualty Insurers Finance
1221    CBAN 10/20/2004 1.35 COLONY BANKCORP, INC. Major Banks Finance
1222    CBAT 5/3/2007 15 CBAK ENERGY TECHNOLOGY, INC. Industrial Machinery/Components Miscellaneous
1223    CBAY 6/3/2014 12 CYMABAY THERAPEUTICS INC. Major Pharmaceuticals Health Care
1224    CBB 5/27/2003 56 CINCINNATI BELL INC Telecommunications Equipment Public Utilities
1225    CBB.B 5/16/2007 1.48 CINCINNATI BELL INC Telecommunications Equipment Public Utilities
1226    CBD 1/2/1998 58 COMPANHIA BRASILEIRA DE DISTRIBUICAO Food Chains Consumer Services
1227    CBFV 11/25/2009 0.61 CB FINANCIAL SERVICES, INC. Major Banks Finance
1228    CBH 6/28/2017 1.18 ALLIANZGI CONVERTIBLE & INCOME 2024 TARGET TERM FUND
1229    CBIO 5/16/2007 20 CATALYST BIOSCIENCES, INC. Major Pharmaceuticals Health Care
1230    CBL 1/2/1998 73 CBL & ASSOCIATES PROPERTIES, INC. Real Estate Investment Trusts Consumer Services
1231    CBL.D 5/16/2007 5.22 CBL & ASSOCIATES PROPERTIES, INC. Real Estate Investment Trusts Consumer Services
1232    CBL.E 10/8/2012 2.52 CBL & ASSOCIATES PROPERTIES, INC. Real Estate Investment Trusts Consumer Services
1233    CBLI 7/25/2006 10 CLEVELAND BIOLABS, INC. Biotechnology: Commercial Physical & Biological Resarch Health Care
1234    CBMB 9/28/2018 0.12 CBM BANCORP, INC. Savings Institutions Finance
1235    CBMG 6/4/2007 4.53 CELLULAR BIOMEDICINE GROUP, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1236    CBNK 7/20/2006 1.53 CHICOPEE BANCORP, INC. Savings & Loans Financial
1237    CBOE 6/15/2010 36 CBOE GLOBAL MARKETS, INC. Investment Bankers/Brokers/Service Finance
1238    CBON 11/11/2014 0.46 VANECK VECTORS CHINAAMC CHINA BOND ETF Exchange Traded Fund Financial
1239    CBPO 1/31/2008 16 CHINA BIOLOGIC PRODUCTS HOLDINGS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1240    CBPX 2/5/2014 16 CONTINENTAL BUILDING PRODUCTS, INC. Building Materials Capital Goods
1241    CBRE 3/15/2018 7.95 CBRE GROUP, INC.
1242    CBRL 1/2/1998 72 CRACKER BARREL OLD COUNTRY STORE, INC. Restaurants Consumer Services
1243    CBSH 1/2/1998 58 COMMERCE BANCSHARES, INC. Major Banks Finance
1244    CBSHP 6/16/2014 1.07 COMMERCE BANCSHARES, INC. Major Banks Finance
1245    CBT 1/2/1998 64 CABOT CORPORATION Major Chemicals Basic Industries
1246    CBTX 11/8/2017 1.82 CBTX, INC. Major Banks Finance
1247    CBU 1/2/1998 42 COMMUNITY BANK SYSTEM, INC. Major Banks Finance
1248    CBZ 8/7/2006 29 CBIZ, INC. Business Services Miscellaneous
1249    CC 6/19/2015 20 CHEMOURS COMPANY (THE) Major Chemicals Basic Industries
1250    CCB 7/18/2018 0.56 COASTAL FINANCIAL CORPORATION Major Banks Finance
1251    CCBG 1/2/1998 11 CAPITAL CITY BANK GROUP Major Banks Finance
1252    CCC 1/2/1998 52 CALGON CARBON CORPORATION Pollution & Treatment Controls Industrial Goods
1253    CCCL 8/7/2014 2.68 CHINA CERAMICS CO., LTD. Building Materials Capital Goods
1254    CCD 3/27/2015 5.79 CALAMOS DYNAMIC CONVERTIBLE & INCOME FUND
1255    CCEP 11/7/2018 4.92 COCA-COLA EUROPEAN PARTNERS PLC Beverages (Production/Distribution) Consumer Non-Durables
1256    CCF 6/9/2006 5.58 CHASE CORPORATION Building Products Consumer Durables
1257    CCH 4/29/2013 0.44 COCA COLA HELLENIC BOTTLING CO Beverages - Soft Drinks Consumer Goods
1258    CCH.U 10/5/2018 0.07 COLLIER CREEK HOLDINGS Business Services Finance
1259    CCI 4/25/2001 76 CROWN CASTLE INTERNATIONAL CORPORATION Real Estate Investment Trusts Consumer Services
1260    CCI.A 10/30/2013 0.61 CROWN CASTLE INTERNATIONAL CORPORATION Real Estate Investment Trusts Consumer Services
1261    CCJ 1/2/1998 72 CAMECO CORPORATION Precious Metals Basic Industries
1262    CCK 1/2/1998 79 CROWN HOLDINGS, INC. Containers/Packaging Consumer Durables
1263    CCL 1/2/1998 97 CARNIVAL CORPORATION Marine Transportation Consumer Services
1264    CCLP 6/15/2011 9.22 CSI COMPRESSCO LP Oilfield Services/Equipment Energy
1265    CCM 12/11/2009 5.82 CONCORD MEDICAL SERVICES HOLDINGS LIMITED Medical/Nursing Services Health Care
1266    CCMP 4/5/2000 57 CABOT MICROELECTRONICS CORPORATION Semiconductors Technology
1267    CCNE 10/30/2002 5.39 CNB FINANCIAL CORPORATION Major Banks Finance
1268    CCO 11/14/2005 35 CLEAR CHANNEL OUTDOOR HOLDINGS, INC. Advertising Consumer Services
1269    CCOI 3/6/2006 44 COGENT COMMUNICATIONS HOLDINGS, INC. Telecommunications Equipment Consumer Services
1270    CCOR 5/25/2017 0.31 CORE ALTERNATIVE ETF Exchange Traded Fund Financial
1271    CCR 7/1/2015 3.42 CONSOL COAL RESOURCES LP Coal Mining Energy
1272    CCRC 4/29/2010 8.28 CHINA CUSTOMER RELATIONS CENTERS, INC. Business Services Miscellaneous
1273    CCRN 10/25/2001 39 CROSS COUNTRY HEALTHCARE, INC. Professional Services Technology
1274    CCS 6/18/2014 11 CENTURY COMMUNITIES, INC. Homebuilding Capital Goods
1275    CCU 1/2/1998 66 COMPANIA CERVECERIAS UNIDAS, S.A. Beverages (Production/Distribution) Consumer Non-Durables
1276    CCX 9/24/2010 0.85 WISDOMTREE DREYFUS COMMODITY CU WisdomTree Currency
1277    CCX.U 6/27/2019 0.04 CHURCHILL CAPITAL CORP II Business Services Finance
1278    CCXI 2/8/2012 15 CHEMOCENTRYX, INC. Major Pharmaceuticals Health Care
1279    CCZ 11/24/1999 0.36 COMCAST CORPORATION Television Services Consumer Services
1280    CDAY 4/26/2018 5.96 CERIDIAN HCM HOLDING INC. Computer Software: Prepackaged Software Technology
1281    CDC 7/2/2014 2.77 VICTORYSHARES US EQ INCOME ENHANCED VOLATILITY WTD ETF
1282    CDE 1/2/1998 76 COEUR MINING, INC. Precious Metals Basic Industries
1283    CDEV 4/15/2016 14 CENTENNIAL RESOURCE DEVELOPMENT, INC. Oil & Gas Production Energy
1284    CDK 9/22/2014 20 CDK GLOBAL, INC. Business Services Miscellaneous
1285    CDL 7/8/2015 1.03 VICTORYSHARES US LARGE CAP HIGH DIV VOLATILITY WTD ETF
1286    CDLX 2/9/2018 4.45 CARDLYTICS, INC. Computer Software: Programming, Data Processing Technology
1287    CDMO 4/25/2007 34 AVID BIOSERVICES, INC. Major Pharmaceuticals Health Care
1288    CDMOP 2/27/2014 0.52 AVID BIOSERVICES, INC. Major Pharmaceuticals Health Care
1289    CDNA 7/17/2014 8.92 CAREDX, INC. Medical Specialities Health Care
1290    CDNS 10/31/2005 61 CADENCE DESIGN SYSTEMS, INC. Computer Software: Prepackaged Software Technology
1291    CDOR 5/16/2007 3.79 CONDOR HOSPITALITY TRUST, INC. Real Estate Investment Trusts Consumer Services
1292    CDR 10/24/2003 43 CEDAR REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
1293    CDR.B 5/24/2012 1.19 CEDAR REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
1294    CDR.C 8/25/2017 0.53 CEDAR REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
1295    CDTX 4/15/2015 4.92 CIDARA THERAPEUTICS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1296    CDW 6/27/2013 24 CDW CORPORATION Catalog/Specialty Distribution Consumer Services
1297    CDXC 7/15/2008 8.85 CHROMADEX CORPORATION Specialty Chemicals Consumer Durables
1298    CDXS 4/22/2010 16 CODEXIS, INC. Major Chemicals Basic Industries
1299    CDZI 6/20/2005 14 CADIZ, INC. Water Supply Public Utilities
1300    CE 1/21/2005 61 CELANESE CORPORATION Major Chemicals Basic Industries
1301    CEA 9/4/2007 7.49 CHINA EASTERN AIRLINES CORPORATION LTD. Air Freight/Delivery Services Transportation
1302    CECE 1/2/1998 19 CECO ENVIRONMENTAL CORP. Pollution Control Equipment Capital Goods
1303    CECO 1/29/1998 68 CAREER EDUCATION CORPORATION Other Consumer Services Consumer Services
1304    CEE 1/2/1998 12 THE CENTRAL AND EASTERN EUROPE FUND, INC.
1305    CEF 1/2/1998 52 CENTRAL FUND OF CANADA LIMITED Asset Management Financial
1306    CEFL 1/7/2014 7.67 ETRACS 2X WELLS FARGO - BDCI Exchange Traded Fund Financial
1307    CEFS 3/21/2017 0.4 EXCHANGE LISTED FUNDS TRUST Exchange Traded Fund Financial
1308    CEI 2/15/2008 24 CAMBER ENERGY, INC. Oil & Gas Production Energy
1309    CEIX 11/14/2017 6.2 CNX RESOURCES CORPORATION Oil & Gas Production Energy
1310    CEL 2/7/2007 22 CELLCOM ISRAEL, LTD. Telecommunications Equipment Public Utilities
1311    CELC 9/20/2017 0.71 CELCUITY INC. Medical Specialities Health Care
1312    CELH 2/10/2010 3.59 CELSIUS HOLDINGS, INC. Beverages (Production/Distribution) Consumer Non-Durables
1313    CELP 1/15/2014 2.99 CYPRESS ENERGY PARTNERS, L.P. Oilfield Services/Equipment Energy
1314    CEM 6/25/2010 21 CLEARBRIDGE ENERGY MLP FUND INC.
1315    CEMB 4/19/2012 1.15 ISHARES Exchange Traded Fund Financial
1316    CEMI 5/16/2007 3.3 CHEMBIO DIAGNOSTICS, INC. Major Pharmaceuticals Health Care
1317    CEN 9/26/2013 9.62 CENTER COAST BROOKFIELD MLP & ENERGY INFRASTRUCTUR
1318    CENT 1/2/1998 39 CENTRAL GARDEN & PET COMPANY Consumer Specialties Consumer Durables
1319    CENTA 2/6/2007 32 CENTRAL GARDEN & PET COMPANY Consumer Specialties Consumer Durables
1320    CENX 1/2/1998 67 CENTURY ALUMINUM COMPANY Aluminum Basic Industries
1321    CEO 2/27/2001 45 CNOOC LIMITED Oil & Gas Production Energy
1322    CEPU 2/2/2018 3.98 CENTRAL PUERTO S.A. Electric Utilities: Central Public Utilities
1323    CEQP 5/3/2007 36 CRESTWOOD EQUITY PARTNERS LP Other Consumer Services Consumer Services
1324    CERC 11/13/2015 4.22 CERECOR INC. Major Pharmaceuticals Health Care
1325    CERN 1/2/1998 83 CERNER CORPORATION EDP Services Technology
1326    CERS 1/2/1998 46 CERUS CORPORATION Medical/Dental Instruments Health Care
1327    CET 1/2/1998 6.45 CENTRAL SECURITIES CORPORATION
1328    CETV 11/27/2002 42 CENTRAL EUROPEAN MEDIA ENTERPRISES LTD. Broadcasting Consumer Services
1329    CETX 6/25/2015 4.78 CEMTREX INC. Industrial Machinery/Components Capital Goods
1330    CETXP 2/17/2017 0.14 CEMTREX INC. Industrial Machinery/Components Capital Goods
1331    CETXW 2/17/2017 0.08 CEMTREX INC. Industrial Machinery/Components Capital Goods
1332    CEV 1/27/1999 5.2 EATON VANCE CALIFORNIA MUNICIPAL INCOME TRUST
1333    CEVA 12/8/2003 27 CEVA, INC. Semiconductors Technology
1334    CEW 6/2/2009 5.61 WISDOMTREE DREYFUS EMERGING CUR WisdomTree Currency
1335    CEY 10/26/2017 0.24 VICTORYSHARES EMERGING MARKET HIGH DIV VOLATILITY WTD ETF
1336    CEZ 3/23/2016 0.2 VICTORYSHARES EMERGING MARKET VOLATILITY WTD ETF
1337    CF 8/11/2005 63 CF INDUSTRIES HOLDINGS, INC. Agricultural Chemicals Basic Industries
1338    CFA 7/2/2014 2.25 VICTORYSHARES US 500 VOLATILITY WTD ETF
1339    CFB 8/15/2019 0.5 CROSSFIRST BANKSHARES, INC. Major Banks Finance
1340    CFBI 4/28/2017 0.33 COMMUNITY FIRST BANCSHARES, INC. Savings Institutions Finance
1341    CFBK 11/16/2005 1.26 CENTRAL FEDERAL CORPORATION Savings Institutions Finance
1342    CFFA 12/13/2018 0.03 CF FINANCE ACQUISITION CORP. Business Services Finance
1343    CFFAU 12/13/2018 0.03 CF FINANCE ACQUISITION CORP. Business Services Finance
1344    CFFAW 1/31/2019 0.04 CF FINANCE ACQUISITION CORP. Business Services Finance
1345    CFFI 5/3/2006 1.85 C&F FINANCIAL CORPORATION Major Banks Finance
1346    CFFN 4/1/1999 49 CAPITOL FEDERAL FINANCIAL, INC. Savings Institutions Finance
1347    CFG 9/24/2014 23 CITIZENS FINANCIAL GROUP, INC. Major Banks Finance
1348    CFG.D 1/30/2019 0.61 CITIZENS FINANCIAL GROUP, INC. Major Banks Finance
1349    CFG.E 10/29/2019 0.35 CITIZENS FINANCIAL GROUP, INC. Major Banks Finance
1350    CFMS 7/1/2015 12 CONFORMIS, INC. Industrial Specialties Health Care
1351    CFO 7/2/2014 3.21 VICTORYSHARES US 500 ENHANCED VOLATILITY WTD ETF
1352    CFR 1/2/1998 63 CULLEN/FROST BANKERS, INC. Major Banks Finance
1353    CFR.A 2/21/2013 1.51 CULLEN/FROST BANKERS, INC. Major Banks Finance
1354    CFRX 9/12/2014 4.72 CONTRAFECT CORPORATION Major Pharmaceuticals Health Care
1355    CFX 5/8/2008 40 COLFAX CORPORATION Fluid Controls Capital Goods
1356    CFXA 1/16/2019 0.24 COLFAX CORPORATION Fluid Controls Capital Goods
1357    CG 5/3/2012 25 THE CARLYLE GROUP L.P. Investment Managers Finance
1358    CGA 3/9/2009 14 CHINA GREEN AGRICULTURE, INC. Agricultural Chemicals Basic Industries
1359    CGBD 6/14/2017 5.43 TCG BDC, INC.
1360    CGC 5/24/2018 10 CANOPY GROWTH CORPORATION Specialty Chemicals Consumer Durables
1361    CGEN 8/11/2000 17 COMPUGEN LTD. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1362    CGIX 4/5/2013 8.76 CANCER GENETICS, INC. Medical Specialities Health Care
1363    CGNX 1/2/1998 68 COGNEX CORPORATION Industrial Machinery/Components Capital Goods
1364    CGO 10/27/2005 6.96 CALAMOS GLOBAL TOTAL RETURN FUND
1365    CGW 5/14/2007 10 GUGGENHEIM S&P GLOBAL WATER Guggenheim Funds Distributors, Inc. Industrials
1366    CHA 11/14/2002 28 CHINA TELECOM CORP LTD Telecommunications Equipment Public Utilities
1367    CHAD 6/17/2015 2.87 DIREXION DAILY CSI 300 CHINA A SHARES BEAR 1X SHARES Exchange Traded Fund Financial
1368    CHAP 10/8/2010 2.84 CHAPARRAL ENERGY, INC. Oil & Gas Production Energy
1369    CHAU 4/16/2015 9.13 DIREXION DAILY CSI 300 CHINA A SHARE BULL 2X SHARES Exchange Traded Fund Financial
1370    CHCI 12/14/2004 11 COMSTOCK HOLDING COMPANIES, INC. Homebuilding Capital Goods
1371    CHCO 1/2/1998 23 CITY HOLDING COMPANY Major Banks Finance
1372    CHCT 5/21/2015 6.83 COMMUNITY HEALTHCARE TRUST INCORPORATED Real Estate Investment Trusts Consumer Services
1373    CHD 1/2/1998 71 CHURCH & DWIGHT COMPANY, INC. Package Goods/Cosmetics Basic Industries
1374    CHDN 1/2/1998 22 CHURCHILL DOWNS, INCORPORATED Services-Misc. Amusement & Recreation Consumer Services
1375    CHE 5/18/2004 37 CHEMED CORP. Medical/Nursing Services Health Care
1376    CHEF 7/28/2011 15 THE CHEFS' WAREHOUSE, INC. Food Distributors Consumer Non-Durables
1377    CHEK 3/18/2015 2.76 CHECK-CAP LTD. Medical Electronics Health Care
1378    CHEKW 3/20/2015 0.08 CHECK-CAP LTD. Medical Electronics Health Care
1379    CHEKZ 5/4/2018 0.05 CHECK-CAP LTD. Medical Electronics Health Care
1380    CHEP 9/13/2011 0.33 QUANTSHARES U.S. MARKET NEUTRAL FQF TRUST Market Neutral
1381    CHFS 2/16/2012 11 CHF SOLUTIONS, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1382    CHGG 11/13/2013 21 CHEGG, INC. Other Consumer Services Consumer Services
1383    CHGX 10/10/2017 0.12 CHANGE FINANCE U.S. LARGE CAP FOSSIL FUEL FREE ETF Exchange Traded Fund Financial
1384    CHH 1/2/1998 50 CHOICE HOTELS INTERNATIONAL, INC. Hotels/Resorts Consumer Services
1385    CHI 6/27/2002 31 CALAMOS CONVERTIBLE OPPORTUNITIES AND INCOME FUND
1386    CHIC 1/22/2010 1.14 CHARLOTTE RUSSE HOLDING INC Women's Clothing Stores Retail Trade
1387    CHIE 1/22/2010 0.52 GLOBAL X CHINA ENERGY ETF Global X Funds China Region
1388    CHIH 12/11/2018 0.07 GLOBAL X FUNDS GLOBAL X MSCI CHINA HEALTH CARE ETF Exchange Traded Fund Financial
1389    CHII 12/1/2009 0.79 GLOBAL X CHINA INDUSTRIALS ETF Global X Funds China Region
1390    CHIK 12/11/2018 0.14 GLOBAL X FUNDS GLOBAL X MSCI CHINA INFORMATION TECHNOLOGY ETF Exchange Traded Fund Financial
1391    CHIL 12/11/2018 0.06 GLOBAL X FUNDS GLOBAL X MSCI CHINA LARGE-CAP 50 ETF Exchange Traded Fund Financial
1392    CHIM 1/14/2010 0.86 GLOBAL X CHINA MATERIALS ETF Global X Funds China Region
1393    CHIQ 12/1/2009 8.33 GLOBAL X CHINA CONSUMER ETF Global X Funds China Region
1394    CHIR 12/11/2018 0.05 GLOBAL X FUNDS GLOBAL X MSCI CHINA REAL ESTATE ETF Exchange Traded Fund Financial
1395    CHIS 12/11/2018 0.09 GLOBAL X FUNDS GLOBAL X MSCI CHINA CONSUMER STAPLES ETF Exchange Traded Fund Financial
1396    CHIU 12/11/2018 0.05 GLOBAL X FUNDS GLOBAL X MSCI CHINA UTILITIES ETF Exchange Traded Fund Financial
1397    CHIX 1/22/2010 4.73 GLOBAL X CHINA FINANCIALS ETF Global X Funds China Region
1398    CHK 1/2/1998 97 CHESAPEAKE ENERGY CORPORATION Oil & Gas Production Energy
1399    CHK.D 5/16/2007 2.96 CHESAPEAKE ENERGY CORPORATION Oil & Gas Production Energy
1400    CHKP 3/3/1999 92 CHECK POINT SOFTWARE TECHNOLOGIES LTD. Computer Software: Prepackaged Software Technology
1401    CHKR 11/11/2011 12 CHESAPEAKE GRANITE WASH TRUST Oil & Gas Production Energy
1402    CHL 1/2/1998 72 CHINA MOBILE (HONG KONG) LTD. Telecommunications Equipment Public Utilities
1403    CHMA 7/16/2015 5.77 CHIASMA, INC. Major Pharmaceuticals Health Care
1404    CHMG 5/18/2007 1.18 CHEMUNG FINANCIAL CORP Major Banks Finance
1405    CHMI 10/4/2013 8.65 CHERRY HILL MORTGAGE INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1406    CHMI.A 8/23/2017 0.39 CHERRY HILL MORTGAGE INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1407    CHMI.B 2/13/2019 0.14 CHERRY HILL MORTGAGE INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1408    CHN 1/2/1998 18 CHINA FUND, INC. (THE)
1409    CHNA 10/10/2013 0.3 LONCAR CHINA BIOPHARMA ETF
1410    CHNG 3/8/2012 2.37 CHINA NATURAL GAS, INC. NASDAQ Gas Utilities
1411    CHNGU 6/27/2019 0.09 CHANGE HEALTHCARE INC. EDP Services Technology
1412    CHNR 11/22/2004 6.03 CHINA NATURAL RESOURCES, INC. Precious Metals Basic Industries
1413    CHPM 1/10/2020 0.01 CHP MERGER CORP. Business Services Finance
1414    CHPMU 11/22/2019 0.02 CHP MERGER CORP. Business Services Finance
1415    CHPMW 1/10/2020 0.01 CHP MERGER CORP. Business Services Finance
1416    CHRA 6/14/2018 1.31 CHARAH SOLUTIONS, INC. Environmental Services Basic Industries
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1418    CHRW 1/2/1998 79 C.H. ROBINSON WORLDWIDE, INC. Oil Refining/Marketing Transportation
1419    CHS 4/11/2001 83 CHICO'S FAS, INC. Clothing/Shoe/Accessory Stores Consumer Services
1420    CHSCL 1/22/2015 2.88 CHS INC Farming/Seeds/Milling Consumer Services
1421    CHSCM 9/10/2014 2.95 CHS INC Farming/Seeds/Milling Consumer Services
1422    CHSCN 3/6/2014 2.34 CHS INC Farming/Seeds/Milling Consumer Services
1423    CHSCO 9/23/2013 2.17 CHS INC Farming/Seeds/Milling Consumer Services
1424    CHSCP 3/24/2003 3.64 CHS INC Farming/Seeds/Milling Consumer Services
1425    CHT 10/9/2003 48 CHUNGHWA TELECOM CO., LTD. Telecommunications Equipment Public Utilities
1426    CHTR 9/14/2010 38 CHARTER COMMUNICATIONS, INC. Television Services Consumer Services
1427    CHU 6/21/2000 61 CHINA UNICOM (HONG KONG) LTD Telecommunications Equipment Public Utilities
1428    CHUY 7/24/2012 16 CHUY'S HOLDINGS, INC. Restaurants Consumer Services
1429    CHW 7/26/2007 22 CALAMOS GLOBAL DYNAMIC INCOME FUND
1430    CHWY 10/13/2009 2.87 CHEWY, INC. Catalog/Specialty Distribution Consumer Services
1431    CHY 5/29/2003 31 CALAMOS CONVERTIBLE AND HIGH INCOME FUND
1432    CI 1/2/1998 91 CIGNA CORPORATION Medical Specialities Health Care
1433    CIA 8/22/2002 20 CITIZENS, INC. Life Insurance Finance
1434    CIB 1/2/1998 45 BANCOLOMBIA S.A. Commercial Banks Finance
1435    CIBR 7/7/2015 6.33 FIRST TRUST NASDAQ CYBERSECURITY ETF
1436    CID 8/20/2015 0.32 VICTORYSHARES INTERNATIONAL HIGH DIV VOLATILITY WTD ETF
1437    CIDM 11/28/2008 7.44 CINEDIGM CORP Consumer Electronics/Video Chains Consumer Services
1438    CIEN 1/2/1998 103 CIENA CORPORATION Telecommunications Equipment Public Utilities
1439    CIF 1/2/1998 11 COLONIAL INTERMEDIATE HIGH INCOME FUND
1440    CIFS 8/8/2017 3.38 CHINA INTERNET NATIONWIDE FINANCIAL SERVICES INC. Professional Services Consumer Services
1441    CIG 9/18/2001 68 COMP EN DE MN CEMIG ADS Electric Utilities: Central Public Utilities
1442    CIG.C 1/2/2015 0.21 COMP EN DE MN CEMIG ADS Electric Utilities: Central Public Utilities
1443    CIGI 5/16/2007 10 COLLIERS INTERNATIONAL GROUP INC. Real Estate Finance
1444    CIH 6/12/2019 0.75 CHINA INDEX HOLDINGS LIMITED EDP Services Technology
1445    CII 5/26/2004 21 BLACKROCK CAPITAL AND INCOME STRATEGIES FUND INC
1446    CIICU 12/13/2019 0.02 CIIG MERGER CORP. Business Services Finance
1447    CIK 5/11/2006 18 CREDIT SUISSE ASSET MANAGEMENT INCOME FUND, INC.
1448    CIL 8/20/2015 0.14 VICTORYSHARES INTERNATIONAL VOLATILITY WTD ETF
1449    CIM 11/29/2007 52 CHIMERA INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1450    CIM.A 10/17/2016 1 CHIMERA INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1451    CIM.B 3/1/2017 1.67 CHIMERA INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1452    CIM.C 9/25/2018 0.58 CHIMERA INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1453    CIM.D 1/24/2019 0.43 CHIMERA INVESTMENT CORPORATION Real Estate Investment Trusts Consumer Services
1454    CINF 1/2/1998 79 CINCINNATI FINANCIAL CORPORATION Property-Casualty Insurers Finance
1455    CINR 9/13/2013 3.61 CINER RESOURCES LP Mining & Quarrying of Nonmetallic Minerals (No Fuels) Basic Industries
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1457    CIO.A 10/5/2016 0.49 CITY OFFICE REIT, INC. Real Estate Investment Trusts Consumer Services
1458    CIR 10/19/1999 29 CIRCOR INTERNATIONAL, INC. Metal Fabrications Capital Goods
1459    CISN 6/30/2017 7.19 CISION LTD. Computer Software: Prepackaged Software Technology
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1461    CIT.B 11/18/2019 0.15 CIT GROUP INC (DEL) Major Banks Finance
1462    CIVB 5/16/2007 3.13 CIVISTA BANCSHARES, INC. Major Banks Finance
1463    CIX 3/6/1998 3.76 COMPX INTERNATIONAL INC. Industrial Machinery/Components Capital Goods
1464    CIZ 10/1/2014 1.01 VICTORYSHARES DEVELOPED ENHANCED VOLATILITY WTD ETF
1465    CIZN 11/16/2006 0.83 CITIZENS HOLDING COMPANY Major Banks Finance
1466    CJJD 10/5/2009 4.15 CHINA JO-JO DRUGSTORES, INC. Specialty Chemicals Consumer Durables
1467    CKH 1/2/1998 43 SEACOR HOLDINGS, INC. Marine Transportation Transportation
1468    CKPT 12/19/2016 1.57 CHECKPOINT THERAPEUTICS, INC. Major Pharmaceuticals Health Care
1469    CKX 12/8/2003 0.65 CKX LANDS, INC. Oil & Gas Production Energy
1470    CL 1/2/1998 97 COLGATE-PALMOLIVE COMPANY Package Goods/Cosmetics Consumer Non-Durables
1471    CLAR 6/11/2010 15 CLARUS CORPORATION Recreational Products/Toys Consumer Non-Durables
1472    CLB 7/10/1998 59 CORE LABORATORIES N.V. Oilfield Services/Equipment Energy
1473    CLBK 4/20/2018 3.27 COLUMBIA FINANCIAL, INC. Savings Institutions Finance
1474    CLBS 8/9/2007 15 CALADRIUS BIOSCIENCES, INC. Hospital/Nursing Management Health Care
1475    CLCT 11/5/1999 12 COLLECTORS UNIVERSE, INC. Business Services Miscellaneous
1476    CLDB 5/16/2007 0.25 CORTLAND BANCORP Savings Institutions Finance
1477    CLDR 4/28/2017 12 CLOUDERA, INC. Computer Software: Prepackaged Software Technology
1478    CLDT 4/16/2010 21 CHATHAM LODGING TRUST (REIT) Real Estate Investment Trusts Consumer Services
1479    CLDX 10/1/2008 38 CELLDEX THERAPEUTICS, INC. Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
1480    CLF 1/2/1998 80 CLEVELAND-CLIFFS INC. Precious Metals Basic Industries
1481    CLFD 1/2/2008 8.68 CLEARFIELD, INC. Telecommunications Equipment Public Utilities
1482    CLGN 1/31/2018 0.15 COLLPLANT HOLDINGS, LTD. Industrial Specialties Health Care
1483    CLGX 6/2/2010 35 CORELOGIC, INC. EDP Services Technology
1484    CLH 12/15/2008 36 CLEAN HARBORS, INC. Environmental Services Basic Industries
1485    CLI 1/2/1998 69 MACK-CALI REALTY CORPORATION Real Estate Investment Trusts Consumer Services
1486    CLIR 4/25/2012 5.34 CLEARSIGN COMBUSTION CORPORATION Industrial Machinery/Components Capital Goods
1487    CLIX 11/16/2017 0.56 PROSHARES LONG ONLINE/SHORT STORES ETF Exchange Traded Fund Financial
1488    CLLS 3/25/2015 8.95 CELLECTIS S.A. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1489    CLM 2/21/2003 20 CORNERSTONE STRATEGIC VALUE FUND, INC.
1490    CLMT 1/27/2006 30 CALUMET SPECIALTY PRODUCTS PARTNERS, L.P. Integrated oil Companies Energy
1491    CLNC 2/1/2018 5.42 COLONY NORTHSTAR CREDIT REAL ESTATE, INC. Real Estate Investment Trusts Consumer Services
1492    CLNE 5/25/2007 49 CLEAN ENERGY FUELS CORP. Natural Gas Distribution Public Utilities
1493    CLNY 6/27/2014 24 COLONY FINANCIAL, INC. REIT - Diversified Financial
1494    CLNY.B 6/24/2014 1.07
1495    CLNY.E 1/11/2017 0.78
1496    CLNY.G 6/25/2018 0.23 COLONY CAPITAL, INC. Real Estate Investment Trusts Consumer Services
1497    CLNY.H 1/11/2017 1 COLONY CAPITAL, INC. Real Estate Investment Trusts Consumer Services
1498    CLNY.I 6/7/2017 1.57 COLONY CAPITAL, INC. Real Estate Investment Trusts Consumer Services
1499    CLNY.J 9/27/2017 1.34 COLONY CAPITAL, INC. Real Estate Investment Trusts Consumer Services
1500    CLOU 4/16/2019 1.41 GLOBAL X CLOUD COMPUTING ETF
1501    CLPR 2/10/2017 2.03 CLIPPER REALTY INC. Real Estate Investment Trusts Consumer Services
1502    CLPS 5/24/2018 1.07 CLPS INCORPORATION Computer Software: Prepackaged Software Technology
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1504    CLRB 5/16/2007 6.23 CELLECTAR BIOSCIENCES, INC. Major Pharmaceuticals Health Care
1505    CLRBZ 4/20/2016 0.16 CELLECTAR BIOSCIENCES, INC. Major Pharmaceuticals Health Care
1506    CLRG 12/13/2017 0.19 IQ CHAIKIN U.S. LARGE CAP ETF
1507    CLRO 8/28/2006 2.97 CLEARONE, INC. Telecommunications Equipment Public Utilities
1508    CLS 7/1/1998 67 CELESTICA, INC. Electrical Products Technology
1509    CLSD 6/2/2016 7.16 CLEARSIDE BIOMEDICAL, INC. Major Pharmaceuticals Health Care
1510    CLSN 6/30/2008 17 CELSION CORPORATION Major Pharmaceuticals Health Care
1511    CLTL 7/3/2017 0.22 INVESCO TREASURY COLLATERAL ETF Exchange Traded Fund Financial
1512    CLUB 6/2/2006 21 TOWN SPORTS INTERNATIONAL HOLDINGS, INC. Hotels/Resorts Consumer Services
1513    CLVS 11/16/2011 29 CLOVIS ONCOLOGY, INC. Major Pharmaceuticals Health Care
1514    CLW 12/17/2008 22 CLEARWATER PAPER CORPORATION Paper Basic Industries
1515    CLWT 4/30/1999 6.14 EURO TECH HOLDINGS COMPANY LIMITED Diversified Electronic Products Consumer Durables
1516    CLX 1/2/1998 89 CLOROX COMPANY (THE) Specialty Chemicals Consumer Durables
1517    CLXT 7/20/2017 2.86 CALYXT, INC. Agricultural Chemicals Basic Industries
1518    CM 7/10/2006 44 CANADIAN IMPERIAL BANK OF COMMERCE Commercial Banks Finance
1519    CMA 1/2/1998 87 COMERICA INCORPORATED Major Banks Finance
1520    CMBM 6/26/2019 0.47 CAMBIUM NETWORKS CORPORATION Radio And Television Broadcasting And Communications Equipment Technology
1521    CMBS 2/16/2012 2.87 ISHARES CMBS BOND ETF Exchange Traded Fund Financial
1522    CMC 1/2/1998 74 COMMERCIAL METALS COMPANY Steel/Iron Ore Basic Industries
1523    CMCL 1/12/2007 2.4 CALEDONIA MINING CORPORATION PLC Precious Metals Basic Industries
1524    CMCM 5/8/2014 19 CHEETAH MOBILE INC. Computer Software: Prepackaged Software Technology
1525    CMCO 1/2/1998 32 COLUMBUS MCKINNON CORPORATION Construction/Ag Equipment/Trucks Capital Goods
1526    CMCSA 1/2/1998 90 COMCAST CORPORATION Television Services Consumer Services
1527    CMCT 5/16/2007 2.95 CIM COMMERCIAL TRUST CORPORATION Real Estate Investment Trusts Consumer Services
1528    CMCTP 4/25/2018 0.01 CIM COMMERCIAL TRUST CORPORATION Real Estate Investment Trusts Consumer Services
1529    CMD 11/25/2008 8.39 CANTEL MEDICAL CORP. Medical/Dental Instruments Health Care
1530    CMDY 4/5/2018 0.09 ISHARES BLOOMBERG ROLL SELECT COMMODITY STRATEGY ETF Exchange Traded Fund Financial
1531    CME 12/6/2002 71 CME GROUP INC. Investment Bankers/Brokers/Service Finance
1532    CMF 10/11/2007 4.59 ISHARES S&P CALI MUNI BOND iShares Muni California Long
1533    CMFNL 7/13/2018 0.11 INVESTCORP CREDIT MANAGEMENT BDC, INC.
1534    CMG 1/26/2006 57 CHIPOTLE MEXICAN GRILL, INC. Restaurants Consumer Services
1535    CMI 12/10/2003 72 CUMMINS INC. Industrial Machinery/Components Energy
1536    CMLS 4/9/2002 40 CUMULUS MEDIA INC. Broadcasting - Radio Services
1537    CMO 1/2/1998 62 CAPSTEAD MORTGAGE CORPORATION Real Estate Investment Trusts Consumer Services
1538    CMO.E 5/17/2013 2.37 CAPSTEAD MORTGAGE CORPORATION Real Estate Investment Trusts Consumer Services
1539    CMP 12/12/2003 48 COMPASS MINERALS INTERNATIONAL, INC. Mining & Quarrying of Nonmetallic Minerals (No Fuels) Basic Industries
1540    CMPR 9/30/2005 43 CIMPRESS N.V Publishing Miscellaneous
1541    CMRE 11/4/2010 24 COSTAMARE INC. Marine Transportation Transportation
1542    CMRE.B 8/7/2013 0.74 COSTAMARE INC. Marine Transportation Transportation
1543    CMRE.C 1/22/2014 1.67 COSTAMARE INC. Marine Transportation Transportation
1544    CMRE.D 5/15/2015 1.42 COSTAMARE INC. Marine Transportation Transportation
1545    CMRE.E 2/2/2018 0.78 COSTAMARE INC. Marine Transportation Transportation
1546    CMRX 4/11/2013 17 CHIMERIX, INC. Major Pharmaceuticals Health Care
1547    CMS 1/2/1998 87 CMS ENERGY CORPORATION Power Generation Public Utilities
1548    CMS.B 5/16/2007 0.37 CMS ENERGY CORPORATION Power Generation Public Utilities
1549    CMSA 3/9/2018 0.64 CMS ENERGY CORPORATION Power Generation Public Utilities
1550    CMSC 10/1/2018 0.43 CMS ENERGY CORPORATION Power Generation Public Utilities
1551    CMSD 2/21/2019 0.72 CMS ENERGY CORPORATION Power Generation Public Utilities
1552    CMT 9/3/2002 7.81 CORE MOLDING TECHNOLOGIES INC Plastic Products Consumer Non-Durables
1553    CMTL 1/2/1998 48 COMTECH TELECOMMUNICATIONS CORP. Radio And Television Broadcasting And Communications Equipment Technology
1554    CMU 1/2/1998 12 COLONIAL MUNICIPAL INCOME TRUST
1555    CN 4/30/2014 0.67 XTRACKERS MSCI ALL CHINA EQUITY ETF Exchange Traded Fund Financial
1556    CNA 1/2/1998 53 CNA FINANCIAL CORPORATION Property-Casualty Insurers Finance
1557    CNAT 7/25/2013 14 CONATUS PHARMACEUTICALS INC. Major Pharmaceuticals Health Care
1558    CNBKA 2/4/2002 2.62 CENTURY BANCORP, INC. Major Banks Finance
1559    CNBS 7/23/2019 0.13 AMPLIFY SEYMOUR CANNABIS ETF Exchange Traded Fund Financial
1560    CNC 10/16/2003 60 CENTENE CORPORATION Medical Specialities Health Care
1561    CNCE 2/13/2014 12 CONCERT PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1562    CNCR 10/14/2015 1.41 LONCAR CANCER IMMUNOTHERAPY ETF
1563    CNDT 12/13/2016 13 CONDUENT INCORPORATED Business Services Miscellaneous
1564    CNET 3/4/2010 5.38 CHINANET ONLINE HOLDINGS, INC. Computer Software: Programming, Data Processing Technology
1565    CNF 11/7/2018 0.15 CNFINANCE HOLDINGS LIMITED Finance: Consumer Services Finance
1566    CNFR 8/13/2015 0.62 CONIFER HOLDINGS, INC. Property-Casualty Insurers Finance
1567    CNFRL 11/1/2018 0.03 CONIFER HOLDINGS, INC. Property-Casualty Insurers Finance
1568    CNHI 9/30/2013 25 CNH INDUSTRIAL N.V. Construction/Ag Equipment/Trucks Capital Goods
1569    CNHX 10/20/2015 0.05
1570    CNI 1/2/1998 79 CANADIAN NATIONAL RAILWAY COMPANY Railroads Transportation
1571    CNK 4/24/2007 49 CINEMARK HOLDINGS INC Movies/Entertainment Consumer Services
1572    CNMD 1/2/1998 44 CONMED CORPORATION Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1573    CNNE 11/20/2017 5.43 CANNAE HOLDINGS, INC. Restaurants Consumer Services
1574    CNO 9/12/2003 69 CNO FINANCIAL GROUP, INC. Accident &Health Insurance Finance
1575    CNOB 2/12/2013 8.59 CONNECTONE BANCORP, INC. Major Banks Finance
1576    CNP 10/1/2002 78 CENTERPOINT ENERGY, INC. Electric Utilities: Central Public Utilities
1577    CNP.B 10/3/2018 0.64 CENTERPOINT ENERGY, INC. Electric Utilities: Central Public Utilities
1578    CNQ 2/3/2003 71 CANADIAN NATURAL RESOURCES LIMITED Oil & Gas Production Energy
1579    CNR 4/21/2004 20 CHINA METRO-RURAL HOLDINGS LIMITED Air Delivery & Freight Services Services
1580    CNRG 10/23/2018 0.15 SPDR S&P KENSHO CLEAN POWER ETF Exchange Traded Fund Financial
1581    CNS 8/16/2004 35 COHEN & STEERS INC Investment Managers Finance
1582    CNSL 7/22/2005 41 CONSOLIDATED COMMUNICATIONS HOLDINGS, INC. Telecommunications Equipment Public Utilities
1583    CNSP 11/8/2019 0.17 CNS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1584    CNST 4/9/2010 1.97 CONSTELLATION PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1585    CNTG 11/7/2019 0.14 CENTOGENE N.V. Medical Specialities Health Care
1586    CNTY 1/2/1998 16 CENTURY CASINOS, INC. Hotels/Resorts Consumer Services
1587    CNX 4/30/1999 78 CNX RESOURCES CORPORATION Oil & Gas Production Energy
1588    CNXM 9/25/2014 10 CNX MIDSTREAM PARTNERS LP Natural Gas Distribution Public Utilities
1589    CNXN 5/1/2007 16 PC CONNECTION, INC. Catalog/Specialty Distribution Consumer Services
1590    CNXT 7/24/2014 2.42 VANECK VECTORS CHINAAMC SME-CHNEXT ETF Exchange Traded Fund Financial
1591    CNY 3/17/2008 1.64 MARKET VECTORS CHINESE RENMINBI Morgan Stanley Currency
1592    CNYA 6/16/2016 0.6 ISHARES TRUST Exchange Traded Fund Financial
1593    CO 11/19/2009 13 GLOBAL CORD BLOOD CORPORATION Business Services Finance
1594    COCP 4/1/2008 2.94 COCRYSTAL PHARMA, INC. Major Pharmaceuticals Health Care
1595    CODA 7/19/2017 1.66 CODA OCTOPUS GROUP, INC. Industrial Machinery/Components Capital Goods
1596    CODI 5/18/2006 30 COMPASS DIVERSIFIED HOLDINGS Home Furnishings Consumer Durables
1597    CODI.A 7/3/2017 0.91 COMPASS DIVERSIFIED HOLDINGS Home Furnishings Consumer Durables
1598    CODI.B 3/16/2018 0.72 COMPASS DIVERSIFIED HOLDINGS Home Furnishings Consumer Durables
1599    CODI.C 11/22/2019 0.15 COMPASS DIVERSIFIED HOLDINGS Home Furnishings Consumer Durables
1600    CODX 7/12/2017 2.02 CO-DIAGNOSTICS, INC. Medical/Dental Instruments Health Care
1601    COE 6/10/2016 1.29 CHINA ONLINE EDUCATION GROUP Other Consumer Services Consumer Services
1602    COF 1/2/1998 94 CAPITAL ONE FINANCIAL CORPORATION Major Banks Finance
1603    COF.F 8/26/2015 2.63 CAPITAL ONE FINANCIAL CORPORATION Major Banks Finance
1604    COF.G 8/5/2016 3.3 CAPITAL ONE FINANCIAL CORPORATION Major Banks Finance
1605    COF.H 12/2/2016 2.1 CAPITAL ONE FINANCIAL CORPORATION Major Banks Finance
1606    COF.I 9/16/2019 0.86 CAPITAL ONE FINANCIAL CORPORATION Major Banks Finance
1607    COF.P 8/23/2012 7.66 CAPITAL ONE FINANCIAL CORPORATION Major Banks Finance
1608    COG 1/2/1998 78 CABOT OIL & GAS CORPORATION Oil & Gas Production Energy
1609    COHN 9/6/2017 0.26 COHEN & COMPANY INC. Investment Bankers/Brokers/Service Finance
1610    COHR 1/2/1998 51 COHERENT, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
1611    COHU 1/2/1998 42 COHU, INC. Electrical Products Capital Goods
1612    COKE 1/2/1998 13 COCA-COLA BOTTLING CO. CONSOLIDATED Beverages (Production/Distribution) Consumer Non-Durables
1613    COLB 1/2/1998 40 COLUMBIA BANKING SYSTEM, INC. Major Banks Finance
1614    COLD 1/19/2018 7.65 AMERICOLD REALTY TRUST Real Estate Investment Trusts Consumer Services
1615    COLL 5/7/2015 13 COLLEGIUM PHARMACEUTICAL, INC. Major Pharmaceuticals Health Care
1616    COLM 3/27/1998 53 COLUMBIA SPORTSWEAR COMPANY Apparel Consumer Non-Durables
1617    COM 3/30/2017 0.17 DIREXION AUSPICE BROAD COMMODITY STRATEGY ETF Exchange Traded Fund Financial
1618    COMB 5/25/2017 0.41 GRANITESHARES BLOOMBERG COMMODITY BROAD STRATEGY NO K-1 ETF Exchange Traded Fund Financial
1619    COMM 10/25/2013 25 COMMSCOPE HOLDING COMPANY, INC. Radio And Television Broadcasting And Communications Equipment Technology
1620    COMS 1/2/1998 52 3COM CORP NASDAQ NASDAQ
1621    COMT 10/16/2014 2.27 ISHARES COMMODITIES SELECT STRATEGY ETF
1622    CONE 1/18/2013 24 CYRUSONE INC Real Estate Investment Trusts Consumer Services
1623    CONN 11/25/2003 45 CONN'S, INC. Consumer Electronics/Video Chains Consumer Services
1624    COO 1/2/1998 67 THE COOPER COMPANIES, INC. Ophthalmic Goods Health Care
1625    COOP 3/28/2012 14 MR. COOPER GROUP INC. Finance: Consumer Services Finance
1626    COP 9/3/2002 81 CONOCOPHILLIPS Integrated oil Companies Energy
1627    COPX 4/20/2010 5.77 GLOBAL X COPPER MINERS ETF Global X Funds Natural Resources
1628    COR 9/23/2010 25 CORESITE REALTY CORPORATION Real Estate Investment Trusts Consumer Services
1629    CORE 12/2/2005 26 CORE-MARK HOLDING COMPANY, INC. Food Distributors Consumer Non-Durables
1630    CORN 6/9/2010 11 TEUCRIUM CORN FUND ETV Teucrium Commodities Agriculture
1631    CORP 9/21/2010 3.9 PIMCO INVESTMENT GRADE CORPORAT PIMCO Intermediate-Term Bond
1632    CORR 5/16/2007 15 CORENERGY INFRASTRUCTURE TRUST, INC. Real Estate Investment Trusts Consumer Services
1633    CORR.A 2/2/2015 1.19 CORENERGY INFRASTRUCTURE TRUST, INC. Real Estate Investment Trusts Consumer Services
1634    CORT 4/14/2004 28 CORCEPT THERAPEUTICS INCORPORATED Major Pharmaceuticals Health Care
1635    CORV 5/2/2007 19 CORREVIO PHARMA CORP. Major Pharmaceuticals Health Care
1636    COST 1/2/1998 101 COSTCO WHOLESALE CORPORATION Department/Specialty Retail Stores Consumer Services
1637    COT 7/30/2002 55 COTT CORPORATION Beverages (Production/Distribution) Consumer Non-Durables
1638    COTY 6/13/2013 29 COTY INC. Package Goods/Cosmetics Consumer Non-Durables
1639    COUP 3/7/2014 17 COUPA SOFTWARE INCORPORATED Computer Software: Prepackaged Software Technology
1640    COW 10/25/2007 5.45 IPATH DOW JONES UBS LIVESTOCK T iPath Commodities Agriculture
1641    COWN 7/13/2006 32 COWEN INC. Investment Bankers/Brokers/Service Finance
1642    COWNL 10/30/2014 0.56 COWEN INC. Investment Bankers/Brokers/Service Finance
1643    COWNZ 12/15/2017 0.46 COWEN INC. Investment Bankers/Brokers/Service Finance
1644    COWZ 12/22/2016 1.14 PACER FUNDS Exchange Traded Fund Financial
1645    CP 1/2/1998 72 CANADIAN PACIFIC RAILWAY LIMITED Railroads Transportation
1646    CPA 12/15/2005 45 COPA HOLDINGS, S.A. Air Freight/Delivery Services Transportation
1647    CPAA 9/15/2016 0.1 CONYERS PARK II ACQUISITION CORP. Business Services Finance
1648    CPAAU 7/15/2016 0.17 CONYERS PARK II ACQUISITION CORP. Business Services Finance
1649    CPAAW 9/15/2016 0.02 CONYERS PARK II ACQUISITION CORP. Business Services Finance
1650    CPAC 2/22/2012 2.09 CEMENTOS PACASMAYO S.A.A. Building Materials Capital Goods
1651    CPAH 3/19/2008 1.65 COUNTERPATH CORPORATION Computer Software: Prepackaged Software Technology
1652    CPB 1/2/1998 90 CAMPBELL SOUP COMPANY Packaged Foods Consumer Non-Durables
1653    CPE 4/22/1998 53 CALLON PETROLEUM COMPANY Oil & Gas Production Energy
1654    CPER 11/15/2011 0.67 UNITED STATES COPPER INDEX FUND United States Commodity Funds LLC Commodities Industrial Metals
1655    CPF 12/31/2002 37 CPB INC. Major Banks Finance
1656    CPG 1/22/2014 23 CRESCENT POINT ENERGY CORPORATION Oil & Gas Production Energy
1657    CPHC 9/8/2008 0.71 CANTERBURY PARK HOLDING CORPORATION Services-Misc. Amusement & Recreation Consumer Services
1658    CPHI 5/4/2006 6.85 CHINA PHARMA HOLDINGS, INC. Major Pharmaceuticals Health Care
1659    CPI 10/27/2009 0.64 IQ REAL RETURN ETF IndexIQ Multialternative
1660    CPIX 8/11/2009 5.63 CUMBERLAND PHARMACEUTICALS INC. Major Pharmaceuticals Health Care
1661    CPK 1/2/1998 15 CHESAPEAKE UTILITIES CORPORATION Oil & Gas Production Public Utilities
1662    CPL 9/29/2004 39 CPFL ENERGIA S.A. Electric Utilities: Central Public Utilities
1663    CPLG 6/1/2018 4.58 COREPOINT LODGING INC. Real Estate Investment Trusts Consumer Services
1664    CPLP 3/30/2007 26 CAPITAL PRODUCT PARTNERS L.P. Marine Transportation Transportation
1665    CPRI 12/15/2011 36 CAPRI HOLDINGS LIMITED Apparel Consumer Non-Durables
1666    CPRT 1/2/1998 68 COPART, INC. Automotive Aftermarket Consumer Durables
1667    CPRX 11/15/2006 23 CATALYST PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1668    CPS 10/17/2013 10 COOPER-STANDARD HOLDINGS INC. Auto Parts:O.E.M. Capital Goods
1669    CPSH 5/16/2007 0.78 CPS TECHNOLOGIES CORP. Building Materials Capital Goods
1670    CPSI 5/21/2002 30 COMPUTER PROGRAMS AND SYSTEMS, INC. EDP Services Technology
1671    CPSS 1/2/1998 12 CONSUMER PORTFOLIO SERVICES, INC. Finance: Consumer Services Finance
1672    CPST 6/30/2000 53 CAPSTONE TURBINE CORPORATION Industrial Machinery/Components Energy
1673    CPT 1/2/1998 66 CAMDEN PROPERTY TRUST Real Estate Investment Trusts Consumer Services
1674    CPTA 9/25/2013 6.56 CAPITALA FINANCE CORP.
1675    CPTAG 6/2/2017 0.19 CAPITALA FINANCE CORP.
1676    CPTAL 7/5/2017 0.22 CAPITALA FINANCE CORP.
1677    CPZ 11/26/2019 0.08 CALAMOS LONG/SHORT EQUITY & DYNAMIC INCOME TRUST
1678    CQP 3/21/2007 28 CHENIERE ENERGY PARTNERS, LP Oil/Gas Transmission Public Utilities
1679    CQQQ 1/22/2010 7.11 GUGGENHEIM CHINA TECHNOLOGY ETF Guggenheim Funds Distributors, Inc. China Region
1680    CR 1/2/1998 63 CRANE COMPANY Metal Fabrications Capital Goods
1681    CRAI 4/24/1998 22 CRA INTERNATIONAL,INC. Other Consumer Services Miscellaneous
1682    CRAK 8/20/2015 0.73 VANECK VECTORS OIL REFINERS ETF Exchange Traded Fund Financial
1683    CRBN 12/11/2014 1.09 ISHARES MSCI ACWI LOW CARBON TARGET ETF Exchange Traded Fund Financial
1684    CRBP 4/16/2015 12 CORBUS PHARMACEUTICALS HOLDINGS, INC. Major Pharmaceuticals Health Care
1685    CRC 10/25/2006 23 CALIFORNIA RESOURCES CORPORATION Oil & Gas Production Energy
1686    CRCM 1/24/2014 13 CARE.COM, INC. Other Consumer Services Consumer Services
1687    CRD.A 1/2/1998 7.92 CRAWFORD & COMPANY
1688    CRD.B 1/2/1998 16 CRAWFORD & COMPANY
1689    CREE 1/2/1998 92 CREE, INC. Semiconductors Technology
1690    CREG 3/8/2007 6.46 CHINA RECYCLING ENERGY CORPORATION Business Services Miscellaneous
1691    CRESY 1/2/1998 26 CRESUD S.A.C.I.F. Y A. Real Estate Finance
1692    CREX 11/15/2018 0.24 CREATIVE REALITIES, INC. EDP Services Technology
1693    CREXW 11/15/2018 0.01 CREATIVE REALITIES, INC. EDP Services Technology
1694    CRF 2/21/2003 13 CORNERSTONE STRATEGIC RETURN FUND, INC. (THE)
1695    CRH 3/8/2004 35 CRH PLC Building Materials Capital Goods
1696    CRHM 9/3/2015 2.81 CRH MEDICAL CORPORATION Medical/Dental Instruments Health Care
1697    CRI 10/28/2003 58 CARTER'S, INC. Apparel Consumer Non-Durables
1698    CRIS 8/1/2000 39 CURIS, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1699    CRK 1/2/1998 66 COMSTOCK RESOURCES, INC. Oil & Gas Production Energy
1700    CRL 6/23/2000 64 CHARLES RIVER LABORATORIES INTERNATIONAL, INC. Biotechnology: Commercial Physical & Biological Resarch Health Care
1701    CRM 6/23/2004 71 SALESFORCE.COM INC Computer Software: Prepackaged Software Technology
1702    CRMD 5/13/2010 14 CORMEDIX INC Major Pharmaceuticals Health Care
1703    CRMT 5/10/2002 23 AMERICA'S CAR-MART, INC. Automotive Aftermarket Consumer Durables
1704    CRNC 9/16/2019 1.01 CERENCE INC. Computer Software: Prepackaged Software Technology
1705    CRNT 9/6/2000 32 CERAGON NETWORKS LTD. Radio And Television Broadcasting And Communications Equipment Technology
1706    CRNX 7/18/2018 1.35 CRINETICS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1707    CROC 7/19/2012 0.79 PROSHARES ULTRASHORT AUSTRALIAN DOLLAR Exchange Traded Fund Financial
1708    CRON 11/4/2009 10 CRONOS GROUP INC. Specialty Chemicals Consumer Durables
1709    CROP 3/22/2011 1.09 IQ GLOBAL AGRIBUSINESS SMALL CA IndexIQ Consumer Defensive
1710    CROX 2/8/2006 58 CROCS, INC. Shoe Manufacturing Consumer Non-Durables
1711    CRS 1/2/1998 62 CARPENTER TECHNOLOGY CORPORATION Steel/Iron Ore Basic Industries
1712    CRSA 4/18/2019 0.02 CRESCENT ACQUISITION CORP Business Services Finance
1713    CRSAU 3/8/2019 0.04 CRESCENT ACQUISITION CORP Business Services Finance
1714    CRSAW 4/17/2019 0.01 CRESCENT ACQUISITION CORP Business Services Finance
1715    CRSP 10/19/2016 10 CRISPR THERAPEUTICS AG Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1716    CRT 1/2/1998 9.22 CROSS TIMBERS ROYALTY TRUST Oil & Gas Production Energy
1717    CRTO 10/30/2013 21 CRITEO S.A. Advertising Technology
1718    CRTX 5/27/2004 8.87 CORNERSTONE THERAPEUTICS INC. Biotechnology Healthcare
1719    CRUS 1/2/1998 82 CIRRUS LOGIC, INC. Semiconductors Technology
1720    CRVL 1/2/1998 18 CORVEL CORP. Specialty Insurers Finance
1721    CRVS 3/23/2016 3.98 CORVUS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1722    CRWD 7/20/2012 3.14 CROWDSTRIKE HOLDINGS, INC. Computer Software: Prepackaged Software Technology
1723    CRWS 3/13/2007 3.09 CROWN CRAFTS, INC. Textiles Basic Industries
1724    CRY 1/2/1998 39 CRYOLIFE, INC. Medical/Dental Instruments Health Care
1725    CS 9/25/2006 57 CREDIT SUISSE GROUP Investment Bankers/Brokers/Service Finance
1726    CSA 7/8/2015 0.23 VICTORYSHARES US SMALL CAP VOLATILITY WTD ETF
1727    CSB 7/8/2015 0.4 VICTORYSHARES US SMALL CAP HIGH DIV VOLATILITY WTD ETF
1728    CSBR 5/16/2007 2.47 CHAMPIONS ONCOLOGY, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1729    CSCO 1/2/1998 124 CISCO SYSTEMS, INC. Computer Communications Equipment Technology
1730    CSD 12/15/2006 5.72 GUGGENHEIM SPIN-OFF ETF Guggenheim Funds Distributors, Inc. Mid-Cap Blend
1731    CSF 8/1/2014 0.84 VICTORYSHARES US DISCOVERY ENHANCED VOLATILITY WTD ETF
1732    CSFL 1/4/2005 22 CENTERSTATE BANK CORPORATION Major Banks Finance
1733    CSGP 8/2/1999 41 COSTAR GROUP, INC. Business Services Miscellaneous
1734    CSGS 1/2/1998 62 CSG SYSTEMS INTERNATIONAL, INC. EDP Services Technology
1735    CSII 2/26/2009 23 CARDIOVASCULAR SYSTEMS, INC. Medical/Dental Instruments Health Care
1736    CSIQ 11/9/2006 52 CANADIAN SOLAR INC. Semiconductors Technology
1737    CSL 1/2/1998 61 CARLISLE COMPANIES INCORPORATED Specialty Chemicals Basic Industries
1738    CSLT 3/14/2014 16 CASTLIGHT HEALTH, INC. EDP Services Technology
1739    CSM 7/14/2009 4.62 PROSHARES CREDIT SUISSE 130/30 ProShares Long/Short Equity
1740    CSML 5/16/2017 1.18 IQ CHAIKIN U.S. SMALL CAP ETF
1741    CSOD 3/17/2011 29 CORNERSTONE ONDEMAND, INC. Computer Software: Prepackaged Software Technology
1742    CSPI 4/21/2006 2.31 CSP INC. EDP Services Technology
1743    CSQ 4/1/2004 40 CALAMOS STRATEGIC TOTAL RETURN FUND
1744    CSS 1/2/1998 15 CSS INDUSTRIES, INC. Consumer: Greeting Cards Consumer Services
1745    CSSE 8/18/2017 1.04 CHICKEN SOUP FOR THE SOUL ENTERTAINMENT, INC. Movies/Entertainment Consumer Services
1746    CSSEP 6/27/2018 0.2 CHICKEN SOUP FOR THE SOUL ENTERTAINMENT, INC. Movies/Entertainment Consumer Services
1747    CSTE 3/22/2012 17 CAESARSTONE LTD. Building Materials Capital Goods
1748    CSTL 7/25/2019 0.78 CASTLE BIOSCIENCES, INC. Medical Specialities Health Care
1749    CSTM 5/23/2013 24 CONSTELLIUM N.V. Metal Fabrications Basic Industries
1750    CSTR 9/22/2016 2.21 CAPSTAR FINANCIAL HOLDINGS, INC. Major Banks Finance
1751    CSU 1/2/1998 29 CAPITAL SENIOR LIVING CORPORATION Hospital/Nursing Management Health Care
1752    CSV 5/8/1998 19 CARRIAGE SERVICES, INC. Other Consumer Services Consumer Services
1753    CSWC 1/2/1998 8.47 CAPITAL SOUTHWEST CORPORATION Textiles Consumer Non-Durables
1754    CSWCL 12/19/2017 0.17 CAPITAL SOUTHWEST CORPORATION Textiles Consumer Non-Durables
1755    CSWI 9/30/2015 4.39 CSW INDUSTRIALS, INC. Home Furnishings Basic Industries
1756    CSX 1/2/1998 94 CSX CORPORATION Railroads Transportation
1757    CTA.A 5/16/2007 0.34 E.I. DU PONT DE NEMOURS AND COMPANY
1758    CTA.B 5/17/2007 0.59 E.I. DU PONT DE NEMOURS AND COMPANY
1759    CTAA 2/1/2016 1.8 QWEST CORPORATION Telecommunications Equipment Public Utilities
1760    CTAC 10/5/2018 0.11 CHASERG TECHNOLOGY ACQUISITION CORP. Computer Software: Prepackaged Software Technology
1761    CTACU 10/5/2018 0.05 CHASERG TECHNOLOGY ACQUISITION CORP. Computer Software: Prepackaged Software Technology
1762    CTACW 10/31/2018 0.03 CHASERG TECHNOLOGY ACQUISITION CORP. Computer Software: Prepackaged Software Technology
1763    CTAS 1/2/1998 83 CINTAS CORPORATION Apparel Consumer Non-Durables
1764    CTB 1/2/1998 76 COOPER TIRE & RUBBER COMPANY Automotive Aftermarket Consumer Durables
1765    CTBB 8/23/2016 4.08 QWEST CORPORATION Telecommunications Equipment Public Utilities
1766    CTBI 1/2/1998 17 COMMUNITY TRUST BANCORP, INC. Major Banks Finance
1767    CTDD 4/28/2017 2.49 QWEST CORPORATION Telecommunications Equipment Public Utilities
1768    CTEK 12/15/2010 1.34 CYNERGISTEK, INC. Business Services Miscellaneous
1769    CTG 6/5/2006 11 COMPUTER TASK GROUP, INCORPORATED EDP Services Technology
1770    CTHR 1/2/1998 12 CHARLES & COLVARD LTD. Consumer Specialties Consumer Durables
1771    CTIB 5/29/2003 3.24 CTI INDUSTRIES CORPORATION Specialty Chemicals Basic Industries
1772    CTIC 1/2/1998 65 CTI BIOPHARMA CORP. Major Pharmaceuticals Health Care
1773    CTK 9/28/2018 1.07 COOTEK (CAYMAN) INC. EDP Services Technology
1774    CTL 1/2/1998 93 CENTURYLINK, INC. Telecommunications Equipment Public Utilities
1775    CTLT 7/31/2014 20 CATALENT, INC. Major Pharmaceuticals Health Care
1776    CTMX 10/8/2015 10 CYTOMX THERAPEUTICS, INC. Major Pharmaceuticals Health Care
1777    CTO 1/5/1998 7.73 CONSOLIDATED-TOMOKA LAND CO. Real Estate Finance
1778    CTR 8/3/2012 12 CLEARBRIDGE ENERGY MLP TOTAL RETURN FUND INC.
1779    CTRA 8/18/2016 2.69 CONTURA ENERGY, INC. Coal Mining Energy
1780    CTRC 10/15/2007 13 CENTRIC BRANDS INC. Apparel Consumer Non-Durables
1781    CTRE 5/29/2014 17 CARETRUST REIT, INC. Real Estate Investment Trusts Consumer Services
1782    CTRM 2/11/2019 0.96 CASTOR MARITIME INC. Marine Transportation Transportation
1783    CTRN 5/18/2005 30 CITI TRENDS, INC. Clothing/Shoe/Accessory Stores Consumer Services
1784    CTS 1/2/1998 42 CTS CORPORATION Electrical Products Technology
1785    CTSH 6/19/1998 83 COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION EDP Services Technology
1786    CTSO 12/23/2014 6.91 CYTOSORBENTS CORPORATION Medical/Dental Instruments Health Care
1787    CTST 8/24/2017 5.93 CANNTRUST HOLDINGS INC. Specialty Chemicals Consumer Durables
1788    CTT 12/12/2013 13 CATCHMARK TIMBER TRUST, INC. Real Estate Investment Trusts Consumer Services
1789    CTV 9/30/2014 3.61 QWEST CORPORATION Telecommunications Equipment Public Utilities
1790    CTVA 5/24/2019 2.92 CORTEVA, INC. Farming/Seeds/Milling Consumer Non-Durables
1791    CTXR 10/2/2014 1.91 CITIUS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1792    CTXRW 8/3/2017 0.05 CITIUS PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1793    CTXS 1/2/1998 98 CITRIX SYSTEMS, INC. Computer Software: Prepackaged Software Technology
1794    CTY 5/24/2013 6.96 QWEST CORPORATION Telecommunications Equipment Public Utilities
1795    CTZ 9/22/2015 2.87 QWEST CORPORATION Telecommunications Equipment Public Utilities
1796    CUB 1/2/1998 39 CUBIC CORPORATION Industrial Machinery/Components Capital Goods
1797    CUBA 8/26/2002 4.08 THE HERZFELD CARIBBEAN BASIN FUND, INC.
1798    CUBB 12/23/2019 0.03 CUSTOMERS BANCORP, INC Major Banks Finance
1799    CUBE 5/1/2007 51 CUBESMART Real Estate Investment Trusts Consumer Services
1800    CUBI 4/11/2012 14 CUSTOMERS BANCORP, INC Major Banks Finance
1801    CUBI.C 5/19/2015 0.34 CUSTOMERS BANCORP, INC Major Banks Finance
1802    CUBI.D 2/2/2016 0.17 CUSTOMERS BANCORP, INC Major Banks Finance
1803    CUBI.E 4/29/2016 0.34 CUSTOMERS BANCORP, INC Major Banks Finance
1804    CUBI.F 9/21/2016 0.46 CUSTOMERS BANCORP, INC Major Banks Finance
1805    CUE 1/2/2018 2.19 CUE BIOPHARMA, INC. Major Pharmaceuticals Health Care
1806    CUI 1/7/2008 7.06 CUI GLOBAL, INC. Electronic Components Consumer Non-Durables
1807    CUK 4/21/2003 35 CARNIVAL CORPORATION Marine Transportation Consumer Services
1808    CULP 5/16/2007 10 CULP, INC. Textiles Basic Industries
1809    CUO 1/5/1998 0.63 CONTINENTAL MATERIALS CORPORATION Building Materials Capital Goods
1810    CURE 6/15/2011 12 DIREXION DAILY HEALTHCARE BULL Direxion Funds Trading-Leveraged Equity
1811    CURO 12/7/2017 4.78 CURO GROUP HOLDINGS CORP. Finance: Consumer Services Finance
1812    CUT 11/9/2007 6.64 GUGGENHEIM TIMBER ETF Guggenheim Funds Distributors, Inc. Natural Resources
1813    CUTR 3/31/2004 25 CUTERA, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1814    CUZ 1/2/1998 62 COUSINS PROPERTIES INCORPORATED Real Estate Investment Trusts Consumer Services
1815    CVA 10/5/2005 59 COVANTA HOLDING CORPORATION Electric Utilities: Central Basic Industries
1816    CVBF 6/12/2001 54 CVB FINANCIAL CORPORATION Major Banks Finance
1817    CVCO 7/1/2003 14 CAVCO INDUSTRIES, INC. Homebuilding Basic Industries
1818    CVCY 5/1/2006 2.78 CENTRAL VALLEY COMMUNITY BANCORP Major Banks Finance
1819    CVE 12/9/2009 44 CENOVUS ENERGY INC Oil & Gas Production Energy
1820    CVEO 6/2/2014 20 CIVEO CORPORATION Hotels/Resorts Consumer Services
1821    CVET 2/5/2019 3.97 COVETRUS, INC. Medical/Nursing Services Health Care
1822    CVGI 8/9/2004 31 COMMERCIAL VEHICLE GROUP, INC. Auto Parts:O.E.M. Capital Goods
1823    CVGW 7/23/2002 20 CALAVO GROWERS, INC. Farming/Seeds/Milling Consumer Non-Durables
1824    CVI 10/23/2007 45 CVR ENERGY INC. Integrated oil Companies Energy
1825    CVIA 10/3/2014 18 COVIA HOLDINGS CORPORATION Mining & Quarrying of Nonmetallic Minerals (No Fuels) Basic Industries
1826    CVLT 9/22/2006 45 COMMVAULT SYSTEMS, INC. Computer Software: Prepackaged Software Technology
1827    CVLY 10/16/2006 1.65 CODORUS VALLEY BANCORP, INC Savings Institutions Finance
1828    CVM 2/7/2000 27 CEL-SCI CORPORATION Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1829    CVNA 4/28/2017 11 CARVANA CO. Automotive Aftermarket Consumer Durables
1830    CVR 1/2/1998 1.09 CHICAGO RIVET & MACHINE CO. Industrial Machinery/Components Technology
1831    CVS 1/2/1998 97 CVS HEALTH CORPORATION Medical/Nursing Services Health Care
1832    CVTI 1/2/1998 21 COVENANT TRANSPORTATION GROUP, INC. Trucking Freight/Courier Services Transportation
1833    CVU 9/5/2000 5.78 CPI AEROSTRUCTURES, INC. Military/Government/Technical Capital Goods
1834    CVV 6/4/2001 5.83 CVD EQUIPMENT CORPORATION Industrial Machinery/Components Technology
1835    CVX 10/10/2001 87 CHEVRON CORPORATION Integrated oil Companies Energy
1836    CVY 9/21/2006 14 GUGGENHEIM MULTI-ASSET INCOME E Guggenheim Funds Distributors, Inc. Large Value
1837    CW 1/2/1998 45 CURTISS-WRIGHT CORPORATION Industrial Machinery/Components Technology
1838    CWB 4/16/2009 27 CURTISS WRIGHT CORP
1839    CWBC 2/27/2004 0.83 COMMUNITY WEST BANCSHARES Major Banks Finance
1840    CWBR 1/28/2015 1.83 COHBAR, INC. Major Pharmaceuticals Health Care
1841    CWCO 3/8/1999 22 CONSOLIDATED WATER CO. LTD. Water Supply Public Utilities
1842    CWEB 11/10/2016 2.86 DIREXION DAILY CSI CHINA INTERNET INDEX BULL 2X SHARES Exchange Traded Fund Financial
1843    CWEN 9/17/2018 4.93 CLEARWAY ENERGY, INC. Electric Utilities: Central Public Utilities
1844    CWEN.A 9/17/2018 3.55 CLEARWAY ENERGY, INC. Electric Utilities: Central Public Utilities
1845    CWH 10/7/2016 12 CAMPING WORLD HOLDINGS, INC. Automotive Aftermarket Consumer Durables
1846    CWI 1/17/2007 14 SPDR MSCI ACWI EX-US ETF State Street Global Advisors Foreign Large Blend
1847    CWK 8/2/2018 4.77 CUSHMAN & WAKEFIELD PLC Real Estate Finance
1848    CWS 9/21/2016 0.23 ADVISORSHARES FOCUSED EQUITY ETF Exchange Traded Fund Financial
1849    CWST 1/2/1998 34 CASELLA WASTE SYSTEMS, INC. Environmental Services Public Utilities
1850    CWT 1/2/1998 41 CALIFORNIA WATER SERVICE GROUP HOLDING Water Supply Public Utilities
1851    CX 9/15/1999 80 CEMEX S.A.B. DE C.V. Building Materials Capital Goods
1852    CXDC 2/12/2009 7.07 CHINA XD PLASTICS COMPANY LIMITED Containers/Packaging Capital Goods
1853    CXE 1/2/1998 14 COLONIAL HIGH INCOME MUNICIPAL TRUST
1854    CXH 1/2/1998 5.21 COLONIAL INVESTMENT GRADE MUNICIPAL TRUST
1855    CXO 8/3/2007 53 CONCHO RESOURCES INC. Oil & Gas Production Energy
1856    CXP 10/10/2013 23 COLUMBIA PROPERTY TRUST, INC. Real Estate Investment Trusts Consumer Services
1857    CXSE 9/20/2012 1.36 WISDOMTREE CHINA EX-STATE-OWNED ENTERPRISES FUND
1858    CXW 10/2/2000 66 CORECIVIC, INC. Real Estate Investment Trusts Consumer Services
1859    CY 1/2/1998 97 CYPRESS SEMICONDUCTOR CORPORATION Semiconductors Technology
1860    CYAD 6/19/2015 0.88 CELYAD SA Major Pharmaceuticals Health Care
1861    CYAN 1/2/1998 4.05 CYANOTECH CORPORATION Specialty Chemicals Consumer Durables
1862    CYB 5/22/2008 7.13 WISDOMTREE DREYFUS CHINESE YUAN WisdomTree Currency
1863    CYBE 1/2/1998 12 CYBEROPTICS CORPORATION Electronic Components Capital Goods
1864    CYBR 9/24/2014 21 CYBERARK SOFTWARE LTD. Computer Software: Prepackaged Software Technology
1865    CYCC 3/28/2006 17 CYCLACEL PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1866    CYCCP 7/5/2006 0.23 CYCLACEL PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1867    CYCN 3/18/2019 1.63 CYCLERION THERAPEUTICS, INC. Major Pharmaceuticals Health Care
1868    CYD 1/2/1998 32 CHINA YUCHAI INTERNATIONAL LIMITED Industrial Machinery/Components Energy
1869    CYH 6/9/2000 73 COMMUNITY HEALTH SYSTEMS, INC. Hospital/Nursing Management Health Care
1870    CYOU 4/2/2009 27 CHANGYOU.COM LIMITED Computer Software: Prepackaged Software Technology
1871    CYRN 5/16/2007 5.41 CYREN LTD. Computer Software: Prepackaged Software Technology
1872    CYRX 5/16/2007 7.47 CRYOPORT, INC. Oil Refining/Marketing Transportation
1873    CYRXW 7/24/2015 0.26 CRYOPORT, INC. Oil Refining/Marketing Transportation
1874    CYTK 4/30/2004 35 CYTOKINETICS, INCORPORATED Major Pharmaceuticals Health Care
1875    CYTR 1/2/1998 36 CYTRX CORPORATION Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1876    CZA 4/3/2007 2.15 GUGGENHEIM MID-CAP CORE ETF Guggenheim Funds Distributors, Inc. Mid-Cap Value
1877    CZNC 1/13/2005 6.01 CITIZENS & NORTHERN CORP Major Banks Finance
1878    CZR 2/8/2012 30 CAESARS ENTERTAINMENT CORPORATION Hotels/Resorts Consumer Services
1879    CZWI 11/10/2006 0.98 CITIZENS COMMUNITY BANCORP, INC. Savings Institutions Finance
1880    CZZ 9/4/2007 49 COSAN LIMITED Specialty Foods Consumer Non-Durables
1881    D 1/2/1998 92 DOMINION ENERGY, INC. Electric Utilities: Central Public Utilities
1882    DAC 10/16/2006 12 DANAOS CORPORATION Marine Transportation Transportation
1883    DAIO 1/2/1998 5.64 DATA I/O CORPORATION Electrical Products Capital Goods
1884    DAKT 1/2/1998 44 DAKTRONICS, INC. Miscellaneous manufacturing industries Consumer Durables
1885    DAL 5/3/2007 61 DELTA AIR LINES, INC. Air Freight/Delivery Services Transportation
1886    DALI 5/15/2018 0.2 FIRST TRUST DORSEYWRIGHT DALI 1 ETF
1887    DALT 9/29/2017 0.25 TWO ROADS SHARED TRUST Exchange Traded Fund Financial
1888    DAN 2/1/2008 51 DANA INCORPORATED Auto Parts:O.E.M. Capital Goods
1889    DAO 10/25/2019 0.26 YOUDAO, INC. Other Consumer Services Consumer Services
1890    DAR 1/2/1998 55 DARLING INGREDIENTS INC. Packaged Foods Consumer Non-Durables
1891    DARE 4/10/2014 6.1 DARE BIOSCIENCE, INC. Major Pharmaceuticals Health Care
1892    DAUD 12/12/2017 0.08 CITIGROUP GLOBAL MARKETS HOLDINGS INC Exchange Traded Fund Financial
1893    DAVA 7/27/2018 1.5 ENDAVA PLC EDP Services Technology
1894    DAX 10/23/2014 0.48 HORIZONS DAX GERMANY ETF
1895    DB 10/3/2001 68 DEUTSCHE BANK AG Major Banks Finance
1896    DBA 1/5/2007 41 POWERSHARES DB AGRICULTURE FUND Deutsche Bank Commodities Agriculture
1897    DBAW 1/27/2014 1.06 XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF Exchange Traded Fund Financial
1898    DBB 1/5/2007 18 POWERSHARES DB BASE METALS FUND Deutsche Bank Commodities Industrial Metals
1899    DBC 2/6/2006 52 POWERSHARES DB COMMODITY INDEX Deutsche Bank Commodities Broad Basket
1900    DBD 1/2/1998 75 DIEBOLD NIXDORF INCORPORATED Office Equipment/Supplies/Services Miscellaneous
1901    DBE 1/5/2007 9.56 POWERSHARES DB ENERGY FUND Deutsche Bank Commodities Energy
1902    DBEF 6/9/2011 20 DB-X MSCI EAFE CURRENCY HEDGED Deutsche Bank Foreign Large Blend
1903    DBEM 6/9/2011 2.84 DB-X MSCI EMERGING MARKETS CURR Deutsche Bank Diversified Emerging Mkts
1904    DBEU 10/1/2013 14 XTRACKERS MSCI EUROPE HEDGED EQUITY ETF Exchange Traded Fund Financial
1905    DBEZ 12/15/2014 0.97 XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF Exchange Traded Fund Financial
1906    DBGR 4/27/2012 1.9 XTRACKERS MSCI GERMANY HEDGED EQUITY ETF Exchange Traded Fund Financial
1907    DBI 4/30/2007 51 DESIGNER BRANDS INC. Clothing/Shoe/Accessory Stores Consumer Services
1908    DBJP 6/9/2011 12 XTRACKERS MSCI JAPAN HEDGED EQUITY ETF Exchange Traded Fund Financial
1909    DBL 1/27/2012 8.32 DOUBLELINE OPPORTUNISTIC CREDIT FUND
1910    DBLV 10/5/2011 1.7 ADVISORSHARES DOUBLELINE VALUE EQUITY ETF Exchange Traded Fund Financial
1911    DBMF 5/8/2019 0.04 IM DBI MANAGED FUTURES STRATEGY ETF ETF Exchange Traded Fund Financial
1912    DBO 1/5/2007 28 POWERSHARES DB OIL FUND Deutsche Bank Commodities Energy
1913    DBP 1/5/2007 8.16 POWERSHARES DB PRECIOUS METALS Deutsche Bank Commodities Precious Metals
1914    DBS 1/5/2007 5.08 POWERSHARES DB SILVER FUND Deutsche Bank Commodities Precious Metals
1915    DBV 9/20/2006 8.8 POWERSHARES DB G10 CURRENCY HAR Deutsche Bank Currency
1916    DBVT 10/22/2014 9.43 DBV TECHNOLOGIES S.A. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1917    DBX 5/21/2007 8.85 DROPBOX, INC.
1918    DCAR 5/16/2007 9.12 DROPCAR, INC. Telecommunications Equipment Consumer Services
1919    DCF 10/27/2017 1.04 DREYFUS ALCENTRA
1920    DCHF 12/12/2017 0.05 CITIGROUP GLOBAL MARKETS HOLDINGS INC Exchange Traded Fund Financial
1921    DCI 1/2/1998 65 DONALDSON COMPANY, INC. Pollution Control Equipment Capital Goods
1922    DCIX 1/3/2011 17 DIANA CONTAINERSHIPS INC. Marine Transportation Transportation
1923    DCO 1/2/1998 23 DUCOMMUN INCORPORATED Military/Government/Technical Capital Goods
1924    DCOM 6/15/1998 40 DIME COMMUNITY BANCSHARES, INC. Savings Institutions Finance
1925    DCP 5/4/2006 41 DCP MIDSTREAM LP Natural Gas Distribution Public Utilities
1926    DCP.B 5/17/2018 0.63 DCP MIDSTREAM LP Natural Gas Distribution Public Utilities
1927    DCP.C 10/9/2018 0.37 DCP MIDSTREAM LP Natural Gas Distribution Public Utilities
1928    DCPH 9/28/2017 5.23 DECIPHERA PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
1929    DCUE 6/19/2019 0.33 DOMINION ENERGY, INC. Electric Utilities: Central Public Utilities
1930    DD 5/24/2019 2.91 E. I. DU PONT DE NEMOURS AND COMPANY Agricultural Chemicals Basic Materials
1931    DDD 7/21/2003 48 3D SYSTEMS CORPORATION Computer Software: Prepackaged Software Technology
1932    DDF 1/2/1998 6.99 DELAWARE INVESTMENTS DIVIDEND & INCOME FUND, INC.
1933    DDG 6/18/2008 1.19 PROSHARES SHORT OIL & GAS ProShares Trading-Inverse Equity
1934    DDIV 3/11/2014 0.53 FIRST TRUST DORSEY WRIGHT MOMENTUM & DIVIDEND ETF
1935    DDLS 4/26/2016 0.27 WISDOMTREE TRUST Exchange Traded Fund Financial
1936    DDM 6/21/2006 46 PROSHARES ULTRA DOW30 ProShares Trading-Leveraged Equity
1937    DDMX 3/14/2005 6.13 DYNAMEX INC
1938    DDMXU 10/12/2018 0.02 DD3 ACQUISITION CORP. Business Services Finance
1939    DDMXW 10/23/2018 0.01 DD3 ACQUISITION CORP. Business Services Finance
1940    DDOG 9/19/2019 1.57 DATADOG, INC. Computer Software: Prepackaged Software Technology
1941    DDS 1/2/1998 78 DILLARD'S, INC. Department/Specialty Retail Stores Consumer Services
1942    DDT 10/14/1998 5.15 DILLARD'S, INC. Department/Specialty Retail Stores Consumer Services
1943    DDWM 2/4/2016 1.2 WISDOMTREE TRUST Exchange Traded Fund Financial
1944    DE 1/2/1998 96 DEERE & COMPANY Industrial Machinery/Components Capital Goods
1945    DEA 2/6/2015 14 EASTERLY GOVERNMENT PROPERTIES, INC. Real Estate Investment Trusts Consumer Services
1946    DEAC 5/18/2007 0.81 DIAMOND EAGLE ACQUISITION CORP. Business Services Finance
1947    DEACU 5/10/2019 0.12 DIAMOND EAGLE ACQUISITION CORP. Business Services Finance
1948    DEACW 7/19/2019 0.13 DIAMOND EAGLE ACQUISITION CORP. Business Services Finance
1949    DECK 1/2/1998 64 DECKERS OUTDOOR CORPORATION Shoe Manufacturing Consumer Non-Durables
1950    DEEF 2/2/2016 0.36 XTRACKERS FTSE DEVELOPED EX US COMPREHENSIVE FACTOR ETF Exchange Traded Fund Financial
1951    DEF 12/15/2006 3.32 GUGGENHEIM DEFENSIVE EQUITY ETF Guggenheim Funds Distributors, Inc. Large Value
1952    DEFA 1/8/2016 0.07 ISHARES TRUST Exchange Traded Fund Financial
1953    DEI 10/25/2006 53 DOUGLAS EMMETT, INC. Real Estate Investment Trusts Consumer Services
1954    DELL 12/26/2018 4.78 DELL INC. Personal Computers Technology
1955    DEM 7/13/2007 29 WISDOMTREE EMERGING MARKETS HIG WisdomTree Diversified Emerging Mkts
1956    DENN 5/10/2005 43 DENNY'S CORPORATION Restaurants Consumer Services
1957    DEO 1/2/1998 73 DIAGEO PLC Beverages (Production/Distribution) Consumer Non-Durables
1958    DERM 10/3/2014 14 DERMIRA, INC. Major Pharmaceuticals Health Care
1959    DES 6/16/2006 16 WISDOMTREE TRUST SMALLCAP DIVID WisdomTree Small Value
1960    DESP 9/20/2017 5.63 DESPEGAR.COM, CORP. Transportation Services Consumer Services
1961    DEUR 12/12/2017 0.19 CITIGROUP GLOBAL MARKETS HOLDINGS INC Exchange Traded Fund Financial
1962    DEUS 12/18/2015 0.94 XTRACKERS RUSSELL 1000 COMPREHENSIVE FACTOR ETF Exchange Traded Fund Financial
1963    DEW 6/16/2006 2.33 WISDOMTREE EUROPE HIGH-YIELDING WisdomTree World Stock
1964    DEX 7/26/2007 10 DELAWARE ENHANCED GLOBAL DIVIDEND
1965    DFE 9/21/2006 11 WISDOMTREE EUROPE SMALLCAP DIVI WisdomTree Europe Stock
1966    DFEN 5/3/2017 2.9 DIREXION DAILY AEROSPACE & DEFENSE BULL 3X SHARES Exchange Traded Fund Financial
1967    DFFN 7/28/2008 4.21 DIFFUSION PHARMACEUTICALS INC. Major Pharmaceuticals Health Care
1968    DFIN 9/26/2016 7.7 DONNELLEY FINANCIAL SOLUTIONS, INC. Other Consumer Services Consumer Services
1969    DFJ 6/16/2006 7.5 WISDOMTREE JAPAN SMALLCAP FUND WisdomTree Japan Stock
1970    DFND 1/20/2016 0.12 REALITY SHARES ETF TRUST Exchange Traded Fund Financial
1971    DFNL 1/12/2017 0.65 DAVIS SELECT FINANCIAL ETF
1972    DFNSU 11/7/2019 0.02 LGL SYSTEMS ACQUISITION CORP. Business Services Finance
1973    DFP 5/24/2013 6.26 FLAHERTY & CRUMRINE DYNAMIC PREFERRED AND INCOME FUND INC.
1974    DFS 7/2/2007 57 DISCOVER FINANCIAL SERVICES Finance: Consumer Services Finance
1975    DFVL 1/7/2014 0.05 BARCLAYS PLC Commercial Banks Finance
1976    DFVS 7/12/2011 0.21 BARCLAYS PLC Commercial Banks Finance
1977    DG 11/13/2009 44 DOLLAR GENERAL CORPORATION Department/Specialty Retail Stores Consumer Services
1978    DGAZ 2/8/2012 39 CREDIT SUISSE AG Investment Bankers/Brokers/Service Finance
1979    DGBP 12/12/2017 0.09 CITIGROUP GLOBAL MARKETS HOLDINGS INC Exchange Traded Fund Financial
1980    DGICA 7/3/2003 10 DONEGAL GROUP, INC. Property-Casualty Insurers Finance
1981    DGICB 4/20/2001 0.42 DONEGAL GROUP, INC. Property-Casualty Insurers Finance
1982    DGII 1/2/1998 32 DIGI INTERNATIONAL INC. Computer Communications Equipment Technology
1983    DGL 1/5/2007 7.23 POWERSHARES DB GOLD FUND Deutsche Bank Commodities Precious Metals
1984    DGLD 10/17/2011 6.44 CREDIT SUISSE AG Investment Bankers/Brokers/Service Finance
1985    DGLY 5/16/2007 9.64 DIGITAL ALLY, INC. Radio And Television Broadcasting And Communications Equipment Technology
1986    DGP 2/28/2008 24 DEUTSCHE BANK AG DB GOLD DOUBLE Deutsche Bank Trading-Leveraged Commodities
1987    DGRE 8/1/2013 1.27 WISDOMTREE EMERGING MARKETS QUALITY DIVIDEND GROWTH FUND
1988    DGRO 6/12/2014 13 ISHARES CORE DIVIDEND GROWTH ETF Exchange Traded Fund Financial
1989    DGRS 7/25/2013 1.17 WISDOMTREE U.S. SMALLCAP QUALITY DIVIDEND GROWTH FUND
1990    DGRW 5/22/2013 8.83 WISDOMTREE U.S. QUALITY DIVIDEND GROWTH FUND
1991    DGS 10/30/2007 18 WISDOMTREE EMERGING MARKET SMAL WisdomTree Diversified Emerging Mkts
1992    DGT 2/4/2002 2.31 SPDR GLOBAL DOW ETF (BASED ON T State Street Global Advisors World Stock
1993    DGX 1/2/1998 81 QUEST DIAGNOSTICS INCORPORATED Medical Specialities Health Care
1994    DGZ 2/29/2008 6.38 DEUTSCHE BANK AG DB GOLD SHORT Deutsche Bank Trading-Inverse Commodities
1995    DHC 4/30/2007 54 DIVERSIFIED HEALTHCARE TRUST Real Estate Investment Trusts Consumer Services
1996    DHCNI 7/5/2019 0.24 DIVERSIFIED HEALTHCARE TRUST Real Estate Investment Trusts Consumer Services
1997    DHCNL 7/1/2016 1.43 DIVERSIFIED HEALTHCARE TRUST Real Estate Investment Trusts Consumer Services
1998    DHDG 11/3/2016 0.14 WISDOMTREE TRUST Exchange Traded Fund Financial
1999    DHF 4/27/1998 30 DREYFUS HIGH YIELD STRATEGIES FUND
2000    DHI 1/2/1998 88 D.R. HORTON, INC. Homebuilding Capital Goods
2001    DHIL 8/29/2002 3.8 DIAMOND HILL INVESTMENT GROUP, INC. Investment Managers Finance
2002    DHR 1/2/1998 91 DANAHER CORPORATION Industrial Machinery/Components Capital Goods
2003    DHR.A 3/6/2019 0.08 DANAHER CORPORATION Industrial Machinery/Components Capital Goods
2004    DHS 6/16/2006 9.38 WISDOMTREE HIGH-YIELDING EQUITY WisdomTree Large Value
2005    DHT 10/13/2005 43 DHT HOLDINGS, INC. Marine Transportation Transportation
2006    DHX 7/26/2007 28 DHI GROUP, INC. Business Services Miscellaneous
2007    DHY 5/11/2006 23 CREDIT SUISSE HIGH YIELD BOND FUND
2008    DIA 1/20/1998 106 SPDR DOW JONES INDUSTRIAL AVERA State Street Global Advisors Large Value
2009    DIAL 10/13/2017 0.61 DIAL GLOBAL, INC. Entertainment - Diversified Services
2010    DIAX 12/22/2014 6.4 NUVEEN DOW 30SM DYNAMIC OVERWRITE FUND
2011    DIG 2/1/2007 34 PROSHARES ULTRA OIL & GAS ProShares Trading-Leveraged Equity
2012    DIM 6/16/2006 3.61 WISDOMTREE INTERNATIONAL MIDCAP WisdomTree Foreign Small/Mid Value
2013    DIN 6/2/2008 31 DINE BRANDS GLOBAL, INC. Restaurants Consumer Services
2014    DINT 3/5/2018 0.31 DAVIS SELECT INTERNATIONAL ETF
2015    DIOD 6/19/2000 49 DIODES INCORPORATED Semiconductors Technology
2016    DIS 1/2/1998 105 WALT DISNEY COMPANY (THE) Television Services Consumer Services
2017    DISCA 7/21/2005 63 DISCOVERY COMMUNICATIONS, INC. Television Services Consumer Services
2018    DISCB 11/10/2005 0.25 DISCOVERY COMMUNICATIONS, INC. Television Services Consumer Services
2019    DISCK 9/18/2008 45 DISCOVERY COMMUNICATIONS, INC. Television Services Consumer Services
2020    DISH 1/2/1998 93 DISH NETWORK CORPORATION Television Services Consumer Services
2021    DIT 1/3/2000 1.07 AMCON DISTRIBUTING COMPANY Food Distributors Consumer Non-Durables
2022    DIV 3/12/2013 6.12 GLOBAL X SUPER DIVIDEND ETF Exchange Traded Fund Financial
2023    DIVA 12/24/2015 0.1 AGFIQ HEDGED DIVIDEND INCOME FUND Exchange Traded Fund Financial
2024    DIVB 11/9/2017 0.16 ISHARES TRUST Exchange Traded Fund Financial
2025    DIVC 9/16/2014 0.15 CITIGROUP INC. Major Banks Finance
2026    DIVO 12/15/2016 0.23 AMPLIFY CWP ENHANCED DIVIDEND INCOME ETF Exchange Traded Fund Financial
2027    DIVY 12/18/2014 0.84 REALTY SHARES DIVS ETF Exchange Traded Fund Financial
2028    DJCI 10/29/2009 0.96 UBS AG LINKED TO THE DOW JONES- UBS AG Commodities Broad Basket
2029    DJCO 10/8/2007 0.56 DAILY JOURNAL CORP. (S.C.) Newspapers/Magazines Consumer Services
2030    DJD 12/18/2015 0.51 INVESCO DOW JONES INDUSTRIAL AVERAGE DIVIDEND ETF Exchange Traded Fund Financial
2031    DJP 10/30/2006 31 IPATH DOW JONES UBS COMMODITY I iPath Commodities Broad Basket
2032    DJPY 12/12/2017 0.06 CITIGROUP GLOBAL MARKETS HOLDINGS INC Exchange Traded Fund Financial
2033    DK 5/4/2006 48 DELEK US HOLDINGS, INC. Integrated oil Companies Energy
2034    DKL 11/2/2012 6.2 DELEK LOGISTICS PARTNERS, L.P. Natural Gas Distribution Energy
2035    DKS 10/16/2002 71 DICK'S SPORTING GOODS INC Other Specialty Stores Consumer Services
2036    DKT 5/21/2008 15 DEUTSCH BK CONTINGENT CAP TR V Major Banks Finance
2037    DL 7/30/2008 9.29 CHINA DISTANCE EDUCATION HOLDINGS LIMITED Other Consumer Services Consumer Services
2038    DLA 7/3/2000 5.82 DELTA APPAREL, INC. Apparel Consumer Non-Durables
2039    DLB 2/17/2005 51 DOLBY LABORATORIES Multi-Sector Companies Miscellaneous
2040    DLBR 8/16/2017 0.07 CITIGROUP GLOBAL MARKETS HOLDINGS INC VELOCITYSHARES SHORT LIB Exchange Traded Fund Financial
2041    DLBS 8/10/2010 1.65 BARCLAYS PLC Commercial Banks Finance
2042    DLHC 2/16/1999 3.31 DLH HOLDINGS CORP. Professional Services Technology
2043    DLN 6/16/2006 13 WISDOMTREE LARGECAP DIVIDEND FU WisdomTree Large Value
2044    DLNG 11/13/2013 8.61 DYNAGAS LNG PARTNERS LP Marine Transportation Consumer Services
2045    DLNG.A 7/27/2015 1.13 DYNAGAS LNG PARTNERS LP Marine Transportation Consumer Services
2046    DLNG.B 10/26/2018 0.39 DYNAGAS LNG PARTNERS LP Marine Transportation Consumer Services
2047    DLPH 11/17/2011 34 DELPHI TECHNOLOGIES PLC Auto Parts:O.E.M. Capital Goods
2048    DLPN 12/21/2017 0.45 DOLPHIN ENTERTAINMENT, INC. Other Consumer Services Consumer Services
2049    DLPNW 12/21/2017 0.02 DOLPHIN ENTERTAINMENT, INC. Other Consumer Services Consumer Services
2050    DLR 10/29/2004 60 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2051    DLR.C 9/14/2017 0.58 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2052    DLR.G 4/10/2013 2.93 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2053    DLR.I 8/28/2015 1.51 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2054    DLR.J 8/15/2017 0.98 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2055    DLR.K 3/18/2019 0.4 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2056    DLR.L 10/14/2019 0.24 DIGITAL REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2057    DLS 6/16/2006 13 WISDOMTREE INTERNATIONAL SMALLC WisdomTree Foreign Small/Mid Value
2058    DLTH 11/20/2015 11 DULUTH HOLDINGS INC. Clothing/Shoe/Accessory Stores Consumer Services
2059    DLTR 1/2/1998 88 DOLLAR TREE, INC. Department/Specialty Retail Stores Consumer Services
2060    DLX 1/2/1998 68 DELUXE CORPORATION Publishing Consumer Durables
2061    DMAC 6/1/2009 0.77 DIAMEDICA THERAPEUTICS INC. Major Pharmaceuticals Health Care
2062    DMB 4/26/2013 6.16 DREYFUS MUNICIPAL BOND INFRASTRUCTURE FUND, INC.
2063    DMDV 11/28/2018 0.05 AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF Exchange Traded Fund Financial
2064    DMF 1/2/1998 9.92 DREYFUS MUNICIPAL INCOME, INC.
2065    DMLP 2/3/2003 14 DORCHESTER MINERALS, L.P. Oil & Gas Production Energy
2066    DMO 2/24/2010 7.01 WESTERN ASSET MORTGAGE DEFINED OPPORTUNITY FUND INC
2067    DMPI 2/22/2013 3.69 DELMAR PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
2068    DMRC 6/10/2005 15 DIGIMARC CORPORATION EDP Services Technology
2069    DMRE 3/21/2019 0.03 DELTASHARES S&P EM 100 & MANAGED RISK ETF Exchange Traded Fund Financial
2070    DMRI 12/26/2017 0.08 DELTASHARES S&P INTERNATIONAL MANAGED RISK ETF Exchange Traded Fund Financial
2071    DMRL 8/2/2017 0.15 DELTASHARES S&P 500 MANAGED RISK ETF Exchange Traded Fund Financial
2072    DMRM 12/1/2017 0.09 DELTASHARES S&P 400 MANAGED RISK ETF Exchange Traded Fund Financial
2073    DMRS 12/18/2017 0.09 DELTASHARES S&P 600 MANAGED RISK ETF Exchange Traded Fund Financial
2074    DMTK 8/10/2017 0.31 DERMTECH, INC. Medical Specialities Health Care
2075    DMTKW 8/10/2017 0.1
2076    DNI 5/16/2007 7.32 DIVIDEND AND INCOME FUND
2077    DNK 1/17/2020 0.01 PHOENIX TREE HOLDINGS LIMITED Building operators Consumer Services
2078    DNKN 7/27/2011 34 DUNKIN' BRANDS GROUP, INC. Restaurants Consumer Services
2079    DNL 6/16/2006 1.9 WISDOMTREE GLOBAL EX-U.S. GROWT WisdomTree Foreign Large Blend
2080    DNLI 12/8/2017 5.75 DENALI THERAPEUTICS INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2081    DNN 4/19/2007 27 DENISON MINE CORP Precious Metals Basic Industries
2082    DNOW 6/2/2014 23 NOW INC. Metal Fabrications Energy
2083    DNP 1/2/1998 43 DUFF & PHELPS UTILITIES INCOME, INC.
2084    DNR 1/2/1998 77 DENBURY RESOURCES INC. Oil & Gas Production Energy
2085    DO 1/2/1998 92 DIAMOND OFFSHORE DRILLING, INC. Oil & Gas Production Energy
2086    DOC 7/19/2013 24 PHYSICIANS REALTY TRUST Real Estate Investment Trusts Consumer Services
2087    DOCU 4/27/2018 7.75 DOCUSIGN, INC. Computer Software: Prepackaged Software Technology
2088    DOG 6/21/2006 35 PROSHARES SHORT DOW30 ProShares Trading-Inverse Equity
2089    DOGS 1/17/2018 0.06 ARROW DOGS OF THE WORLD ETF Exchange Traded Fund Financial
2090    DOGZ 12/20/2017 0.5 DOGNESS (INTERNATIONAL) CORPORATION Miscellaneous manufacturing industries Consumer Durables
2091    DOL 6/16/2006 5.26 WISDOMTREE INTERNATIONAL LARGEC WisdomTree Foreign Large Value
2092    DOMO 6/29/2018 5.16 DOMO, INC. Computer Software: Prepackaged Software Technology
2093    DON 6/16/2006 15 WISDOMTREE MIDCAP DIVIDEND FUND WisdomTree Mid-Cap Value
2094    DOO 6/16/2006 6.73 WISDOMTREE INTERNATIONAL DIVIDE WisdomTree Foreign Large Value
2095    DOOO 3/2/2015 1.37 BRP INC. Industrial Specialties Capital Goods
2096    DOOR 9/9/2013 14 MASONITE INTERNATIONAL CORPORATION Forest Products Basic Industries
2097    DORM 5/26/2006 23 DORMAN PRODUCTS, INC. Auto Parts:O.E.M. Capital Goods
2098    DOV 1/2/1998 87 DOVER CORPORATION Industrial Machinery/Components Technology
2099    DOW 3/20/2019 3.81 THE DOW CHEMICAL COMPANY Chemicals - Major Diversified Basic Materials
2100    DOX 6/19/1998 78 AMDOCS LIMITED EDP Services Technology
2101    DOYU 7/17/2019 1.94 DOUYU INTERNATIONAL HOLDINGS LIMITED Computer Software: Programming, Data Processing Technology
2102    DPG 8/1/2011 13 DUFF & PHELPS GLOBAL UTILITY INCOME FUND INC.
2103    DPHC 4/17/2019 0.01 DIAMONDPEAK HOLDINGS CORP. Business Services Finance
2104    DPHCU 2/28/2019 0.01 DIAMONDPEAK HOLDINGS CORP. Business Services Finance
2105    DPHCW 4/17/2019 0.01 DIAMONDPEAK HOLDINGS CORP. Business Services Finance
2106    DPK 12/17/2008 5.19 DIREXION DEVELOPED MARKETS BEAR Direxion Funds Trading-Inverse Equity
2107    DPLO 10/10/2014 19 DIPLOMAT PHARMACY, INC. Medical/Nursing Services Health Care
2108    DPST 8/20/2015 1.91 DIREXION DAILY REGIONAL BANKS BULL 3X SHARES Exchange Traded Fund Financial
2109    DPW 1/2/1998 10 DPW HOLDINGS, INC. Industrial Machinery/Components Capital Goods
2110    DPZ 7/13/2004 59 DOMINO'S PIZZA INC Food Distributors Consumer Non-Durables
2111    DQ 10/7/2010 16 DAQO NEW ENERGY CORP. Semiconductors Technology
2112    DRAD 6/10/2004 9.57 DIGIRAD CORPORATION Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2113    DRADP 9/13/2019 0.02 DIGIRAD CORPORATION Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2114    DRD 8/20/2007 21 DRDGOLD LIMITED Precious Metals Basic Industries
2115    DRE 1/2/1998 82 DUKE REALTY CORPORATION Real Estate Investment Trusts Consumer Services
2116    DRH 5/26/2005 59 DIAMONDROCK HOSPITALITY COMPANY Real Estate Investment Trusts Consumer Services
2117    DRI 1/2/1998 87 DARDEN RESTAURANTS, INC. Restaurants Consumer Services
2118    DRIO 4/9/2013 2.64 DARIOHEALTH CORP. Medical/Dental Instruments Health Care
2119    DRIOW 3/4/2016 0.07 DARIOHEALTH CORP. Medical/Dental Instruments Health Care
2120    DRIP 5/29/2015 15 DIREXION DAILY S&P OIL & GAS EXP. & PROD. BEAR 3X SHARES Exchange Traded Fund Financial
2121    DRIV 4/17/2018 0.3 DIGITAL RIVER INC. Internet Software & Services Technology
2122    DRN 7/16/2009 24 DEXION DAILY REAL ESTATE BULL 3 Direxion Funds Trading-Leveraged Equity
2123    DRNA 1/30/2014 13 DICERNA PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
2124    DRQ 1/2/1998 57 DRIL-QUIP, INC. Metal Fabrications Energy
2125    DRR 5/22/2008 3.67 MARKET VECTORS DOUBLE SHORT EUR Morgan Stanley Trading-Miscellaneous
2126    DRRX 9/28/2000 38 DURECT CORPORATION Major Pharmaceuticals Health Care
2127    DRSK 8/9/2018 0.17 ETF SERIES SOLUTIONS Exchange Traded Fund Financial
2128    DRTT 1/28/2014 0.34 DIRTT ENVIRONMENTAL SOLUTIONS LTD. Computer Software: Prepackaged Software Technology
2129    DRUA 7/25/2016 3.67 DOMINION ENERGY, INC. Electric Utilities: Central Public Utilities
2130    DRV 7/16/2009 19 DREXION DAILY REAL ESTATE BEAR Direxion Funds Trading-Inverse Equity
2131    DRW 6/5/2007 4.37 WISDOMTREE GLOBAL EX-US REAL ES WisdomTree Global Real Estate
2132    DS 5/2/2007 39 DRIVE SHACK INC. Real Estate Investment Trusts Consumer Services
2133    DS.B 5/16/2007 1.09 DRIVE SHACK INC. Real Estate Investment Trusts Consumer Services
2134    DS.C 5/16/2007 0.49 DRIVE SHACK INC. Real Estate Investment Trusts Consumer Services
2135    DS.D 5/16/2007 0.63 DRIVE SHACK INC. Real Estate Investment Trusts Consumer Services
2136    DSE 6/26/2014 7.86 DUFF & PHELPS SELECT ENERGY MLP FUND INC.
2137    DSGX 2/8/1999 13 THE DESCARTES SYSTEMS GROUP INC. Computer Software: Prepackaged Software Technology
2138    DSI 11/17/2006 4.96 ISHARES KLD 400 SOCIAL INDEX FU iShares Large Blend
2139    DSKE 10/12/2015 6.15 DASEKE, INC. Transportation Services Consumer Services
2140    DSKEW 9/14/2015 0.69 DASEKE, INC. Transportation Services Consumer Services
2141    DSL 4/26/2013 19 DOUBLELINE INCOME SOLUTIONS FUND
2142    DSLV 10/17/2011 12 CREDIT SUISSE AG Investment Bankers/Brokers/Service Finance
2143    DSM 1/2/1998 18 DREYFUS STRATEGIC MUNICIPAL BOND FUND, INC.
2144    DSPG 1/2/1998 38 DSP GROUP, INC. Semiconductors Technology
2145    DSS 5/16/2007 10 DOCUMENT SECURITY SYSTEMS, INC. Containers/Packaging Consumer Durables
2146    DSSI 3/28/2019 1.78 DIAMOND S SHIPPING INC. Transportation Services Consumer Services
2147    DSTL 10/24/2018 0.14 DISTILLATE U.S. FUNDAMENTAL STABILITY & VALUE ETF Exchange Traded Fund Financial
2148    DSU 3/30/1998 39 BLACKROCK DEBT STRATEGIES FUND, INC.
2149    DSWL 4/15/1999 5.06 DESWELL INDUSTRIES, INC. Plastic Products Consumer Non-Durables
2150    DSX 3/23/2005 47 DIANA SHIPPING INC. Marine Transportation Transportation
2151    DSX.B 2/21/2014 0.94 DIANA SHIPPING INC. Marine Transportation Transportation
2152    DT 4/30/2007 16 DYNATRACE, INC. Computer Software: Prepackaged Software Technology
2153    DTD 6/16/2006 4.97 WISDOMTREE TOTAL DIVIDEND FUND WisdomTree Large Value
2154    DTE 1/2/1998 85 DTE ENERGY COMPANY Electric Utilities: Central Public Utilities
2155    DTEA 6/5/2015 4.79 DAVIDSTEA INC. Food Chains Consumer Non-Durables
2156    DTEC 12/29/2017 0.54 NASDAQ DALLAS REGIONAL CHAMBER INDEX Exchange Traded Fund Financial
2157    DTF 1/2/1998 4.79 DUFF & PHELPS UTILITIES TAX-FREE INCOME, INC.
2158    DTH 6/16/2006 4.9 WISDOMTREE DEFA HIGH-YIELDING E WisdomTree Foreign Large Value
2159    DTIL 3/28/2019 1.88 PRECISION BIOSCIENCES, INC. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2160    DTJ 6/10/2016 1.8 DTE ENERGY COMPANY Electric Utilities: Central Public Utilities
2161    DTN 6/16/2006 9.48 WISDOMTREE DIVIDEND EX-FINANCIA WisdomTree Large Value
2162    DTO 6/17/2008 20 POWERSHARES DB CRUDE OIL DOUBLE Deutsche Bank Trading-Inverse Commodities
2163    DTP 11/6/2019 0.13 DTE ENERGY COMPANY Electric Utilities: Central Public Utilities
2164    DTQ 10/3/2012 2.06 DTE ENERGY COMPANY Electric Utilities: Central Public Utilities
2165    DTSS 4/6/2016 0.3 DATASEA INC. Computer Software: Prepackaged Software Technology
2166    DTUL 8/10/2010 0.42 BARCLAYS PLC Commercial Banks Finance
2167    DTUS 8/10/2010 0.5 BARCLAYS PLC Commercial Banks Finance
2168    DTW 11/22/2017 1.1 DTE ENERGY COMPANY Electric Utilities: Central Public Utilities
2169    DTY 12/8/2016 1.34 DTE ENERGY COMPANY Electric Utilities: Central Public Utilities
2170    DTYL 8/10/2010 0.54 BARCLAYS PLC Commercial Banks Finance
2171    DTYS 8/10/2010 3.69 BARCLAYS PLC Commercial Banks Finance
2172    DUC 1/2/1998 13 DUFF & PHELPS UTILITY & CORPORATE BOND TRUST, INC.
2173    DUG 2/1/2007 35 PROSHARES ULTRASHORT OIL & GAS ProShares Trading-Inverse Equity
2174    DUK 1/2/1998 94 DUKE ENERGY CORPORATION Power Generation Public Utilities
2175    DUK.A 4/2/2019 1.07 DUKE ENERGY CORPORATION Power Generation Public Utilities
2176    DUKB 10/18/2018 0.86 DUKE ENERGY CORPORATION Power Generation Public Utilities
2177    DUKH 1/16/2013 4.29 DUKE ENERGY CORPORATION Power Generation Public Utilities
2178    DUO 11/1/2019 0.07 FANGDD NETWORK GROUP LTD. Real Estate Finance
2179    DURA 10/31/2018 0.13 VANECK VECTORS ETF TRUST Exchange Traded Fund Financial
2180    DUSA 1/12/2017 0.5 DAVIS SELECT U.S. EQUITY ETF
2181    DUSL 5/3/2017 0.37 DIREXION DAILY INDUSTRIALS BULL 3X SHARES Exchange Traded Fund Financial
2182    DUST 12/8/2010 46 DIREXION DAILY GOLD MINERS BEAR Direxion Funds Trading-Inverse Equity
2183    DVA 10/9/2000 72 DAVITA INC. Hospital/Nursing Management Health Care
2184    DVAX 2/19/2004 41 DYNAVAX TECHNOLOGIES CORPORATION Major Pharmaceuticals Health Care
2185    DVCR 9/12/2006 2.7 DIVERSICARE HEALTHCARE SERVICES INC. Hospital/Nursing Management Health Care
2186    DVD 1/2/1998 9.71 DOVER MOTORSPORTS, INC. Services-Misc. Amusement & Recreation Consumer Services
2187    DVEM 4/7/2016 0.35 WISDOMTREE TRUST Exchange Traded Fund Financial
2188    DVHL 11/13/2013 1.41 ETRACS 2X WELLS FARGO - BDCI Exchange Traded Fund Financial
2189    DVLU 9/7/2018 0.09 FIRST TRUST DORSEY WRIGHT MOMENTUM & VALUE ETF
2190    DVN 10/12/2004 69 DEVON ENERGY CORPORATION Oil & Gas Production Energy
2191    DVOL 9/14/2018 0.29 FIRST TRUST DORSEY WRIGHT MOMENTUM & LOW VOLATILITY ETF
2192    DVP 9/23/2014 2.73 DEEP VALUE ETF Exchange Traded Fund Financial
2193    DVY 11/7/2003 61 ISHARES SELECT DIVIDEND ETF
2194    DVYA 2/24/2012 1.01 ISHARES ASIA / PACIFIC DIVIDEND 30 INDEX FUND EXCHANGE TRADED Exchange Traded Fund Financial
2195    DVYE 2/24/2012 6.2 ISHARES EMERGING MARKETS DIVIDEND INDEX FUND EXCHANGE TRADED F Exchange Traded Fund Financial
2196    DVYL 5/23/2012 0.9 ETRACS 2X WELLS FARGO - BDCI Exchange Traded Fund Financial
2197    DWAQ 2/19/2014 0.36 POWERSHARES DWA NASDAQ MOMENTUM PORTFOLIO
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2201    DWCR 12/29/2017 0.03 ARROW DWA COUNTRY ROTATION ETF
2202    DWEQ 12/27/2019 0.01 ADVISORSHARES DORSEY WRIGHT ALPHA EQUAL WEIGHT ETF
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2204    DWIN 3/11/2016 0.84 POWERSHARES DWA TACTICAL MULTI-ASSET INCOME PORTFOLIO
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2207    DWMC 7/11/2018 0.03 ADVISORSHARES DORSEY WRIGHT MICRO-CAP ETF
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2320    EEMA 2/9/2012 3.03 ISHARES MSCI EMERGING MARKETS ASIA INDEX FUND
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2324    EEMV 10/20/2011 21 ISHARES MSCI EMERGING MARKETS M iShares Diversified Emerging Mkts
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2344    EFR 11/25/2003 23 EATON VANCE SENIOR FLOATING-RATE FUND
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2365    EHI 7/29/2003 20 WESTERN ASSET GLOBAL HIGH INCOME FUND INC
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2375    EINC 3/13/2012 5 VANECK VECTORS ENERGY INCOME ETF Exchange Traded Fund Financial
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2378    EIX 1/2/1998 89 EDISON INTERNATIONAL Electric Utilities: Central Public Utilities
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2380    EJUL 7/1/2019 0.11 INNOVATOR MSCI EMERGING MARKETS POWER BUFFER ETF - JULY Exchange Traded Fund Financial
2381    EKAR 2/13/2018 0.07 IDEANOMICS NEXTGEN VEHICLES AND TECHNOLOGY ETF Exchange Traded Fund Financial
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2405    EMCB 3/8/2012 1.17 WISDOMTREE EMERGING MARKETS CORPORATE BOND FUND
2406    EMCF 6/2/2005 0.3 EMCLAIRE FINANCIAL CORP Major Banks Finance
2407    EMCG 9/27/2013 0.46 WISDOMTREE EMERGING MARKETS CONSUMER GROWTH FUND
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2415    EMHY 4/3/2012 4.12 ISHARES Exchange Traded Fund Financial
2416    EMIF 6/19/2009 2.04 ISHARES S&P EMERGING MARKETS INFRASTRUCTURE INDEX FUND
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2422    EMMA 7/14/2017 1.49
2423    EMMAW 7/14/2017 0.04
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2432    EMSH 11/22/2013 0.12 PROSHARES TRUST Exchange Traded Fund Financial
2433    EMTL 4/26/2016 0.3 SSGA ACTIVE TRUST Exchange Traded Fund Financial
2434    EMTY 11/16/2017 0.26 PROSHARES DECLINE OF THE RETAIL STORE ETF Exchange Traded Fund Financial
2435    EMX 10/27/2008 2.93 EMX ROYALTY CORPORATION Precious Metals Basic Industries
2436    EMXC 7/26/2017 0.11 ISHARES MSCI EMERGING MARKETS EX CHINA ETF
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2445    ENIC 4/21/2016 9.76 ENEL CHILE S.A. Electric Utilities: Central Public Utilities
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2447    ENLC 3/10/2014 19 ENLINK MIDSTREAM, LLC Natural Gas Distribution Public Utilities
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2454    ENR.A 1/23/2019 0.27 ENERGIZER HOLDINGS, INC. Industrial Machinery/Components Miscellaneous
2455    ENS 8/2/2004 45 ENERSYS Telecommunications Equipment Consumer Non-Durables
2456    ENSG 11/9/2007 25 THE ENSIGN GROUP, INC. Hospital/Nursing Management Health Care
2457    ENSV 5/16/2007 5.16 ENSERVCO CORPORATION Oilfield Services/Equipment Energy
2458    ENT 2/1/2013 17 GLOBAL EAGLE ENTERTAINMENT INC. Telecommunications Equipment Consumer Services
2459    ENTA 3/21/2013 16 ENANTA PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
2460    ENTG 7/11/2000 68 ENTEGRIS, INC. Plastic Products Consumer Non-Durables
2461    ENTR 11/8/2017 0.19 ENTROPIC COMMUNICATIONS, INC. Semiconductor - Broad Line Technology
2462    ENTX 6/28/2018 0.18 ENTERA BIO LTD. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2463    ENTXW 6/28/2018 0.02 ENTERA BIO LTD. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2464    ENV 7/29/2010 21 ENVESTNET, INC Business Services Miscellaneous
2465    ENVA 11/13/2014 13 ENOVA INTERNATIONAL, INC. Finance: Consumer Services Finance
2466    ENX 8/28/2002 7.53 EATON VANCE NEW YORK MUNICIPAL BOND FUND
2467    ENZ 12/16/1999 40 ENZO BIOCHEM, INC. Medical Specialities Health Care
2468    ENZL 9/2/2010 5.13 ISHARES MSCI NEW ZEALAND ETF
2469    EOD 3/28/2007 23 WELLS FARGO GLOBAL DIVIDEND OPPORTUNITY FUND
2470    EOG 1/2/1998 89 EOG RESOURCES, INC. Oil & Gas Production Energy
2471    EOI 10/27/2004 21 EATON VANCE ENHANCE EQUITY INCOME FUND
2472    EOLS 2/8/2018 5.61 EVOLUS, INC. Major Pharmaceuticals Health Care
2473    EOS 1/27/2005 24 EATON VANCE ENHANCED EQUITY INCOME FUND II
2474    EOT 5/27/2009 7.48 EATON VANCE MUNICIPAL INCOME TRUST
2475    EP.C 5/16/2007 1.76 EL PASO CORPORATION Natural Gas Distribution Public Utilities
2476    EPAC 5/3/2007 45 ACTUANT CORPORATION Industrial Machinery/Components Technology
2477    EPAM 2/8/2012 23 EPAM SYSTEMS, INC. EDP Services Technology
2478    EPAY 2/12/1999 42 BOTTOMLINE TECHNOLOGIES, INC. Computer Software: Prepackaged Software Technology
2479    EPC 4/4/2000 68 ENERGIZER HOLDINGS, INC. Package Goods/Cosmetics Consumer Non-Durables
2480    EPD 7/28/1998 75 ENTERPRISE PRODUCTS PARTNERS L.P. Natural Gas Distribution Public Utilities
2481    EPHE 9/29/2010 18 ISHARES MSCI PHILIPPINES INVEST iShares Pacific/Asia ex-Japan Stk
2482    EPI 2/26/2008 46 WISDOMTREE INDIA EARNINGS FUND WisdomTree Pacific/Asia ex-Japan Stk
2483    EPIX 3/13/2015 0.71 ESSA PHARMA INC. Major Pharmaceuticals Health Care
2484    EPM 7/17/2006 15 EVOLUTION PETROLEUM CORPORATION, INC. Oil & Gas Production Energy
2485    EPOL 5/26/2010 16 ISHARES MSCI POLAND INVESTABLE iShares Europe Stock
2486    EPP 2/16/2007 42 ISHARES MSCI PACIFIC EX-JAPAN I iShares Pacific/Asia ex-Japan Stk
2487    EPR 1/2/1998 55 EPR PROPERTIES Real Estate Investment Trusts Consumer Services
2488    EPR.C 5/17/2007 1.14 EPR PROPERTIES Real Estate Investment Trusts Consumer Services
2489    EPR.E 4/7/2008 1.04 EPR PROPERTIES Real Estate Investment Trusts Consumer Services
2490    EPR.G 12/8/2017 0.61 EPR PROPERTIES Real Estate Investment Trusts Consumer Services
2491    EPRF 5/24/2016 0.3 INNOVATOR ETFS TRUST II Exchange Traded Fund Financial
2492    EPRT 6/21/2018 5.27 ESSENTIAL PROPERTIES REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2493    EPS 2/23/2007 2.13 WISDOMTREE EARNINGS 500 FUND WisdomTree Large Blend
2494    EPSN 10/28/2008 0.55 EPSILON ENERGY LTD. Oil & Gas Production Energy
2495    EPU 6/22/2009 13 ISHARES MSCI ALL PERU CAPPED IN iShares Latin America Stock
2496    EPV 6/19/2009 9.82 PROSHARES ULTRASHORT MSCI EUROP ProShares Trading-Inverse Equity
2497    EPZM 5/31/2013 20 EPIZYME, INC. Major Pharmaceuticals Health Care
2498    EQ 10/12/2018 0.53 EQUILLIUM, INC. Major Pharmaceuticals Health Care
2499    EQAL 12/29/2014 1.9 INVESCO RUSSELL 1000 EQUAL WEIGHT ETF Exchange Traded Fund Financial
2500    EQBK 11/11/2015 3.23 EQUITY BANCSHARES, INC. Major Banks Finance
2501    EQC 1/2/1998 75 EQUITY COMMONWEALTH Real Estate Investment Trusts Consumer Services
2502    EQC.D 7/1/2010 2.34 EQUITY COMMONWEALTH Real Estate Investment Trusts Consumer Services
2503    EQH 5/10/2018 7.24 EQUITABLE HOLDINGS, INC. Specialty Insurers Finance
2504    EQH.A 12/2/2019 0.3 EQUITABLE HOLDINGS, INC. Specialty Insurers Finance
2505    EQIX 8/11/2000 64 EQUINIX, INC. Real Estate Investment Trusts Consumer Services
2506    EQL 7/7/2009 1.72 ALPS EQUAL SECTOR WEIGHT ETF ALPS Large Blend
2507    EQM 6/27/2012 20 EQT MIDSTREAM PARTNERS, LP Natural Gas Distribution Public Utilities
2508    EQNR 4/30/2007 58 EQUINOR ASA Integrated oil Companies Energy
2509    EQR 1/2/1998 84 EQUITY RESIDENTIAL Real Estate Investment Trusts Consumer Services
2510    EQRR 7/25/2017 0.11 PROSHARES EQUITIES FOR RISING RATES ETF
2511    EQS 5/20/1998 2.64 EQUUS TOTAL RETURN, INC.
2512    EQT 1/2/1998 77 EQT CORPORATION Oil & Gas Production Energy
2513    EQWL 5/16/2007 1.08 INVESCO S&P 100 EQUAL WEIGHT ETF Exchange Traded Fund Financial
2514    EQX 9/16/2019 0.57 EQUINOX GOLD CORP. Precious Metals Basic Industries
2515    ERA 1/22/2013 9.87 ERA GROUP, INC. Transportation Services Transportation
2516    ERC 6/25/2003 24 WELLS FARGO MULTI-SECTOR INCOME FUND
2517    ERF 11/17/2000 71 ENERPLUS CORPORATION Oil & Gas Production Energy
2518    ERH 4/28/2004 8.01 WELLS FARGO UTILITIES AND HIGH INCOME FUND
2519    ERI 8/10/2005 18 ELDORADO RESORTS, INC. Hotels/Resorts Consumer Services
2520    ERIC 8/24/2006 60 ERICSSON Radio And Television Broadcasting And Communications Equipment Technology
2521    ERIE 1/2/1998 22 ERIE INDEMNITY COMPANY Specialty Insurers Finance
2522    ERII 7/2/2008 28 ENERGY RECOVERY, INC. Industrial Machinery/Components Technology
2523    ERJ 7/21/2000 70 EMBRAER-EMPRESA BRASILEIRA DE AERONAUTICA Aerospace Capital Goods
2524    ERM 4/11/2017 0.22 EQUITYCOMPASS RISK MANAGER ETF Exchange Traded Fund Financial
2525    EROS 11/13/2013 16 EROS INTERNATIONAL PLC Movies/Entertainment Consumer Services
2526    ERSX 12/28/2018 0.05 ERSHARES NON-US SMALL CAP ETF Exchange Traded Fund Financial
2527    ERUS 11/10/2010 16 ISHARES MSCI RUSSIA CAPPED INDE iShares Europe Stock
2528    ERX 11/19/2008 49 DIREXION ENERGY BULL 3X SHARES Direxion Funds Trading-Leveraged Equity
2529    ERY 11/19/2008 44 DIREXION ENERGY BEAR 3X SHARES Direxion Funds Trading-Inverse Equity
2530    ERYP 11/10/2017 0.12 ERYTECH PHARMA S.A. Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2531    ES 11/15/2007 49 EVERSOURCE ENERGY Electric Utilities: Central Public Utilities
2532    ESBA 10/2/2013 1.19 EMPIRE STATE REALTY OP, L.P. REIT - Office Financial
2533    ESBK 6/15/2005 0.74 ELMIRA SAVINGS BANK NY (THE) Major Banks Finance
2534    ESCA 1/2/1998 5.05 ESCALADE, INCORPORATED Recreational Products/Toys Consumer Non-Durables
2535    ESE 1/2/1998 37 ESCO TECHNOLOGIES INC. Telecommunications Equipment Consumer Durables
2536    ESEA 1/31/2007 12 EUROSEAS LTD. Marine Transportation Transportation
2537    ESG 7/14/2016 0.11 FLEXSHARES STOXX US ESG IMPACT INDEX FUND
2538    ESGD 8/25/2016 2.05 ISHARES MSCI EAFE ESG OPTIMIZED ETF
2539    ESGE 7/20/2016 2.34 ISHARES MSCI EM ESG OPTIMIZED ETF
2540    ESGF 2/9/2017 0.1 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO GLOBAL ESG REVEN Exchange Traded Fund Financial
2541    ESGG 7/15/2016 0.12 FLEXSHARES STOXX GLOBAL ESG IMPACT INDEX FUND
2542    ESGL 11/1/2016 0.1 INVESCO EXCHANGE-TRADED SELF-INDEXED FUND TRUST INVESCO ESG RE Exchange Traded Fund Financial
2543    ESGN 6/13/2016 0.12 COLUMBIA SUSTAINABLE INTERNATIONAL EQUITY INCOME ETF Exchange Traded Fund Financial
2544    ESGR 9/30/2002 9.24 ENSTAR GROUP LIMITED Property-Casualty Insurers Finance
2545    ESGRO 12/3/2018 0.36 ENSTAR GROUP LIMITED Property-Casualty Insurers Finance
2546    ESGRP 7/13/2018 0.81 ENSTAR GROUP LIMITED Property-Casualty Insurers Finance
2547    ESGS 7/21/2016 0.09 COLUMBIA SUSTAINABLE U.S. EQUITY INCOME ETF Exchange Traded Fund Financial
2548    ESGU 12/6/2016 0.77 ISHARES MSCI USA ESG OPTIMIZED ETF
2549    ESGV 9/20/2018 0.78 VANGUARD WORLD FUNDS Exchange Traded Fund Financial
2550    ESGW 6/13/2016 0.07 COLUMBIA SUSTAINABLE GLOBAL EQUITY INCOME ETF Exchange Traded Fund Financial
2551    ESI 1/2/1998 69 ITT EDUCATIONAL SERVICES INC. Education & Training Services Services
2552    ESLT 2/14/2001 8.76 ELBIT SYSTEMS LTD. Military/Government/Technical Capital Goods
2553    ESML 5/15/2018 0.36 ISHARES TRUST Exchange Traded Fund Financial
2554    ESNT 10/31/2013 21 ESSENT GROUP LTD. Property-Casualty Insurers Finance
2555    ESP 1/6/1998 1.76 ESPEY MFG. & ELECTRONICS CORP. Industrial Machinery/Components Capital Goods
2556    ESPO 10/17/2018 0.39 VANECK VECTORS VIDEO GAMING AND ESPORTS ETF
2557    ESPR 6/26/2013 19 ESPERION THERAPEUTICS, INC. Major Pharmaceuticals Health Care
2558    ESQ 6/27/2017 0.71 ESQUIRE FINANCIAL HOLDINGS, INC. Commercial Banks Finance
2559    ESRT 10/2/2013 25 EMPIRE STATE REALTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2560    ESS 1/2/1998 57 ESSEX PROPERTY TRUST, INC. Real Estate Investment Trusts Consumer Services
2561    ESSA 4/4/2007 6.21 ESSA BANCORP, INC. Banks Finance
2562    ESTA 7/19/2018 1.46 ESTABLISHMENT LABS HOLDINGS INC. Industrial Specialties Health Care
2563    ESTC 10/5/2018 4.71 ELASTIC N.V. Computer Software: Prepackaged Software Technology
2564    ESTE 5/16/2007 7.24 EARTHSTONE ENERGY, INC. Oil & Gas Production Energy
2565    ESTR 11/16/2015 0.86 ESTRE AMBIENTAL, INC. Environmental Services Public Utilities
2566    ESTRW 11/16/2015 0.17 ESTRE AMBIENTAL, INC. Environmental Services Public Utilities
2567    ESXB 5/16/2007 2.91 COMMUNITY BANKERS TRUST CORPORATION. Major Banks Finance
2568    ET 3/22/2012 35 ENERGY TRANSFER L.P. Natural Gas Distribution Public Utilities
2569    ETB 4/27/2005 15 EATON VANCE TAX-MANAGED BUY-WRITE INCOME FUND
2570    ETFC 2/15/2001 88 E*TRADE FINANCIAL CORPORATION Savings Institutions Finance
2571    ETG 1/29/2004 31 EATON VANCE TAX-ADVANTAGED GLOBAL DIVIDEND INCOME FUND
2572    ETH 1/2/1998 61 ETHAN ALLEN INTERIORS INC. Home Furnishings Consumer Durables
2573    ETHO 11/19/2015 0.35 ETHO CLIMATE LEADERSHIP U.S. ETF Exchange Traded Fund Financial
2574    ETJ 7/27/2007 24 EATON VANCE RISK-MANAGED DIVERSIFIED EQUITY INCOME FUND
2575    ETM 1/29/1999 52 ENTERCOM COMMUNICATIONS CORPORATION Broadcasting Consumer Services
2576    ETN 1/2/1998 87 EATON CORPORATION, PLC Industrial Machinery/Components Technology
2577    ETNB 11/11/2019 0.27 89BIO, INC. Major Pharmaceuticals Health Care
2578    ETO 5/26/2004 13 EATON VANCE TAX-ADVANTAGE GLOBAL DIVIDEND OPP
2579    ETON 11/13/2018 0.65 ETON PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
2580    ETP.C 5/2/2018 1.45 ENERGY TRANSFER OPERATING, L.P.
2581    ETP.D 7/27/2018 1.37 ENERGY TRANSFER OPERATING, L.P.
2582    ETP.E 4/26/2019 0.86 ENERGY TRANSFER OPERATING, L.P.
2583    ETR 1/2/1998 87 ENTERGY CORPORATION Electric Utilities: Central Public Utilities
2584    ETRN 10/31/2018 5.42 EQUITRANS MIDSTREAM CORPORATION Natural Gas Distribution Public Utilities
2585    ETSY 4/16/2015 20 ETSY, INC. Business Services Miscellaneous
2586    ETTX 9/26/2018 0.38 ENTASIS THERAPEUTICS HOLDINGS INC. Major Pharmaceuticals Health Care
2587    ETV 6/28/2005 26 EATON VANCE CORPORATION
2588    ETW 11/21/2005 32 EATON VANCE CORPORATION
2589    ETX 3/26/2013 3.51 EATON VANCE MUNICIPAL INCOME 2028 TERM TRUST
2590    ETY 11/28/2006 36 EATON VANCE TAX-MANAGED DIVERSIFIED EQUITY INCOME FUND
2591    EUDG 5/7/2014 0.52 WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
2592    EUDV 9/11/2015 0.21 PROSHARES TRUST Exchange Traded Fund Financial
2593    EUFL 9/1/2016 0.15 DIREXION DAILY EUROPEAN FINANCIALS BULL 2X SHARES Exchange Traded Fund Financial
2594    EUFN 2/3/2010 17 ISHARES MSCI EUROPE FINANCIALS SECTOR INDEX FUND
2595    EUFX 7/16/2012 0.39 PROSHARES SHORT EURO Exchange Traded Fund Financial
2596    EUM 11/1/2007 18 PROSHARES SHORT MSCI EMERGING M ProShares Trading-Inverse Equity
2597    EUMF 3/29/2019 0.01 WISDOMTREE TRUST Exchange Traded Fund Financial
2598    EUMV 6/5/2014 0.84 ISHARES EDGE MSCI MIN VOL EUROPE ETF Exchange Traded Fund Financial
2599    EUO 11/25/2008 29 PROSHARES ULTRASHORT EURO ProShares Trading-Miscellaneous
2600    EURL 1/22/2014 2.89 DIREXION DAILY FTSE EUROPE BULL 3X SHARES Exchange Traded Fund Financial
2601    EURN 1/26/2015 16 EURONAV NV Marine Transportation Transportation
2602    EURZ 10/27/2017 0.05 DB-X MSCI Exchange Traded Fund Financial
2603    EUSA 5/7/2010 1.3 ISHARES MSCI USA INDEX FUND iShares Large Blend
2604    EUSC 3/4/2015 2.03 WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND Exchange Traded Fund Financial
2605    EV 1/2/1998 72 EATON VANCE CORPORATION Investment Managers Finance
2606    EVA 4/29/2015 5.38 ENVIVA PARTNERS, LP Forest Products Basic Industries
2607    EVBG 9/16/2016 9.2 EVERBRIDGE, INC. Computer Software: Prepackaged Software Technology
2608    EVBN 5/8/2006 1.11 EVANS BANCORP, INC. Major Banks Finance
2609    EVC 8/2/2000 48 ENTRAVISION COMMUNICATIONS CORPORATION Broadcasting Consumer Services
2610    EVER 5/3/2012 19 EVERBANK FINANCIAL CORP. Regional - Southeast Banks Financial
2611    EVF 10/28/1998 22 EATON VANCE SENIOR INCOME TRUST
2612    EVFM 11/20/2014 4.62 EVOFEM BIOSCIENCES, INC. Major Pharmaceuticals Health Care
2613    EVG 2/24/2005 12 EATON VANCE SHORT DIVERSIFIED INCOME FUND
2614    EVGN 11/21/2013 0.76 EVOGENE LTD. Agricultural Chemicals Basic Industries
2615    EVH 6/5/2015 16 EVOLENT HEALTH, INC Other Consumer Services Consumer Services
2616    EVI 12/1/2009 2.61 ENVIROSTARM, INC. Other Consumer Services Consumer Services
2617    EVIX 5/3/2017 0.11 UBS AG Major Banks Finance
2618    EVK 7/16/2008 1.11 EVER-GLORY INTERNATIONAL GROUP, INC. Apparel Consumer Non-Durables
2619    EVLO 5/9/2018 1.19 EVELO BIOSCIENCES, INC. Major Pharmaceuticals Health Care
2620    EVM 8/28/2002 11 EATON VANCE CALIFORNIA MUNICIPAL BOND FUND
2621    EVN 1/27/1999 12 EATON VANCE MUNICIPAL INCOME TRUST
2622    EVOK 9/25/2013 5.61 EVOKE PHARMA, INC. Major Pharmaceuticals Health Care
2623    EVOL 5/12/1998 14 EVOLVING SYSTEMS, INC. EDP Services Technology
2624    EVOP 5/23/2018 4.33 EVO PAYMENTS, INC. Business Services Miscellaneous
2625    EVR 8/14/2006 39 EVERCORE INC. Investment Managers Finance
2626    EVRG 5/2/2007 53 EVERGY, INC. Power Generation Public Utilities
2627    EVRI 5/8/2007 38 EVERI HOLDINGS INC. Finance: Consumer Services Finance
2628    EVSI 4/30/2010 1.21 ENVISION SOLAR INTERNATIONAL, INC. Semiconductors Technology
2629    EVSIW 4/16/2019 0.02 ENVISION SOLAR INTERNATIONAL, INC. Semiconductors Technology
2630    EVT 9/26/2003 30 EATON VANCE TAX ADVANTAGED DIVIDEND INCOME FUND
2631    EVTC 4/12/2013 20 EVERTEC, INC. EDP Services Technology
2632    EVV 6/11/2003 41 EATON VANCE LIMITED DURATION INCOME FUND
2633    EVX 10/16/2006 0.84 MARKET VECTORS ENVIRONMENT INDE Van Eck Industrials
2634    EVY 1/27/1999 3.5 EATON VANCE NEW YORK MUNICIPAL INCOME TRUST
2635    EW 4/3/2000 73 EDWARDS LIFESCIENCES CORPORATION Industrial Specialties Health Care
2636    EWA 1/2/1998 61 ISHARES MSCI AUSTRALIA INDEX FU iShares Pacific/Asia ex-Japan Stk
2637    EWBC 2/8/1999 69 EAST WEST BANCORP, INC. Major Banks Finance
2638    EWC 1/2/1998 57 ISHARES MSCI CANADA INDEX FUND iShares Foreign Large Value
2639    EWCO 11/7/2018 0.14 INVESCO S&P 500 EQUAL WEIGHT COMMUNICATION SERVICES ETF Exchange Traded Fund Financial
2640    EWD 11/30/2005 25 ISHARES MSCI SWEDEN INDEX FUND iShares Europe Stock
2641    EWEM 12/8/2010 0.5 RYDEX MSCI EMERGING MARKETS EQU Rydex/SGI Diversified Emerging Mkts
2642    EWG 1/2/1998 59 ISHARES MSCI GERMANY INDEX FUND iShares Europe Stock
2643    EWGS 1/26/2012 0.99 ISHARES Exchange Traded Fund Financial
2644    EWH 11/30/2005 58 ISHARES MSCI HONG KONG INDEX FU iShares China Region
2645    EWI 11/30/2005 31 ISHARES MSCI ITALY INDEX FUND iShares Europe Stock
2646    EWJ 1/2/1998 80 ISHARES MSCI JAPAN INDEX FUND iShares Japan Stock
2647    EWJE 3/7/2019 0.01 ISHARES MSCI JAPAN EQUAL WEIGHTED ETF
2648    EWJV 3/7/2019 0.01 ISHARES MSCI JAPAN VALUE ETF
2649    EWK 11/30/2005 12 ISHARES MSCI BELGIUM INDEX FUND iShares Europe Stock
2650    EWL 11/30/2005 32 ISHARES MSCI SWITZERLAND INDEX iShares Europe Stock
2651    EWM 11/30/2005 46 ISHARES MSCI MALAYSIA INDEX FUN iShares Pacific/Asia ex-Japan Stk
2652    EWMC 12/8/2010 1.4 INVESCO S&P MIDCAP 400 EQUAL WEIGHT ETF Exchange Traded Fund Financial
2653    EWN 11/30/2005 16 ISHARES MSCI NETHERLANDS INDEX iShares Europe Stock
2654    EWO 1/2/1998 16 ISHARES MSCI AUSTRIA INDEX FUND iShares Europe Stock
2655    EWP 11/30/2005 34 ISHARES MSCI SPAIN INDEX FUND iShares Europe Stock
2656    EWQ 11/30/2005 31 ISHARES MSCI FRANCE INDEX FUND iShares Europe Stock
2657    EWRE 8/14/2015 0.41 INVESCO S&P 500 EQUAL WEIGHT REAL ESTATE ETF Exchange Traded Fund Financial
2658    EWS 11/30/2005 48 ISHARES MSCI SINGAPORE INDEX FU iShares Pacific/Asia ex-Japan Stk
2659    EWSC 12/8/2010 0.79 INVESCO S&P SMALLCAP 600 EQUAL WEIGHT ETF Exchange Traded Fund Financial
2660    EWT 11/30/2005 61 ISHARES MSCI TAIWAN INDEX FUND iShares China Region
2661    EWU 11/30/2005 47 ISHARES MSCI UNITED KINGDOM IND iShares Europe Stock
2662    EWUS 1/26/2012 0.79 ISHARES Exchange Traded Fund Financial
2663    EWV 11/8/2007 3.38 PROSHARES ULTRASHORT MSCI JAPAN ProShares Trading-Inverse Equity
2664    EWW 1/2/1998 63 ISHARES MSCI MEXICO INDEX FUND iShares Latin America Stock
2665    EWX 5/22/2008 11 SPDR S&P EMERGING MARKETS SMALL State Street Global Advisors Diversified Emerging Mkts
2666    EWY 11/30/2005 59 ISHARES MSCI SOUTH KOREA INDEX iShares Pacific/Asia ex-Japan Stk
2667    EWZ 3/13/2007 64 ISHARES MSCI BRAZIL INDEX FUND iShares Latin America Stock
2668    EWZS 9/29/2010 3.91 ISHARES MSCI BRAZIL SMALL-CAP ETF
2669    EXAS 2/1/2001 48 EXACT SCIENCES CORPORATION Biotechnology: Commercial Physical & Biological Resarch Health Care
2670    EXC 10/23/2000 85 EXELON CORPORATION Power Generation Public Utilities
2671    EXD 6/25/2010 5.3 EATON VANCE TAX-ADVANTAGED BOND
2672    EXEL 4/17/2000 67 EXELIXIS, INC. Biotechnology: Commercial Physical & Biological Resarch Health Care
2673    EXFO 6/30/2000 13 EXFO INC Electrical Products Capital Goods
2674    EXG 4/23/2007 46 EATON VANCE TAX-MANAGED GLOBAL DIVERSIFIED EQUITY INCOME FUND
2675    EXI 9/27/2006 4.54 ISHARES S&P GLOBAL INDUSTRIALS iShares Industrials
2676    EXIV 5/3/2017 0.47 UBS AG Major Banks Finance
2677    EXK 1/29/2007 40 ENDEAVOUR SILVER CORPORATION Precious Metals Basic Industries
2678    EXLS 10/20/2006 26 EXLSERVICE HOLDINGS, INC. Business Services Miscellaneous
2679    EXP 2/2/2004 58 EAGLE MATERIALS INC Building Materials Capital Goods
2680    EXPC 11/5/2019 0.03 EXPERIENCE INVESTMENT CORP. Business Services Finance
2681    EXPCU 9/13/2019 0.03 EXPERIENCE INVESTMENT CORP. Business Services Finance
2682    EXPCW 1/3/2020 0.01 EXPERIENCE INVESTMENT CORP. Business Services Finance
2683    EXPD 1/2/1998 82 EXPEDITORS INTERNATIONAL OF WASHINGTON, INC. Oil Refining/Marketing Transportation
2684    EXPE 8/9/2005 68 EXPEDIA, INC. Transportation Services Consumer Services
2685    EXPI 11/19/2013 3.32 EXP WORLD HOLDINGS, INC. Real Estate Finance
2686    EXPO 3/9/1998 24 EXPONENT, INC. Professional Services Consumer Services
2687    EXPR 5/13/2010 39 EXPRESS, INC. Clothing/Shoe/Accessory Stores Consumer Services
2688    EXR 8/16/2004 56 EXTRA SPACE STORAGE INC Real Estate Investment Trusts Consumer Services
2689    EXT 2/23/2007 1.07 WISDOMTREE TOTAL EARNINGS FUND WisdomTree Large Blend
2690    EXTN 11/4/2015 9.13 EXTERRAN CORPORATION Diversified Commercial Services Technology
2691    EXTR 4/9/1999 72 EXTREME NETWORKS, INC. Computer Communications Equipment Technology
2692    EYE 1/2/1998 34 NATIONAL VISION HOLDINGS, INC. Ophthalmic Goods Health Care
2693    EYEG 2/13/2015 4.53 EYEGATE PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
2694    EYEGW 7/31/2015 0.12 EYEGATE PHARMACEUTICALS, INC. Major Pharmaceuticals Health Care
2695    EYEN 1/25/2018 1.05 EYENOVIA, INC. Major Pharmaceuticals Health Care
2696    EYES 11/19/2014 11 SECOND SIGHT MEDICAL PRODUCTS, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2697    EYESW 3/29/2017 0.12 SECOND SIGHT MEDICAL PRODUCTS, INC. Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2698    EYLD 7/14/2016 0.26 CAMBRIA ETF TRUST Exchange Traded Fund Financial
2699    EYPT 5/16/2007 14 EYEPOINT PHARMACEUTICALS, INC. Biotechnology: Laboratory Analytical Instruments Capital Goods
2700    EZA 2/7/2003 34 ISHARES MSCI SOUTH AFRICA INDEX iShares Diversified Emerging Mkts
2701    EZJ 6/5/2009 1.56 PROSHARES ULTRA MSCI JAPAN ProShares Trading-Leveraged Equity
2702    EZM 2/23/2007 6.55 WISDOMTREE MIDCAP EARNINGS FUND WisdomTree Mid-Cap Blend
2703    EZPW 1/2/1998 50 EZCORP, INC. Other Specialty Stores Consumer Services
2704    EZT 2/4/2015 0.53 ENTERGY TEXAS INC Electric Utilities: Central Public Utilities
2705    EZU 7/31/2000 43 ISHARES MSCI EMU INDEX FUND iShares Europe Stock
2706    F 3/13/2007 76 FORD MOTOR COMPANY Auto Manufacturing Capital Goods
2707    F.C 12/23/2019 0.19 FORD MOTOR COMPANY Auto Manufacturing Capital Goods
2708    FAAR 5/23/2016 0.32 FIRST TRUST ALTERNATIVE ABSOLUTE RETURN STRATEGY ETF
2709    FAB 5/23/2007 2.14 FIRST TRUST MULTI CAP VALUE ALPHADEX FUND
2710    FAD 5/11/2007 1.51 FIRST TRUST MULTI CAP GROWTH ALPHADEX FUND
2711    FAF 5/28/2010 36 FIRST AMERICAN CORPORATION (THE) Specialty Insurers Finance
2712    FALN 6/21/2016 0.81 ISHARES FALLEN ANGELS USD BOND ETF
2713    FAM 11/24/2004 11 FIRST TRUST/ABERDEEN GLOBAL OPPORTUNITY INCOME FUND
2714    FAMI 2/16/2018 1.39 FARMMI, INC. Packaged Foods Consumer Non-Durables
2715    FAN 6/27/2008 6.1 FIRST TRUST ISE GLOBAL WIND ENE First Trust Equity Energy
2716    FANG 10/12/2012 30 DIAMONDBACK ENERGY, INC. Oil & Gas Production Energy
2717    FANH 11/1/2007 23 FANHUA INC. Specialty Insurers Finance
2718    FARM 1/14/2004 12 FARMER BROTHERS COMPANY Packaged Foods Consumer Non-Durables
2719    FARO 1/2/1998 35 FARO TECHNOLOGIES, INC. Industrial Machinery/Components Capital Goods
2720    FAS 11/19/2008 61 DIREXION FINANCIAL BULL 3X SHAR Direxion Funds Trading-Leveraged Equity
2721    FAST 1/2/1998 87 FASTENAL COMPANY RETAIL: Building Materials Consumer Services
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2724    FAUS 2/24/2012 0.15 FIRST TRUST AUSTRALIA ALPHADEX FUND Exchange Traded Fund Financial
2725    FAX 1/2/1998 55 ABERDEEN ASIA-PACIFIC INCOME FUND INC
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2728    FBC 7/13/2001 55 FLAGSTAR BANCORP, INC. Savings Institutions Finance
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2737    FBNC 1/2/1998 15 FIRST BANCORP Major Banks Finance
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2740    FBP 1/2/1998 60 FIRST BANCORP. Major Banks Finance
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2742    FBT 6/23/2006 19 FIRST TRUST AMEX BIOTECH INDEX First Trust Health
2743    FBZ 4/19/2011 1.28 FIRST TRUST BRAZIL ALPHADEX FUND
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2745    FCA 4/21/2011 0.48 FIRST TRUST CHINA ALPHADEX FUND
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2747    FCAN 2/17/2012 0.86 FIRST TRUST CANADA ALPHADEX FUND
2748    FCAP 7/22/2003 0.48 FIRST CAPITAL, INC. Savings Institutions Finance
2749    FCAU 6/9/2010 28 FIAT CHRYSLER AUTOMOBILES N.V. Auto Manufacturing Capital Goods
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2751    FCBP 1/5/2018 0.59 FIRST CHOICE BANCORP Major Banks Finance
2752    FCCO 1/9/2006 1.33 FIRST COMMUNITY CORPORATION Major Banks Finance
2753    FCCY 5/13/2005 1.52 1ST CONSTITUTION BANCORP (NJ) Savings Institutions Finance
2754    FCEF 9/29/2016 0.32 FIRST TRUST CEF INCOME OPPORTUNITY ETF
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2763    FCOR 10/9/2014 0.98 FIDELITY CORPORATE BOND ETF Exchange Traded Fund Financial
2764    FCPI 11/7/2019 0.01 FIDELITY Exchange Traded Fund Financial
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2766    FCT 5/26/2004 15 FIRST TRUST SENIOR FLOATING RATE INCOME FUND II
2767    FCTR 8/2/2018 0.17 FIRST TRUST EXCHANGE-TRADED FUND Exchange Traded Fund Financial
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2773    FDEM 2/28/2019 0.06 FIDELITY Exchange Traded Fund Financial
2774    FDEU 9/25/2015 4.06 FIRST TRUST DYNAMIC EUROPE EQUITY INCOME FUND
2775    FDEV 2/28/2019 0.04 FIDELITY Exchange Traded Fund Financial
2776    FDHY 6/14/2018 0.35 FIDELITY HIGH YIELD FACTOR ETF Exchange Traded Fund Financial
2777    FDIS 10/24/2013 5.91 FIDELITY MSCI CONSUMER DISCRETIONARY INDEX ETF Exchange Traded Fund Financial
2778    FDIV 8/14/2014 0.67 FIRST TRUST STRATEGIC INCOME ETF
2779    FDL 3/15/2006 18 FIRST TRUST MORNINGSTAR ETF First Trust Large Value
2780    FDLO 9/15/2016 1.31 FIDELITY LOW VOLATILITY FACTOR ETF Exchange Traded Fund Financial
2781    FDM 9/30/2005 3.4 FIRST TRUST DJ SELECT MICROCAP First Trust Small Blend
2782    FDMO 9/15/2016 1.01 FIDELITY MOMENTUM FACTOR ETF Exchange Traded Fund Financial
2783    FDN 6/23/2006 31 FIRST TRUST DJ INTERNET INDEX F First Trust Technology
2784    FDNI 11/7/2018 0.05 FIRST TRUST DOW JONES INTERNATIONAL INTERNET ETF
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2786    FDRR 9/15/2016 2.39 FIDELITY DIVIDEND ETF FOR RISING RATES Exchange Traded Fund