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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: 11110 symbols and 229 gigabytes
Delisted: 11464 symbols and 104 gigabytes
List last updated on: 3/14/2025

# Symbol StartDate Size(MB) Description Industry Sector
1    A 11/18/1999 123 AGILENT TECHNOLOGIES INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
2    AA 1/2/1998 141 ALCOA CORPORATION COMMON STOCK Aluminum Industrials
3    AAA 9/9/2020 0.35 ALTERNATIVE ACCESS FIRST PRIORITY CLO BOND ETF Exchange Traded Fund Financial
4    AAAU 8/15/2018 14 GOLDMAN SACHS PHYSICAL GOLD ETF SHARES Exchange Traded Fund Financial
5    AACBU 2/13/2025 0.01 ARTIUS II ACQUISITION INC. UNITS Blank Checks Finance
6    AACG 1/29/2008 6.08 ATA CREATIVITY GLOBAL AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
7    AACT 6/12/2023 0.28 ARES ACQUISITION CORPORATION II CLASS A ORDINARY SHARES Blank Checks Finance
8    AADI 8/8/2017 11 AADI BIOSCIENCE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9    AADR 7/21/2010 2.18 ADVISORSHARES DORSEY WRIGHT ADR ETF Exchange Traded Fund Financial
10    AAGR 10/5/2021 1.6
11    AAGRW 10/1/2021 0.28
12    AAL 12/9/2013 68 AMERICAN AIRLINES GROUP INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
13    AAM 9/16/2024 0.04 AA MISSION ACQUISITION CORP. CLASS A ORDINARY SHARES
14    AAME 1/5/1998 3.5 ATLANTIC AMERICAN CORPORATION COMMON STOCK Life Insurance Finance
15    AAMI 10/9/2014 28 ACADIAN ASSET MANAGEMENT INC. COMMON STOCK Investment Managers Finance
16    AAOI 9/26/2013 38 APPLIED OPTOELECTRONICS INC. COMMON STOCK Semiconductors Technology
17    AAON 1/2/1998 42 AAON INC. COMMON STOCK Industrial Machinery/Components Industrials
18    AAP 11/29/2001 102 ADVANCE AUTO PARTS INC. Auto & Home Supply Stores Consumer Discretionary
19    AAPB 8/10/2022 2.06 GRANITESHARES 2X LONG AAPL DAILY ETF Exchange Traded Fund Financial
20    AAPD 8/10/2022 6.06 DIREXION DAILY AAPL BEAR 1X SHARES Exchange Traded Fund Financial
21    AAPG 1/24/2025 0.14 ASCENTAGE PHARMA GROUP INTERNATIONAL AMERICAN DEPOSITORY SHARES Biotechnology: Pharmaceutical Preparations Health Care
22    AAPL 1/2/1998 210 APPLE INC. COMMON STOCK Computer Manufacturing Technology
23    AAPR 4/1/2024 0.17 SHL TELEMEDICINE LTD INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
24    AAPU 8/9/2022 6.79 DIREXION DAILY AAPL BULL 2X SHARES Exchange Traded Fund Financial
25    AAPX 1/11/2024 0.65 ETF OPPORTUNITIES TRUST T-REX 2X LONG APPLE DAILY TARGET ETF Exchange Traded Fund Financial
26    AAPY 10/27/2023 0.07 KURV YIELD PREMIUM STRATEGY APPLE (AAPL) ETF Exchange Traded Fund Financial
27    AARD 2/13/2025 0.12 AARDVARK THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
28    AAT 1/13/2011 37 AMERICAN ASSETS TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
29    AATC 5/16/2007 4.68
30    AAVM 5/3/2017 0.81 ALPHA ARCHITECT GLOBAL FACTOR EQUITY ETF Exchange Traded Fund Financial
31    AAXJ 8/15/2008 57 ISHARES MSCI ALL COUNTRY ASIA EX JAPAN ETF Exchange Traded Fund Financial
32    AB 2/27/2006 61 ALLIANCEBERNSTEIN HOLDING L.P. UNITS Investment Managers Finance
33    ABAT 2/26/2008 17 AMERICAN BATTERY TECHNOLOGY COMPANY COMMON STOCK Metal Mining Basic Materials
34    ABBV 1/2/2013 62 ABBVIE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
35    ABCB 1/2/1998 40 AMERIS BANCORP COMMON STOCK Major Banks Finance
36    ABCL 12/11/2020 18 ABCELLERA BIOLOGICS INC. COMMON SHARES Pharmaceuticals and Biotechnology Health Care
37    ABCS 12/20/2023 0.07 ALPHA BLUE CAPITAL US SMALL-MID CAP DYNAMIC ETF Exchange Traded Fund Financial
38    ABEO 5/16/2007 28 ABEONA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
39    ABEQ 1/22/2020 0.58 ABSOLUTE SELECT VALUE ETF Exchange Traded Fund Financial
40    ABEV 11/11/2013 55 AMBEV S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1 COMMON SHARE) Beverages (Production/Distribution) Consumer Staples
41    ABFL 12/13/2024 0.03 ABACUS FCF LEADERS ETF Exchange Traded Fund Financial
42    ABG 5/10/2002 57 ASBURY AUTOMOTIVE GROUP INC COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
43    ABHY 12/13/2024 0.01 ABACUS TACTICAL HIGH YIELD ETF Exchange Traded Fund Financial
44    ABL 8/23/2006 2.19 ABACUS LIFE INC. CLASS A COMMON STOCK Investment Managers Finance
45    ABLD 12/13/2024 0.01 ABACUS FCF REAL ASSETS LEADERS ETF Exchange Traded Fund Financial
46    ABLG 12/13/2024 0.02 ABACUS FCF INTERNATIONAL LEADERS ETF Exchange Traded Fund Financial
47    ABLLL 11/24/2023 0.13 ABACUS LIFE INC. 9.875% FIXED RATE SENIOR NOTES DUE 2028 Investment Managers Finance
48    ABLLW 9/14/2020 1.03 ABACUS LIFE INC. WARRANT Investment Managers Finance
49    ABLV 8/18/2023 0.49 ABLE VIEW GLOBAL INC. CLASS B ORDINARY SHARES Other Consumer Services Consumer Discretionary
50    ABLVW 8/18/2023 0.04 ABLE VIEW GLOBAL INC. WARRANT Other Consumer Services Consumer Discretionary
51    ABM 1/2/1998 74 ABM INDUSTRIES INCORPORATED COMMON STOCK Diversified Commercial Services Finance
52    ABNB 12/10/2020 24 AIRBNB INC. CLASS A COMMON STOCK Diversified Commercial Services Finance
53    ABNY 6/25/2024 0.2 TIDAL TRUST II YIELDMAX ABNB OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
54    ABOS 5/17/2007 6.85 ACUMEN PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
55    ABOT 12/13/2024 0.01 ABACUS FCF INNOVATION LEADERS ETF Exchange Traded Fund Financial
56    ABP 8/18/2000 9.44 ABPRO HOLDINGS INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
57    ABPWW 3/7/2022 0.08
58    ABR 4/7/2004 60 ARBOR REALTY TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
59    ABR.D 6/7/2021 1.33 ARBOR REALTY TRUST 6.375% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK LIQUIDATION PREFERENCE $25.00 PER SHARE
60    ABR.E 8/16/2021 0.72 ARBOR REALTY TRUST 6.25% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK
61    ABR.F 10/18/2021 1.25 ARBOR REALTY TRUST 6.25% SERIES F FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK LIQUIDATION PREFERENCE $25.00 PER SHARE
62    ABSI 7/22/2021 11 ABSCI CORPORATION COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
63    ABT 1/2/1998 138 ABBOTT LABORATORIES COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
64    ABTS 4/10/2014 6.02 ABITS GROUP INC ORDINARY SHARES Computer Software: Programming Data Processing Technology
65    ABUS 10/27/2008 33 ARBUTUS BIOPHARMA CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
66    ABVC 5/20/2019 4.28 ABVC BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
67    ABVE 7/1/2024 0.81 ABOVE FOOD INGREDIENTS INC. COMMON STOCK Packaged Foods Consumer Staples
68    ABVEW 7/1/2024 0.17 ABOVE FOOD INGREDIENTS INC. WARRANTS Packaged Foods Consumer Staples
69    ABVX 10/20/2023 1.52 ABIVAX SA AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
70    AC 11/10/2015 2.94 ASSOCIATED CAPITAL GROUP INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
71    ACA 11/5/2018 15 ARCOSA INC. COMMON STOCK Metal Fabrications Industrials
72    ACAD 5/27/2004 69 ACADIA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
73    ACB 10/23/2018 35 AURORA CANNABIS INC. COMMON SHARES Medicinal Chemicals and Botanical Products Health Care
74    ACCD 7/2/2020 16 ACCOLADE INC. COMMON STOCK Business Services Consumer Discretionary
75    ACCO 8/17/2005 69 ACCO BRANDS CORPORATION COMMON STOCK Publishing Consumer Discretionary
76    ACCS 5/18/2007 0.25 ACCESS NEWSWIRE INC. COMMON STOCK Publishing Consumer Discretionary
77    ACDC 5/13/2022 8.9 PROFRAC HOLDING CORP. CLASS A COMMON STOCK Oilfield Services/Equipment Energy
78    ACEL 8/24/2017 12 ACCEL ENTERTAINMENT INC. Services-Misc. Amusement & Recreation Consumer Discretionary
79    ACES 6/29/2018 6.32 ALPS CLEAN ENERGY ETF Exchange Traded Fund Financial
80    ACET 1/26/2018 18 ADICET BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
81    ACGL 5/9/2000 87 ARCH CAPITAL GROUP LTD. COMMON STOCK Property-Casualty Insurers Finance
82    ACGLN 6/14/2021 2.51 ARCH CAPITAL GROUP LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 4.550% NON-CUMULATIVE PREFERRED SHARE SERIES G Property-Casualty Insurers Finance
83    ACGLO 8/21/2017 3.85 ARCH CAPITAL GROUP LTD. DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 5.45% NON-CUMULATIVE PREFERRED SHARES SERIES F Property-Casualty Insurers Finance
84    ACGR 7/1/2021 0.08 AMERICAN CENTURY LARGE CAP GROWTH ETF Exchange Traded Fund Financial
85    ACHC 11/1/2011 45 ACADIA HEALTHCARE COMPANY INC. COMMON STOCK Medical Specialities Health Care
86    ACHL 3/31/2021 3.36 ACHILLES THERAPEUTICS PLC AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
87    ACHR 12/18/2020 21 ARCHER AVIATION INC. CLASS A COMMON STOCK Aerospace Industrials
88    ACHV 8/21/2008 22 ACHIEVE LIFE SCIENCES INC. COMMON SHARES Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
89    ACI 6/26/2020 23 ALBERTSONS COMPANIES INC. CLASS A COMMON STOCK Food Chains Consumer Staples
90    ACIC 12/18/2020 9.65 AMERICAN COASTAL INSURANCE CORPORATION COMMON STOCK Property-Casualty Insurers Finance
91    ACIO 7/10/2019 2.63 APTUS COLLARED INVESTMENT OPPORTUNITY ETF Exchange Traded Fund Financial
92    ACIU 9/23/2016 11 AC IMMUNE SA COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
93    ACIW 7/25/2007 59 ACI WORLDWIDE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
94    ACLC 7/15/2020 0.5 AMERICAN CENTURY LARGE CAP EQUITY ETF Exchange Traded Fund Financial
95    ACLS 7/11/2000 74 AXCELIS TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Technology
96    ACLX 2/4/2022 8.59 ARCELLX INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
97    ACM 5/10/2007 76 AECOM COMMON STOCK Military/Government/Technical Consumer Discretionary
98    ACMR 11/3/2017 20 ACM RESEARCH INC. CLASS A COMMON STOCK Industrial Machinery/Components Technology
99    ACN 7/19/2001 113 ACCENTURE PLC CLASS A ORDINARY SHARES (IRELAND) Business Services Consumer Discretionary
100    ACNB 10/25/2006 3 ACNB CORPORATION COMMON STOCK Major Banks Finance
101    ACNT 5/16/2007 6.39 ASCENT INDUSTRIES CO. COMMON STOCK Steel/Iron Ore Industrials
102    ACOG 11/12/2024 0.22 ALPHA COGNITION INC. COMMON STOCK
103    ACON 4/22/2022 4.38 ACLARION INC. COMMON STOCK Medical Specialities Health Care
104    ACONW 4/22/2022 0.2 ACLARION INC. WARRANT Medical Specialities Health Care
105    ACP 1/27/2011 19 ABRDN INCOME CREDIT STRATEGIES FUND COMMON SHARES Investment Managers Finance
106    ACP.A 5/17/2021 0.35 ABRDN INCOME CREDIT STRATEGIES FUND 5.250% SERIES A PERPETUAL PREFERRED STOCK
107    ACR 2/17/2021 1.84 ACRES COMMERCIAL REALTY CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
108    ACR.C 2/17/2021 0.87 ACRES COMMERCIAL REALTY CORP. 8.625% FIXED-TO-FLOATING SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK
109    ACR.D 6/1/2021 0.53 ACRES COMMERCIAL REALTY CORP. 7.875% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK
110    ACRE 4/27/2012 33 ARES COMMERCIAL REAL ESTATE CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
111    ACRS 10/7/2015 25 ACLARIS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
112    ACRV 11/15/2022 1.57 ACRIVON THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
113    ACSI 11/7/2016 0.3 AMERICAN CUSTOMER SATISFACTION ETF Exchange Traded Fund Financial
114    ACT 9/16/2021 7.68 ENACT HOLDINGS INC. COMMON STOCK Specialty Insurers Finance
115    ACTG 12/16/2002 49 ACACIA RESEARCH CORPORATION (ACACIA TECH) COMMON STOCK Multi-Sector Companies Miscellaneous
116    ACTU 7/27/1998 24 ACTUATE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
117    ACTV 10/27/2020 0.69 LEADERSHARES ACTIVIST LEADERS ETF Exchange Traded Fund Financial
118    ACTX 4/29/2015 1.55
119    ACU 5/10/2004 4.38 ACME UNITED CORPORATION. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
120    ACV 5/22/2015 8.2 VIRTUS DIVERSIFIED INCOME & CONVERTIBLE FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
121    ACVA 3/24/2021 15 ACV AUCTIONS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
122    ACVF 10/29/2020 0.67 AMERICAN CONSERVATIVE VALUES ETF Exchange Traded Fund Financial
123    ACWI 3/28/2008 63 ISHARES MSCI ACWI ETF Exchange Traded Fund Financial
124    ACWV 10/20/2011 23 ISHARES MSCI GLOBAL MIN VOL FACTOR ETF Exchange Traded Fund Financial
125    ACWX 4/1/2008 46 ISHARES MSCI ACWI EX U.S. ETF Exchange Traded Fund Financial
126    ACXP 6/25/2021 2.57 ACURX PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
127    ADAG 2/9/2021 1.72 ADAGENE INC. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
128    ADAP 5/6/2015 25 ADAPTIMMUNE THERAPEUTICS PLC AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
129    ADBE 1/2/1998 128 ADOBE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
130    ADC 1/2/1998 49 AGREE REALTY CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
131    ADC.A 9/21/2021 0.9 AGREE REALTY CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF A 4.250% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
132    ADCT 1/2/1998 67 ADC THERAPEUTICS SA COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
133    ADD 1/29/2009 19 COLOR STAR TECHNOLOGY CO. LTD. CLASS A ORDINARY SHARES Engineering & Construction Consumer Discretionary
134    ADEA 4/26/2007 65 ADEIA INC. COMMON STOCK Computer Software: Prepackaged Software Technology
135    ADFI 8/18/2020 0.43 ANFIELD DYNAMIC FIXED INCOME ETF Exchange Traded Fund Financial
136    ADGM 8/1/2024 0.54 ADAGIO MEDICAL HOLDINGS INC COMMON STOCK Medical/Dental Instruments Health Care
137    ADI 1/2/1998 130 ANALOG DEVICES INC. COMMON STOCK Semiconductors Technology
138    ADIL 7/27/2018 7.85 ADIAL PHARMACEUTICALS INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
139    ADIV 3/29/2021 0.12 SMARTETFS ASIA PACIFIC DIVIDEND BUILDER ETF Exchange Traded Fund Financial
140    ADM 1/2/1998 126 ARCHER-DANIELS-MIDLAND COMPANY COMMON STOCK Packaged Foods Consumer Staples
141    ADMA 10/17/2013 28 ADMA BIOLOGICS INC COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
142    ADME 11/8/2019 1.29 APTUS DRAWDOWN MANAGED EQUITY ETF Exchange Traded Fund Financial
143    ADN 2/9/2021 9.16 ADVENT TECHNOLOGIES HOLDINGS INC. CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
144    ADNT 10/17/2016 33 ADIENT PLC ORDINARY SHARES Auto Parts:O.E.M. Consumer Discretionary
145    ADNWW 1/24/2019 3.22 ADVENT TECHNOLOGIES HOLDINGS INC. WARRANT Industrial Machinery/Components Miscellaneous
146    ADP 12/1/2000 116 AUTOMATIC DATA PROCESSING INC. COMMON STOCK EDP Services Technology
147    ADPT 6/25/2014 29 ADAPTIVE BIOTECHNOLOGIES CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
148    ADPV 11/4/2022 0.29 SERIES PORTFOLIOS TRUST ADAPTIV SELECT ETF Exchange Traded Fund Financial
149    ADSE 12/23/2021 1.77 ADS-TEC ENERGY PLC ORDINARY SHARES Industrial Specialties Consumer Discretionary
150    ADSEW 12/23/2021 0.32 ADS-TEC ENERGY PLC WARRANT Industrial Specialties Consumer Discretionary
151    ADSK 1/2/1998 116 AUTODESK INC. COMMON STOCK Computer Software: Prepackaged Software Technology
152    ADT 1/19/2018 33 ADT INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
153    ADTN 1/2/1998 91 ADTRAN HOLDINGS INC. COMMON STOCK Telecommunications Equipment Utilities
154    ADTX 6/30/2020 12 ADITXT INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
155    ADUR 11/7/2024 0.29 ADURO CLEAN TECHNOLOGIES INC. COMMON STOCK
156    ADUS 10/28/2009 18 ADDUS HOMECARE CORPORATION COMMON STOCK Medical/Nursing Services Health Care
157    ADV 10/29/2020 11 ADVANTAGE SOLUTIONS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
158    ADVB 3/6/2025 0.02 ADVANCED BIOMED INC. COMMON STOCK Medical Specialities Health Care
159    ADVE 6/7/2024 0.01 MATTHEWS INTERNATIONAL FUNDS MATTHEWS ASIA DIVIDEND ACTIVE ETF Exchange Traded Fund Financial
160    ADVM 7/31/2014 28 ADVERUM BIOTECHNOLOGIES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
161    ADVWW 10/29/2020 0.63 ADVANTAGE SOLUTIONS INC. WARRANT Business Services Consumer Discretionary
162    ADX 1/2/1998 37 ADAMS DIVERSIFIED EQUITY FUND INC. Investment Managers Finance
163    ADXN 6/17/2020 1.88 ADDEX THERAPEUTICS LTD AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
164    ADXS 5/16/2007 32
165    AEAEW 12/13/2021 0.14
166    AEE 1/2/1998 117 AMEREN CORPORATION COMMON STOCK Power Generation Utilities
167    AEF 4/30/2018 5.35 ABRDN EMERGING MARKETS EX-CHINA FUND INC. COMMON STOCK Finance/Investors Services Finance
168    AEFC 10/24/2019 4.81 AEGON FUNDING COMPANY LLC 5.10% SUBORDINATED NOTES DUE 2049
169    AEG 1/2/1998 90 AEGON LTD. NEW YORK REGISTRY SHARES Life Insurance Finance
170    AEHL 8/7/2014 9.22 ANTELOPE ENTERPRISE HOLDINGS LIMITED CLASS A ORDINARY SHARES Building Materials Industrials
171    AEHR 1/2/1998 23 AEHR TEST SYSTEMS COMMON STOCK Electrical Products Industrials
172    AEI 11/25/2020 8.52 ALSET INC. COMMON STOCK (TX) Real Estate Finance
173    AEIS 1/2/1998 77 ADVANCED ENERGY INDUSTRIES INC. COMMON STOCK Industrial Machinery/Components Technology
174    AEM 1/2/1998 111 AGNICO EAGLE MINES LIMITED COMMON STOCK Precious Metals Basic Materials
175    AEMD 5/16/2007 15 AETHLON MEDICAL INC. COMMON STOCK Medical/Dental Instruments Health Care
176    AENT 3/24/2021 1.05 ALLIANCE ENTERTAINMENT HOLDING CORPORATION CLASS A COMMON STOCK Durable Goods Consumer Discretionary
177    AENTW 2/13/2023 0.1 ALLIANCE ENTERTAINMENT HOLDING CORPORATION WARRANTS Durable Goods Consumer Discretionary
178    AEO 1/2/1998 115 AMERICAN EAGLE OUTFITTERS INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
179    AEON 1/3/2023 2.87 AEON BIOPHARMA INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
180    AEP 1/2/1998 125 AMERICAN ELECTRIC POWER COMPANY INC. COMMON STOCK Electric Utilities: Central Utilities
181    AER 11/21/2006 73 AERCAP HOLDINGS N.V. ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
182    AERT 4/11/2007 1.84 AERIES TECHNOLOGY INC. CLASS A ORDINARY SHARE Professional Services Consumer Discretionary
183    AERTW 12/21/2021 0.15 AERIES TECHNOLOGY INC. WARRANT Professional Services Consumer Discretionary
184    AES 1/2/1998 127 THE AES CORPORATION COMMON STOCK Electric Utilities: Central Utilities
185    AESI 3/9/2023 7.42 ATLAS ENERGY SOLUTIONS INC. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
186    AESR 12/17/2019 1.3 ANFIELD U.S. EQUITY SECTOR ROTATION ETF Exchange Traded Fund Financial
187    AETH 10/2/2023 0.27 BITWISE TRENDWISE ETHER AND TREASURIES ROTATION STRATEGY ETF Exchange Traded Fund Financial
188    AEVA 6/1/2020 15 AEVA TECHNOLOGIES INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
189    AEVAW 1/28/2025 0.01 AEVA TECHNOLOGIES INC. WARRANTS Auto Parts:O.E.M. Consumer Discretionary
190    AEYE 4/26/2013 6.81 AUDIOEYE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
191    AFB 1/29/2002 20 ALLIANCEBERNSTEIN NATIONAL MUNICIPAL INCOME FUND INC Trusts Except Educational Religious and Charitable Finance
192    AFBI 4/28/2017 0.98 AFFINITY BANCSHARES INC. COMMON STOCK (MD) Banks Finance
193    AFCG 3/19/2021 7.05 ADVANCED FLOWER CAPITAL INC. COMMON STOCK Real Estate Finance
194    AFG 1/2/1998 83 AMERICAN FINANCIAL GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
195    AFGB 3/19/2019 1.4 AMERICAN FINANCIAL GROUP INC. 5.875% SUBORDINATED DEBENTURES DUE 2059 Property-Casualty Insurers Finance
196    AFGC 1/21/2020 1.18 AMERICAN FINANCIAL GROUP INC. 5.125% SUBORDINATED DEBENTURES DUE 2059 Property-Casualty Insurers Finance
197    AFGD 6/3/2020 1.02 AMERICAN FINANCIAL GROUP INC. 5.625% SUBORDINATED DEBENTURES DUE 2060 Property-Casualty Insurers Finance
198    AFGE 9/24/2014 2.07 AMERICAN FINANCIAL GROUP INC. 4.500% SUBORDINATED DEBENTURES DUE 2060 Property-Casualty Insurers Finance
199    AFIB 8/6/2020 6.93
200    AFIF 9/18/2018 0.93 ANFIELD UNIVERSAL FIXED INCOME ETF Exchange Traded Fund Financial
201    AFJK 1/22/2024 0.04 AIMEI HEALTH TECHNOLOGY CO. LTD ORDINARY SHARE
202    AFJKR 1/22/2024 0.03 AIMEI HEALTH TECHNOLOGY CO. LTD RIGHT
203    AFJKU 12/4/2023 0.03 AIMEI HEALTH TECHNOLOGY CO. LTD UNIT
204    AFK 7/14/2008 5.24 VANECK AFRICA INDEX ETF Exchange Traded Fund Financial
205    AFL 1/2/1998 126 AFLAC INCORPORATED COMMON STOCK Accident &Health Insurance Finance
206    AFLG 12/4/2019 0.43 FIRST TRUST ACTIVE FACTOR LARGE CAP ETF Exchange Traded Fund Financial
207    AFMC 12/4/2019 0.23 FIRST TRUST ACTIVE FACTOR MID CAP ETF Exchange Traded Fund Financial
208    AFMD 9/12/2014 25 AFFIMED N.V. Biotechnology: Pharmaceutical Preparations Health Care
209    AFRI 6/10/2022 0.71 FORAFRIC GLOBAL PLC ORDINARY SHARES Packaged Foods Consumer Staples
210    AFRIW 6/10/2022 0.25 FORAFRIC GLOBAL PLC WARRANTS Packaged Foods Consumer Staples
211    AFRM 1/13/2021 25 AFFIRM HOLDINGS INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
212    AFSM 12/4/2019 0.25 FIRST TRUST ACTIVE FACTOR SMALL CAP ETF Exchange Traded Fund Financial
213    AFYA 7/19/2019 11 AFYA LIMITED CLASS A COMMON SHARES Other Consumer Services Real Estate
214    AG 12/15/2010 72 FIRST MAJESTIC SILVER CORP. ORDINARY SHARES (CANADA) Precious Metals Basic Materials
215    AGAE 10/25/2017 6.98 ALLIED GAMING & ENTERTAINMENT INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
216    AGCO 5/4/2009 68 AGCO CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
217    AGD 7/27/2006 20 ABRDN GLOBAL DYNAMIC DIVIDEND FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
218    AGEM 7/22/2009 0.46
219    AGEN 2/8/2000 71 AGENUS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
220    AGFY 1/28/2021 9.61 AGRIFY CORPORATION COMMON STOCK Farming/Seeds/Milling Consumer Staples
221    AGG 9/29/2003 85 ISHARES CORE U.S. AGGREGATE BOND ETF Exchange Traded Fund Financial
222    AGGH 2/17/2022 0.97 SIMPLIFY AGGREGATE BOND ETF Exchange Traded Fund Financial
223    AGGS 5/2/2024 0.01 HARBOR ETF TRUST HARBOR DISCIPLINED BOND ETF Exchange Traded Fund Financial
224    AGGY 7/9/2015 9.68 WISDOMTREE YIELD ENHANCED U.S. AGGREGATE BOND FUND Exchange Traded Fund Financial
225    AGH 2/12/2025 0.27 AUREUS GREENWAY HOLDINGS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
226    AGI 2/13/2013 52 ALAMOS GOLD INC. CLASS A COMMON SHARES Precious Metals Basic Materials
227    AGIH 6/24/2022 0.01 ISHARES U.S. ETF TRUST ISHARES INFLATION HEDGED U.S. AGGREGATE Exchange Traded Fund Financial
228    AGIO 7/24/2013 39 AGIOS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
229    AGIX 7/18/2024 0.12 KRANESHARES ARTIFICIAL INTELLIGENCE & TECHNOLOGY ETF Exchange Traded Fund Financial
230    AGL 2/9/2009 26 AGILON HEALTH INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
231    AGM 6/18/1999 31 FEDERAL AGRICULTURAL MORTGAGE CORPORATION COMMON STOCK Finance Companies Finance
232    AGM.A 6/18/1999 0.76
233    AGM.D 5/17/2019 0.82 FEDERAL AGRICULTURAL MORTGAGE CORPORATION 5.700% NON-CUMULATIVE PREFERRED STOCK SERIES D
234    AGM.E 5/27/2020 0.56 FEDERAL AGRICULTURAL MORTGAGE CORPORATION 5.750% NON-CUMULATIVE PREFERRED STOCK SERIES E
235    AGM.F 8/26/2020 1.08 FEDERAL AGRICULTURAL MORTGAGE CORPORATION 5.250% NON-CUMULATIVE PREFERRED STOCK SERIES F
236    AGM.G 6/3/2021 0.71 FEDERAL AGRICULTURAL MORTGAGE CORPORATION 4.875% NON-CUMULATIVE PREFERRED STOCK SERIES G
237    AGMH 4/18/2018 2.69 AGM GROUP HOLDINGS INC. CLASS A ORDINARY SHARES EDP Services Technology
238    AGMI 5/3/2024 0.02 THEMES SILVER MINERS ETF Exchange Traded Fund Financial
239    AGNC 5/15/2008 83 AGNC INVESTMENT CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
240    AGNCL 9/15/2022 1.09 AGNC INVESTMENT CORP. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 7.75% SERIES G FIXED-RATE RESET CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
241    AGNCM 3/6/2019 2.87 AGNC INVESTMENT CORP. DEPOSITARY SHARES REP 6.875% SERIES D FIXED-TO-FLOATING CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
242    AGNCN 8/28/2017 4.68 AGNC INVESTMENT CORP. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 7.00% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
243    AGNCO 10/4/2019 4 AGNC INVESTMENT CORP. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.50% SERIES E FIXED-TO-FLOATING CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
244    AGNCP 2/5/2020 4.57 AGNC INVESTMENT CORP. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.125% SERIES F FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
245    AGNG 8/5/2016 0.99 GLOBAL X AGING POPULATION ETF Exchange Traded Fund Financial
246    AGO 4/23/2004 81 ASSURED GUARANTY LTD. COMMON STOCK Property-Casualty Insurers Finance
247    AGOX 5/10/2021 1.43 ADAPTIVE ALPHA OPPORTUNITIES ETF Exchange Traded Fund Financial
248    AGQ 12/4/2008 58 PROSHARES ULTRA SILVER Exchange Traded Fund Financial
249    AGQI 11/21/2023 0.39 FIRST TRUST EXCHANGE-TRADED FUND VIII FIRST TRUST ACTIVE GLOBA Exchange Traded Fund Financial
250    AGRH 7/1/2022 0.03 ISHARES U.S. ETF TRUST ISHARES INTEREST RATE HEDGED U.S. AGGRE Exchange Traded Fund Financial
251    AGRI 7/8/2021 10 AGRIFORCE GROWING SYSTEMS LTD. COMMON SHARES Metal Fabrications Industrials
252    AGRO 1/28/2011 41 ADECOAGRO S.A. COMMON SHARES Farming/Seeds/Milling Consumer Staples
253    AGS 1/26/2018 16 PLAYAGS INC. COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
254    AGX 8/22/2007 25 ARGAN INC. COMMON STOCK Engineering & Construction Consumer Discretionary
255    AGYS 9/16/2003 38 AGILYSYS INC. COMMON STOCK (DE) EDP Services Technology
256    AGZ 11/11/2008 8.04 ISHARES AGENCY BOND ETF Exchange Traded Fund Financial
257    AGZD 12/18/2013 2.69 WISDOMTREE INTEREST RATE HEDGED U.S. AGGREGATE BOND FUND Exchange Traded Fund Financial
258    AHCO 5/24/2018 18 ADAPTHEALTH CORP. COMMON STOCK Medical/Nursing Services Health Care
259    AHG 1/2/1998 34 AKSO HEALTH GROUP ADS Business Services Consumer Discretionary
260    AHH 5/8/2013 31 ARMADA HOFFLER PROPERTIES INC. COMMON STOCK Real Estate Finance
261    AHH.A 6/19/2019 0.93 ARMADA HOFFLER PROPERTIES INC. 6.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
262    AHL.D 9/22/2016 3.34 ASPEN INSURANCE HOLDINGS LIMITED 5.625% PERPETUAL NON-CUMULATIVE PREFERENCE SHARES
263    AHL.E 8/15/2019 2.23 ASPEN INSURANCE HOLDINGS LIMITED DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.625% PERPETUAL NON-CUMULATIVE PREFERENCE SHARES
264    AHL.F 12/3/2024 0.13 ASPEN INSURANCE HOLDINGS LIMITED DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 7.00% PERPETUAL NON-CUMULATIVE PREFERENCE SHARE
265    AHLT 8/31/2023 0.12 AMERICAN BEACON SELECT FUNDS AMERICAN BEACON AHL TREND ETF Exchange Traded Fund Financial
266    AHR 2/7/2024 4.47 AMERICAN HEALTHCARE REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
267    AHT 8/26/2003 74 ASHFORD HOSPITALITY TRUST INC COMMON STOCK Real Estate Investment Trusts Real Estate
268    AHT.D 7/30/2007 3.56 ASHFORD HOSPITALITY TRUST INC 8.45% SERIES D CUMULATIVE PREFERRED STOCK
269    AHT.F 7/19/2016 1.68 ASHFORD HOSPITALITY TRUST INC 7.375% SERIES F CUMULATIVE PREFERRED STOCK
270    AHT.G 10/21/2016 1.92 ASHFORD HOSPITALITY TRUST INC 7.375% SERIES G CUMULATIVE PREFERRED STOCK
271    AHT.H 8/29/2017 1.32 ASHFORD HOSPITALITY TRUST INC 7.50% SERIES H CUMULATIVE PREFERRED STOCK
272    AHT.I 11/22/2017 1.64 ASHFORD HOSPITALITY TRUST INC 7.50% SERIES I CUMULATIVE PREFERRED STOCK
273    AHYB 11/18/2021 0.12 AMERICAN CENTURY SELECT HIGH YIELD ETF Exchange Traded Fund Financial
274    AI 6/10/2009 52 C3.AI INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
275    AIA 11/20/2007 12 ISHARES ASIA 50 ETF Exchange Traded Fund Financial
276    AIBD 5/17/2024 0.05 DIREXION SHARES ETF TRUST DIREXION DAILY AI AND BIG DATA BEAR Exchange Traded Fund Financial
277    AIBU 5/15/2024 0.23 DIREXION SHARES ETF TRUST DIREXION DAILY AI AND BIG DATA BULL Exchange Traded Fund Financial
278    AIEQ 10/18/2017 4.13 AMPLIFY ETF TRUST AMPLIFY AI POWERED EQUITY ETF Exchange Traded Fund Financial
279    AIEV 8/8/2022 1.11 THUNDER POWER HOLDINGS INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
280    AIFD 5/6/2024 0.2 TCW ARTIFICIAL INTELLIGENCE ETF Exchange Traded Fund Financial
281    AIFF 5/17/2007 3.02 FIREFLY NEUROSCIENCE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
282    AIFU 10/31/2007 26 AIX INC. AMERICAN DEPOSITARY SHARES Specialty Insurers Finance
283    AIG 1/2/1998 136 AMERICAN INTERNATIONAL GROUP INC. NEW COMMON STOCK Life Insurance Finance
284    AIHS 3/19/2018 7.26 SENMIAO TECHNOLOGY LIMITED COMMON STOCK Finance: Consumer Services Finance
285    AIM 2/4/2002 22 AIM IMMUNOTECH INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
286    AIMAU 4/26/2022 0.03 AIMFINITY INVESTMENT CORP. I UNIT Blank Checks Finance
287    AIMAW 6/17/2022 0.07
288    AIMBU 6/29/2022 0.04 AIMFINITY INVESTMENT CORP. I SUBUNIT Blank Checks Finance
289    AIMD 1/8/2021 2.26 AINOS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
290    AIMDW 8/9/2022 0.1 AINOS INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
291    AIN 1/2/1998 56 ALBANY INTERNATIONAL CORPORATION COMMON STOCK Textiles Consumer Discretionary
292    AIO 10/29/2019 8.12 VIRTUS ARTIFICIAL INTELLIGENCE & TECHNOLOGY OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
293    AIOT 5/7/2007 14 POWERFLEET INC. COMMON STOCK Telecommunications Equipment Telecommunications
294    AIP 6/30/2006 4.94 ARTERIS INC. COMMON STOCK Semiconductors Technology
295    AIPI 6/4/2024 1.1 REX AI EQUITY PREMIUM INCOME ETF Exchange Traded Fund Financial
296    AIQ 5/16/2018 9.54 GLOBAL X ARTIFICIAL INTELLIGENCE & TECHNOLOGY ETF Exchange Traded Fund Financial
297    AIR 1/2/1998 65 AAR CORP. COMMON STOCK Aerospace Industrials
298    AIRE 10/23/2023 2.9 REALPHA TECH CORP. COMMON STOCK Real Estate Finance
299    AIRG 8/12/2016 8.44 AIRGAIN INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
300    AIRI 7/16/2007 5.6 AIR INDUSTRIES GROUP COMMON STOCK Military/Government/Technical Industrials
301    AIRJ 2/1/2022 0.77 AIRJOULE TECHNOLOGIES CORPORATION CLASS A COMMON STOCK Industrial Machinery/Components Industrials
302    AIRJW 1/31/2022 0.33 AIRJOULE TECHNOLOGIES CORPORATION WARRANT Industrial Machinery/Components Industrials
303    AIRL 12/8/2023 0.03 THEMES AIRLINES ETF Exchange Traded Fund Financial
304    AIRR 3/11/2014 7.37 FIRST TRUST RBA AMERICAN INDUSTRIAL RENAISSANCE ETF Exchange Traded Fund Financial
305    AIRS 10/29/2021 4.74 AIRSCULPT TECHNOLOGIES INC. COMMON STOCK Medical/Nursing Services Health Care
306    AIRT 1/2/1998 7.69 AIR T INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
307    AIRTP 6/11/2019 0.24 AIR T INC. AIR T FUNDING ALPHA INCOME TRUST PREFERRED SECURITIES Air Freight/Delivery Services Consumer Discretionary
308    AIS 9/23/2004 10 TIDAL TRUST III VISTASHARES ARTIFICIAL INTELLIGENCE SUPERCYCLE Exchange Traded Fund Financial
309    AISP 5/10/2021 4.25 AIRSHIP AI HOLDINGS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
310    AISPW 5/10/2021 0.75 AIRSHIP AI HOLDINGS INC. WARRANTS Computer Software: Prepackaged Software Technology
311    AIT 7/3/2000 64 APPLIED INDUSTRIAL TECHNOLOGIES INC. COMMON STOCK Industrial Specialties Consumer Discretionary
312    AITR 1/2/2024 0.05 AI TRANSPORTATION ACQUISITION CORP ORDINARY SHARES
313    AITRR 1/2/2024 0.05 AI TRANSPORTATION ACQUISITION CORP RIGHT
314    AITRU 11/9/2023 0.03 AI TRANSPORTATION ACQUISITION CORP UNIT
315    AIV 1/2/1998 108 APARTMENT INVESTMENT AND MANAGEMENT COMPANY COMMON STOCK Real Estate Investment Trusts Real Estate
316    AIVC 10/21/2024 0.02 AMPLIFY BLOOMBERG AI VALUE CHAIN ETF Exchange Traded Fund Financial
317    AIVI 5/8/2007 7.57 WISDOMTREE INTERNATIONAL AI ENHANCED VALUE FUND Exchange Traded Fund Financial
318    AIVL 1/18/2022 0.52 WISDOMTREE U.S. AI ENHANCED VALUE FUND Exchange Traded Fund Financial
319    AIXI 3/9/2023 2.41 XIAO-I CORPORATION AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
320    AIYY 11/28/2023 2.17 TIDAL TRUST II YIELDMAX AI OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
321    AIZ 2/5/2004 83 ASSURANT INC. COMMON STOCK Property-Casualty Insurers Finance
322    AIZN 11/25/2020 1.39 ASSURANT INC. 5.25% SUBORDINATED NOTES DUE 2061 Property-Casualty Insurers Finance
323    AJAN 1/2/2024 0.18 INNOVATOR ETFS TRUST INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
324    AJG 1/2/1998 101 ARTHUR J. GALLAGHER & CO. COMMON STOCK Specialty Insurers Finance
325    AJUL 7/1/2024 0.19 SHL TELEMEDICINE LTD INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
326    AKA 9/22/2021 3.84 A.K.A. BRANDS HOLDING CORP. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
327    AKAM 10/29/1999 111 AKAMAI TECHNOLOGIES INC. COMMON STOCK Business Services Consumer Discretionary
328    AKAN 3/15/2022 5.05 AKANDA CORP. COMMON SHARES Medicinal Chemicals and Botanical Products Health Care
329    AKBA 3/20/2014 38 AKEBIA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
330    AKO.A 1/2/1998 2.56 EMBOTELLADORA ANDINA S.A.
331    AKO.B 1/2/1998 7.46 EMBOTELLADORA ANDINA S.A.
332    AKR 8/13/1998 73 ACADIA REALTY TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
333    AKRO 6/20/2019 15 AKERO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
334    AKTX 1/6/2014 6.75 AKARI THERAPEUTICS PLC ADS Biotechnology: Pharmaceutical Preparations Health Care
335    AKYA 4/16/2021 5.38 AKOYA BIOSCIENCES INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
336    AL 4/19/2011 55 AIR LEASE CORPORATION CLASS A COMMON STOCK Diversified Commercial Services Consumer Discretionary
337    ALAB 3/20/2024 5.05 ASTERA LABS INC. COMMON STOCK Semiconductors Technology
338    ALAI 4/8/2024 0.12 THE ALGER ETF TRUST ALGER AI ENABLERS & ADOPTERS ETF Exchange Traded Fund Financial
339    ALAR 9/11/2018 9.55 ALARUM TECHNOLOGIES LTD. AMERICAN DEPOSITARY SHARE Computer Software: Prepackaged Software Technology
340    ALB 1/2/1998 101 ALBEMARLE CORPORATION COMMON STOCK Major Chemicals Industrials
341    ALB.A 3/13/2024 0.55 ALBEMARLE CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/20TH OF 7.25% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK
342    ALBT 3/27/2018 6.99 AVALON GLOBOCARE CORP. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
343    ALC 4/9/2019 24 ALCON INC. ORDINARY SHARES Ophthalmic Goods Health Care
344    ALCE 4/20/2022 1.63
345    ALCO 1/2/1998 11 ALICO INC. COMMON STOCK
346    ALCY 6/26/2023 0.08 ALCHEMY INVESTMENTS ACQUISITION CORP 1 CLASS A ORDINARY SHARES Blank Checks Finance
347    ALCYU 5/5/2023 0.04
348    ALCYW 6/26/2023 0.03 ALCHEMY INVESTMENTS ACQUISITION CORP 1 WARRANTS Blank Checks Finance
349    ALDF 12/13/2024 0.01 ALDEL FINANCIAL II INC. CLASS A ORDINARY SHARES
350    ALDFU 10/22/2024 0.04 ALDEL FINANCIAL II INC. UNITS Blank Checks Finance
351    ALDFW 12/13/2024 0.01 ALDEL FINANCIAL II INC. WARRANTS
352    ALDX 5/2/2014 21 ALDEYRA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
353    ALE 9/1/2000 69 ALLETE INC. Power Generation Utilities
354    ALEC 2/7/2019 18 ALECTOR INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
355    ALEX 6/14/2012 35 ALEXANDER & BALDWIN INC. COMMON STOCK REIT HOLDING COMPANY Real Estate Investment Trusts Real Estate
356    ALF 5/16/2007 4.19 CENTURION ACQUISITION CORP. CLASS A ORDINARY SHARES
357    ALFUU 6/11/2024 0.04
358    ALFUW 8/1/2024 0.02 CENTURION ACQUISITION CORP. WARRANT Blank Checks Finance
359    ALG 1/2/1998 20 ALAMO GROUP INC. COMMON STOCK Industrial Machinery/Components Industrials
360    ALGM 10/29/2020 17 ALLEGRO MICROSYSTEMS INC. COMMON STOCK Semiconductors Technology
361    ALGN 1/30/2001 87 ALIGN TECHNOLOGY INC. COMMON STOCK Industrial Specialties Health Care
362    ALGS 10/16/2020 6.31 ALIGOS THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
363    ALGT 12/8/2006 44 ALLEGIANT TRAVEL COMPANY COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
364    ALHC 3/26/2021 13 ALIGNMENT HEALTHCARE INC. COMMON STOCK Medical Specialities Health Care
365    ALIT 7/17/2020 20 ALIGHT INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
366    ALK 1/2/1998 105 ALASKA AIR GROUP INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
367    ALKS 1/2/1998 99 ALKERMES PLC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
368    ALKT 4/14/2021 10 ALKAMI TECHNOLOGY INC. COMMON STOCK Computer Software: Prepackaged Software Technology
369    ALL 1/2/1998 129 ALLSTATE CORPORATION (THE) COMMON STOCK Property-Casualty Insurers Finance
370    ALL.B 1/15/2013 7.17 ALLSTATE CORPORATION (THE) 5.100% FIXED-TO-FLOATING RATE SUBORDINATED DEBENTURES DUE 2053
371    ALL.H 8/9/2019 7.53 ALLSTATE CORPORATION (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK SERIES H
372    ALL.I 11/13/2019 2.76 ALLSTATE CORPORATION (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK SERIES I
373    ALL.J 5/30/2023 1.53 ALLSTATE CORPORATION (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK SERIES J
374    ALLE 11/18/2013 46 ALLEGION PLC ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
375    ALLK 7/19/2018 19 ALLAKOS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
376    ALLO 10/11/2018 24 ALLOGENE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
377    ALLR 12/21/2021 8.39 ALLARITY THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
378    ALLT 11/16/2006 27 ALLOT LTD. ORDINARY SHARES Computer Communications Equipment Telecommunications
379    ALLY 4/10/2014 54 ALLY FINANCIAL INC. COMMON STOCK Major Banks Finance
380    ALMS 6/28/2024 0.97 ALUMIS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
381    ALNT 5/16/2007 12 ALLIENT INC. COMMON STOCK Electrical Products Industrials
382    ALNY 6/1/2004 69 ALNYLAM PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
383    ALOT 2/5/2002 4.36 ASTRONOVA INC. COMMON STOCK Computer peripheral equipment Technology
384    ALPP 1/13/2017 9.69
385    ALRM 6/26/2015 26 ALARM.COM HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
386    ALRS 10/10/2008 3.23 ALERUS FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
387    ALSN 3/15/2012 54 ALLISON TRANSMISSION HOLDINGS INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
388    ALT 11/16/2009 33 ALTIMMUNE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
389    ALTG 4/25/2019 8.76 ALTA EQUIPMENT GROUP INC. CLASS A COMMON STOCK Industrial Machinery/Components Industrials
390    ALTG.A 1/5/2021 0.3 ALTA EQUIPMENT GROUP INC. DEPOSITARY SHARES (EACH REPRESENTING 1/1000TH IN A SHARE OF 10% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK)
391    ALTI 5/23/2000 24 ALTI GLOBAL INC. CLASS A COMMON STOCK Investment Managers Finance
392    ALTL 6/25/2020 4.44 PACER LUNT LARGE CAP ALTERNATOR ETF Exchange Traded Fund Financial
393    ALTM 11/13/2018 11
394    ALTO 4/25/2007 56 ALTO INGREDIENTS INC. COMMON STOCK Major Chemicals Industrials
395    ALTR 11/1/2017 18 ALTAIR ENGINEERING INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
396    ALTS 10/9/2014 3.11 ALT5 SIGMA CORPORATION COMMON STOCK Home Furnishings Consumer Discretionary
397    ALTY 7/14/2015 1.68 GLOBAL X ALTERNATIVE INCOME ETF Exchange Traded Fund Financial
398    ALUR 8/2/2023 2.03 ALLURION TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
399    ALV 1/2/1998 93 AUTOLIV INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
400    ALVO 6/16/2022 2.32 ALVOTECH ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
401    ALVOW 6/16/2022 0.2 ALVOTECH WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
402    ALVR 7/30/2020 11 ALLOVIR INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
403    ALX 1/2/1998 6.68 ALEXANDER'S INC. COMMON STOCK Real Estate Investment Trusts Real Estate
404    ALXO 7/17/2020 11 ALX ONCOLOGY HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
405    ALZN 6/15/2021 6.74 ALZAMEND NEURO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
406    AM 5/4/2017 36 ANTERO MIDSTREAM CORPORATION COMMON STOCK Natural Gas Distribution Utilities
407    AMAL 8/9/2018 8.85 AMALGAMATED FINANCIAL CORP. COMMON STOCK (DE) Major Banks Finance
408    AMAT 1/2/1998 152 APPLIED MATERIALS INC. COMMON STOCK Semiconductors Technology
409    AMAX 11/15/2021 0.42 ADAPTIVE HEDGED MULTI-ASSET INCOME ETF Exchange Traded Fund Financial
410    AMBA 10/10/2012 47 AMBARELLA INC. ORDINARY SHARES Semiconductors Technology
411    AMBC 5/1/2013 32 AMBAC FINANCIAL GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
412    AMBI 5/16/2013 1.99 AMBIPAR EMERGENCY RESPONSE CLASS A ORDINARY SHARES Environmental Services Industrials
413    AMBO 6/8/2018 3.74 AMBOW EDUCATION HOLDING LTD. AMERICAN DEPOSITORY SHARES (EACH REPRESENTING TWENTY (20) CLASS A ORDINARY SHARES) Other Consumer Services Real Estate
414    AMBP 8/5/2021 15 ARDAGH METAL PACKAGING S.A. ORDINARY SHARES Containers/Packaging Industrials
415    AMC 12/18/2013 61 AMC ENTERTAINMENT HOLDINGS INC. CLASS A COMMON STOCK Movies/Entertainment Consumer Discretionary
416    AMCR 5/15/2012 57 AMCOR PLC ORDINARY SHARES Miscellaneous manufacturing industries Consumer Discretionary
417    AMCX 6/16/2011 48 AMC NETWORKS INC. CLASS A COMMON STOCK Cable & Other Pay Television Services Telecommunications
418    AMD 1/2/1998 159 ADVANCED MICRO DEVICES INC. COMMON STOCK Semiconductors Technology
419    AMDL 3/18/2024 5.6 GRANITESHARES 2X LONG AMD DAILY ETF Exchange Traded Fund Financial
420    AMDS 8/22/2023 0.66 GRANITESHARES 1X SHORT AMD DAILY ETF Exchange Traded Fund Financial
421    AMDY 9/19/2023 3.76 TIDAL TRUST II YIELDMAX AMD OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
422    AME 1/2/1998 100 AMETEK INC. Industrial Machinery/Components Industrials
423    AMED 5/10/2002 66 AMEDISYS INC COMMON STOCK Medical/Nursing Services Health Care
424    AMG 1/2/1998 88 AFFILIATED MANAGERS GROUP INC. COMMON STOCK Investment Managers Finance
425    AMGN 1/2/1998 139 AMGEN INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
426    AMH 8/1/2013 53 AMERICAN HOMES 4 RENT COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
427    AMH.G 7/19/2017 1.25 AMERICAN HOMES 4 RENT SERIES G CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES OF BENEFICIAL INTEREST
428    AMH.H 9/24/2018 1.3 AMERICAN HOMES 4 RENT SERIES H CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES OF BENEFICIAL INTEREST
429    AMID 7/27/2011 10 ARGENT MID CAP ETF Exchange Traded Fund Financial
430    AMIX 1/29/2024 1.46 AUTONOMIX MEDICAL INC. COMMON STOCK Medical/Dental Instruments Health Care
431    AMJB 2/5/2024 0.57 JPMORGAN CHASE & CO. ALERIAN MLP INDEX ETNS DUE JANUARY 28 20 Exchange Traded Fund Financial
432    AMKR 5/1/1998 113 AMKOR TECHNOLOGY INC. COMMON STOCK Semiconductors Technology
433    AMLP 8/25/2010 67 ALERIAN MLP ETF Exchange Traded Fund Financial
434    AMLX 6/1/2017 12 AMYLYX PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
435    AMN 11/13/2001 57 AMN HEALTHCARE SERVICES INC Professional Services Consumer Discretionary
436    AMOD 10/26/2021 0.53 ALPHA MODUS HOLDINGS INC. CLASS A COMMON STOCK Multi-Sector Companies Miscellaneous
437    AMODW 1/11/2023 0.18 ALPHA MODUS HOLDINGS INC. WARRANT Multi-Sector Companies Miscellaneous
438    AMOM 5/21/2019 0.75 QRAFT AI-ENHANCED U.S. LARGE CAP MOMENTUM ETF Exchange Traded Fund Financial
439    AMP 10/3/2005 86 AMERIPRISE FINANCIAL INC. COMMON STOCK Investment Managers Finance
440    AMPD 5/19/2023 0.03
441    AMPE 3/31/2010 32
442    AMPG 2/17/2021 4.31 AMPLITECH GROUP INC. COMMON STOCK Telecommunications Equipment Telecommunications
443    AMPGW 2/17/2021 0.23 AMPLITECH GROUP INC. WARRANTS Telecommunications Equipment Telecommunications
444    AMPH 6/25/2014 26 AMPHASTAR PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
445    AMPL 5/1/2000 15 AMPLITUDE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
446    AMPS 2/22/2012 12 ALTUS POWER INC. CLASS A COMMON STOCK Electric Utilities: Central Utilities
447    AMPX 9/15/2022 6.66 AMPRIUS TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
448    AMPY 5/19/2017 16 AMPLIFY ENERGY CORP. COMMON STOCK Oil & Gas Production Energy
449    AMR 2/8/2021 10 ALPHA METALLURGICAL RESOURCES INC. COMMON STOCK Coal Mining Energy
450    AMRC 7/22/2010 29 AMERESCO INC. CLASS A COMMON STOCK Engineering & Construction Consumer Discretionary
451    AMRK 3/17/2014 11 A-MARK PRECIOUS METALS INC. COMMON STOCK Other Specialty Stores Industrials
452    AMRN 1/12/2000 65 AMARIN CORPORATION PLC Biotechnology: Pharmaceutical Preparations Health Care
453    AMRX 5/7/2018 24 AMNEAL PHARMACEUTICALS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
454    AMS 1/2/1998 4.6 AMERICAN SHARED HOSPITAL SERVICES COMMON STOCK Medical Specialities Health Care
455    AMSC 1/2/1998 65 AMERICAN SUPERCONDUCTOR CORPORATION COMMON STOCK Metal Fabrications Consumer Discretionary
456    AMSF 11/18/2005 31 AMERISAFE INC. COMMON STOCK Property-Casualty Insurers Finance
457    AMST 9/25/2020 3.86 AMESITE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
458    AMT 6/5/1998 116 AMERICAN TOWER CORPORATION (REIT) COMMON STOCK Real Estate Investment Trusts Real Estate
459    AMTB 10/18/2018 6.62 AMERANT BANCORP INC. CLASS A COMMON STOCK Major Banks Finance
460    AMTD 8/5/2019 9.73 AMTD IDEA GROUP AMERICAN DEPOSITARY SHARES EACH REPRESENTING SIX (6) CLASS A ORDINARY SHARES Finance: Consumer Services Finance
461    AMTM 9/30/2024 1.97 AMENTUM HOLDINGS INC. COMMON STOCK
462    AMTX 5/15/2014 19 AEMETIS INC. (DE) COMMON STOCK Major Chemicals Industrials
463    AMUB 11/27/2018 0.58 NO NAME Exchange Traded Fund Financial
464    AMWD 1/2/1998 38 AMERICAN WOODMARK CORPORATION COMMON STOCK Forest Products Basic Materials
465    AMWL 9/17/2020 16 AMERICAN WELL CORPORATION CLASS A COMMON STOCK Business Services Consumer Discretionary
466    AMX 2/12/2001 112 AMERICA MOVIL S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THE RIGHT TO RECEIVE TWENTY (20) SERIES B SHARES Telecommunications Equipment Telecommunications
467    AMZA 10/2/2014 17 INFRACAP MLP ETF Exchange Traded Fund Financial
468    AMZD 9/8/2022 1.99 DIREXION DAILY AMZN BEAR 1X SHARES Exchange Traded Fund Financial
469    AMZN 1/2/1998 153 AMAZON.COM INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
470    AMZP 10/31/2023 0.16 KURV YIELD PREMIUM STRATEGY AMAZON (AMZN) ETF Exchange Traded Fund Financial
471    AMZU 9/7/2022 7.05 DIREXION DAILY AMZN BULL 2X SHARES Exchange Traded Fund Financial
472    AMZY 7/25/2023 3.38 TIDAL ETF TRUST II YIELDMAX AMZN OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
473    AMZZ 3/18/2024 1.54 GRANITESHARES 2X LONG AMZN DAILY ETF Exchange Traded Fund Financial
474    AN 4/6/1999 97 AUTONATION INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
475    ANAB 1/26/2017 18 ANAPTYSBIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
476    ANDE 1/2/1998 52 ANDERSONS INC. (THE) COMMON STOCK Farming/Seeds/Milling Industrials
477    ANEB 5/7/2021 0.46 ANEBULO PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
478    ANET 6/6/2014 48 ARISTA NETWORKS INC. COMMON STOCK Computer Communications Equipment Telecommunications
479    ANEW 10/16/2020 0.33 PROSHARES MSCI TRANSFORMATIONAL CHANGES ETF Exchange Traded Fund Financial
480    ANF 1/2/1998 115 ABERCROMBIE & FITCH COMPANY COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
481    ANG.A 11/25/2019 2.81
482    ANG.B 6/22/2020 2.04 AMERICAN NATIONAL GROUP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.625% FIXED-RATE RESET NON-CUMULATIVE PREFERRED STOCK SERIES B
483    ANG.D 1/15/2025 0.12 AMERICAN NATIONAL GROUP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 7.375% FIXED-RATE NON-CUMULATIVE PREFERRED STOCK SERIES D
484    ANGH 2/4/2022 1.72 ANGHAMI INC. ORDINARY SHARES Telecommunications Equipment Consumer Discretionary
485    ANGHW 2/4/2022 0.4
486    ANGI 11/17/2011 45 ANGI INC. CLASS A COMMON STOCK Advertising Consumer Discretionary
487    ANGL 4/11/2012 28 VANECK FALLEN ANGEL HIGH YIELD BOND ETF Exchange Traded Fund Financial
488    ANGO 6/1/2004 46 ANGIODYNAMICS INC. COMMON STOCK Medical/Dental Instruments Health Care
489    ANIK 1/2/1998 32 ANIKA THERAPEUTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
490    ANIP 11/5/2007 32 ANI PHARMACEUTICALS INC. Biotechnology: Pharmaceutical Preparations Health Care
491    ANIX 5/16/2007 11 ANIXA BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
492    ANL 9/29/2023 0.21 ADLAI NORTYE LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
493    ANNA 12/16/2024 0.06 ALEANNA INC. CLASS A COMMON STOCK Oil & Gas Production Energy
494    ANNAW 12/16/2024 0.06 ALEANNA INC. WARRANT Oil & Gas Production Energy
495    ANNX 7/24/2020 11 ANNEXON INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
496    ANRO 2/2/2024 2.14 ALTO NEUROSCIENCE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
497    ANSC 1/3/2024 0.12 AGRICULTURE & NATURAL SOLUTIONS ACQUISITION CORPORATION CLASS A ORDINARY SHARES
498    ANSCW 1/3/2024 0.05 AGRICULTURE & NATURAL SOLUTIONS ACQUISITION CORPORATION WARRANT
499    ANSS 1/2/1998 77 ANSYS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
500    ANTE 11/7/2007 21 AIRNET TECHNOLOGY INC. AMERICAN DEPOSITARY SHARES Advertising Consumer Discretionary
501    ANTX 7/8/2015 3.66 AN2 THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
502    ANVS 1/29/2020 7.95 ANNOVIS BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
503    ANY 8/12/2013 25 SPHERE 3D CORP. COMMON SHARES Finance: Consumer Services Finance
504    AOA 11/11/2008 13 ISHARES CORE 80/20 AGGRESSIVE ALLOCATION ETF Exchange Traded Fund Financial
505    AOCT 10/1/2024 0.18 INNOVATOR EQUITY DEFINED PROTECTION ETF - 2 YR TO OCTOBER 2026 Exchange Traded Fund Financial
506    AOD 4/23/2007 50 ABRDN TOTAL DYNAMIC DIVIDEND FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
507    AOGO 2/11/2022 0.09
508    AOGOW 2/11/2022 0.06
509    AOHY 2/20/2024 0.36 ANGEL OAK HIGH YIELD OPPORTUNITIES ETF Exchange Traded Fund Financial
510    AOK 11/19/2008 12 ISHARES CORE 30/70 CONSERVATIVE ALLOCATION ETF Exchange Traded Fund Financial
511    AOM 11/11/2008 17 ISHARES CORE 40/60 MODERATE ALLOCATION ETF Exchange Traded Fund Financial
512    AOMN 8/1/2024 0.13 ANGEL OAK MORTGAGE REIT INC. 9.500% SENIOR NOTES DUE 2029 Real Estate Finance
513    AOMR 6/17/2021 3.81 ANGEL OAK MORTGAGE REIT INC. COMMON STOCK Real Estate Finance
514    AON 1/2/1998 115 AON PLC CLASS A ORDINARY SHARES (IRELAND) Specialty Insurers Finance
515    AONC 5/5/2021 0.6
516    AONCW 5/13/2021 0.25
517    AOR 11/19/2008 17 ISHARES CORE 60/40 BALANCED ALLOCATION ETF Exchange Traded Fund Financial
518    AORT 5/10/2007 34 ARTIVION INC. COMMON STOCK Medical/Dental Instruments Health Care
519    AOS 1/2/1998 89 A.O. SMITH CORPORATION COMMON STOCK Consumer Electronics/Appliances Consumer Discretionary
520    AOSL 4/29/2010 25 ALPHA AND OMEGA SEMICONDUCTOR LIMITED COMMON SHARES Semiconductors Technology
521    AOTG 6/29/2022 0.08 AOT GROWTH AND INNOVATION ETF Exchange Traded Fund Financial
522    AOUT 8/21/2020 5.61 AMERICAN OUTDOOR BRANDS INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
523    AP 1/2/1998 20 AMPCO-PITTSBURGH CORPORATION COMMON STOCK Fluid Controls Industrials
524    APA 1/2/1998 129 APA CORPORATION COMMON STOCK Oil & Gas Production Energy
525    APAM 3/7/2013 41 ARTISAN PARTNERS ASSET MANAGEMENT INC. CLASS A COMMON STOCK Investment Managers Finance
526    APCB 5/4/2023 0.62 TRUST FOR PROFESSIONAL MANAGERS ACTIVEPASSIVE CORE BOND ETF Exchange Traded Fund Financial
527    APCX 11/16/2009 3.76 APPTECH PAYMENTS CORP. COMMON STOCK Computer Software: Prepackaged Software Technology
528    APCXW 1/5/2022 0.22 APPTECH PAYMENTS CORP. WARRANT Computer Software: Prepackaged Software Technology
529    APD 1/2/1998 117 AIR PRODUCTS AND CHEMICALS INC. COMMON STOCK Major Chemicals Industrials
530    APDN 5/16/2007 19 APPLIED DNA SCIENCES INC. COMMON STOCK Other Consumer Services Consumer Discretionary
531    APEI 11/9/2007 32 AMERICAN PUBLIC EDUCATION INC. COMMON STOCK Other Consumer Services Real Estate
532    APG 10/5/2017 19 API GROUP CORPORATION COMMON STOCK Engineering & Construction Consumer Discretionary
533    APGE 7/14/2023 4.22 APOGEE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
534    APH 1/2/1998 108 AMPHENOL CORPORATION COMMON STOCK Electrical Products Technology
535    API 1/2/1998 21 AGORA INC. AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
536    APIE 5/3/2023 0.65 TRUST FOR PROFESSIONAL MANAGERS ACTIVEPASSIVE INTERNATIONAL EQ Exchange Traded Fund Financial
537    APLD 12/10/2009 14 APPLIED DIGITAL CORPORATION COMMON STOCK Finance: Consumer Services Finance
538    APLE 5/18/2015 46 APPLE HOSPITALITY REIT INC. COMMON SHARES Real Estate Investment Trusts Real Estate
539    APLM 3/30/2023 2.64 APOLLOMICS INC. CLASS A ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
540    APLMW 3/30/2023 0.15 APOLLOMICS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
541    APLS 8/5/2009 26 APELLIS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
542    APLT 5/14/2019 12 APPLIED THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
543    APLY 4/18/2023 2.24 TIDAL ETF TRUST II YIELDMAX AAPL OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
544    APM 12/18/2018 3.82 APTORUM GROUP LIMITED CLASS A ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
545    APMU 5/4/2023 0.21 TRUST FOR PROFESSIONAL MANAGERS ACTIVEPASSIVE INTERMEDIATE MUN Exchange Traded Fund Financial
546    APO 3/30/2011 59 APOLLO GLOBAL MANAGEMENT INC. (NEW) COMMON STOCK Investment Managers Finance
547    APO.A 3/9/2017 2.68 APOLLO GLOBAL MANAGEMENT INC. 6.75% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK
548    APOC 10/1/2024 0.09 INNOVATOR EQUITY DEFINED PROTECTION ETF - 6MO APR/OCT Exchange Traded Fund Financial
549    APOG 1/2/1998 62 APOGEE ENTERPRISES INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
550    APOS 8/29/2023 1.09 APOLLO GLOBAL MANAGEMENT INC. 7.625% FIXED-RATE RESETTABLE JUNIOR SUBORDINATED NOTES DUE 2053 Investment Managers Finance
551    APP 12/13/2007 36 APPLOVIN CORPORATION CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
552    APPF 6/26/2015 16 APPFOLIO INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
553    APPN 5/25/2017 27 APPIAN CORPORATION CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
554    APPS 5/16/2007 39 DIGITAL TURBINE INC. COMMON STOCK Multi-Sector Companies Miscellaneous
555    APRD 4/3/2023 0.06 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 10 BARRIER ETF - Exchange Traded Fund Financial
556    APRE 10/3/2019 7.58 APREA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
557    APRH 4/3/2023 0.15 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 20 BARRIER ETF - Exchange Traded Fund Financial
558    APRJ 4/3/2023 0.22 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 30 BARRIER ETF - Exchange Traded Fund Financial
559    APRP 4/1/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - APRIL Exchange Traded Fund Financial
560    APRQ 4/3/2023 0.14 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 40 BARRIER ETF - Exchange Traded Fund Financial
561    APRT 6/1/2020 0.36 ALLIANZIM U.S. LARGE CAP BUFFER10 APR ETF Exchange Traded Fund Financial
562    APRW 6/1/2020 0.79 ALLIANZIM U.S. LARGE CAP BUFFER20 APR ETF Exchange Traded Fund Financial
563    APRZ 4/1/2021 0.09 TRUST TRUESHARES STRUCTURED OUTCOME (APRIL) ETF Exchange Traded Fund Financial
564    APT 9/21/2000 20 ALPHA PRO TECH LTD. COMMON STOCK Industrial Specialties Health Care
565    APTO 10/31/2008 17 APTOSE BIOSCIENCES INC. COMMON SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
566    APTV 11/17/2011 58 APTIV PLC ORDINARY SHARES Auto Parts:O.E.M. Consumer Discretionary
567    APUE 5/3/2023 0.85 TRUST FOR PROFESSIONAL MANAGERS ACTIVEPASSIVE U.S. EQUITY ETF Exchange Traded Fund Financial
568    APVO 7/20/2016 15 APTEVO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
569    APWC 4/29/2011 2.36 ASIA PACIFIC WIRE & CABLE CORPORATION LTD. ORDINARY SHARES (BERMUDA) Telecommunications Equipment Industrials
570    APYX 5/16/2007 13 APYX MEDICAL CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
571    AQB 1/11/2017 13 AQUABOUNTY TECHNOLOGIES INC. COMMON STOCK Meat/Poultry/Fish Consumer Staples
572    AQMS 7/31/2015 20 AQUA METALS INC. COMMON STOCK Metal Fabrications Industrials
573    AQN 11/29/2016 32 ALGONQUIN POWER & UTILITIES CORP. COMMON SHARES Electric Utilities: Central Utilities
574    AQNB 5/28/2019 2.36 ALGONQUIN POWER & UTILITIES CORP. 6.20% FIXED-TO-FLOATING SUBORDINATED NOTES SERIES 2019-A DUE JULY 1 2079 Electric Utilities: Central Utilities
575    AQST 7/25/2018 17 AQUESTIVE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
576    AQU 10/21/2014 0.06
577    AQUNR 10/19/2022 0.04
578    AQUNU 10/4/2022 0.03
579    AQWA 4/12/2021 0.35 GLOBAL X CLEAN WATER ETF Exchange Traded Fund Financial
580    AR 10/10/2013 51 ANTERO RESOURCES CORPORATION COMMON STOCK Oil & Gas Production Energy
581    ARAY 2/8/2007 54 ACCURAY INCORPORATED COMMON STOCK Medical/Dental Instruments Health Care
582    ARB 5/11/2020 0.54 ALTSHARES MERGER ARBITRAGE ETF Exchange Traded Fund Financial
583    ARBB 4/5/2023 1.78 ARB IOT GROUP LIMITED ORDINARY SHARES EDP Services Technology
584    ARBE 10/8/2021 3.92 ARBE ROBOTICS LTD. ORDINARY SHARES EDP Services Technology
585    ARBEW 10/8/2021 0.53 ARBE ROBOTICS LTD. WARRANT EDP Services Technology
586    ARBK 9/23/2021 7.4 ARGO BLOCKCHAIN PLC AMERICAN DEPOSITARY SHARES Finance: Consumer Services Finance
587    ARBKL 11/18/2021 0.6 ARGO BLOCKCHAIN PLC 8.75% SENIOR NOTES DUE 2026 Finance: Consumer Services Finance
588    ARCB 4/27/2007 58 ARCBEST CORPORATION COMMON STOCK Trucking Freight/Courier Services Industrials
589    ARCC 10/5/2004 91 ARES CAPITAL CORPORATION COMMON STOCK Finance: Consumer Services Finance
590    ARCM 3/31/2017 0.14 ARROW RESERVE CAPITAL MANAGEMENT ETF Exchange Traded Fund Financial
591    ARCO 4/14/2011 51 ARCOS DORADOS HOLDINGS INC. CLASS A SHARES Restaurants Consumer Discretionary
592    ARCT 5/22/2013 25 ARCTURUS THERAPEUTICS HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
593    ARDC 11/28/2012 16 ARES DYNAMIC CREDIT ALLOCATION FUND INC. COMMON SHARES Investment Managers Finance
594    ARDS 8/14/2018 3.58
595    ARDT 7/18/2024 1.53 ARDENT HEALTH PARTNERS INC. COMMON STOCK Hospital/Nursing Management Health Care
596    ARDX 6/19/2014 33 ARDELYX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
597    ARE 1/2/1998 87 ALEXANDRIA REAL ESTATE EQUITIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
598    AREA 9/5/2024 0.01 HARBOR ETF TRUST HARBOR ALPHAEDGE NEXT GENERATION REITS ETF Exchange Traded Fund Financial
599    AREB 2/7/2022 6 AMERICAN REBEL HOLDINGS INC. COMMON STOCK Plastic Products Industrials
600    AREBW 2/7/2022 0.18 AMERICAN REBEL HOLDINGS INC. WARRANTS Plastic Products Industrials
601    AREC 11/25/2015 12 AMERICAN RESOURCES CORPORATION CLASS A COMMON STOCK Coal Mining Energy
602    AREN 2/9/2022 1.9 THE ARENA GROUP HOLDINGS INC. COMMON STOCK EDP Services Technology
603    ARES 5/2/2014 32 ARES MANAGEMENT CORPORATION CLASS A COMMON STOCK Investment Managers Finance
604    ARES.B 10/16/2024 0.15 ARES MANAGEMENT CORPORATION 6.75% SERIES B MANDATORY CONVERTIBLE PREFERRED STOCK
605    ARGD 5/7/2018 1.15 ARGO GROUP INTERNATIONAL HOLDINGS LTD. 6.5% SENIOR NOTES DUE 2042 Specialty Insurers Finance
606    ARGO.A 7/21/2020 1.6 ARGO GROUP INTERNATIONAL HOLDINGS INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 7.00% RESETTABLE FIXED RATE PREFERENCE SHARE SERIES A
607    ARGT 3/3/2011 8.16 GLOBAL X MSCI ARGENTINA ETF Exchange Traded Fund Financial
608    ARGX 5/18/2017 17 ARGENX SE AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
609    ARHS 11/4/2021 12 ARHAUS INC. CLASS A COMMON STOCK Other Specialty Stores Consumer Discretionary
610    ARI 9/24/2009 54 APOLLO COMMERCIAL REAL ESTATE FINANCE INC Real Estate Investment Trusts Real Estate
611    ARIS 10/22/2021 9.38 ARIS WATER SOLUTIONS INC. CLASS A COMMON STOCK Oilfield Services/Equipment Energy
612    ARKA 11/14/2023 0.14 EA SERIES TRUST ARK 21SHARES ACTIVE BITCOIN FUTURES STRATEGY E Exchange Traded Fund Financial
613    ARKB 1/11/2024 5.92 ARK 21SHARES BITCOIN ETF COMMON SHARES OF BENEFICIAL INTERESTS Exchange Traded Fund Financial
614    ARKC 11/15/2023 0.05 EA SERIES TRUST ARK 21SHARES ACTIVE ON-CHAIN BITCOIN STRATEGY Exchange Traded Fund Financial
615    ARKD 11/15/2023 0.09 EA SERIES TRUST ARK 21SHARES BLOCKCHAIN AND DIGITAL ECONOMY IN Exchange Traded Fund Financial
616    ARKF 2/4/2019 20 ARK FINTECH INNOVATION ETF Exchange Traded Fund Financial
617    ARKG 10/31/2014 27 ARK GENOMIC REVOLUTION ETF Exchange Traded Fund Financial
618    ARKK 10/31/2014 37 ARK INNOVATION ETF Exchange Traded Fund Financial
619    ARKO 12/23/2020 11 ARKO CORP. COMMON STOCK Food Chains Consumer Staples
620    ARKOW 12/23/2020 0.66 ARKO CORP. WARRANT Food Chains Consumer Staples
621    ARKQ 9/30/2014 14 ARK AUTONOMOUS TECHNOLOGY & ROBOTICS ETF Exchange Traded Fund Financial
622    ARKR 3/15/2004 3.05 ARK RESTAURANTS CORP. COMMON STOCK Restaurants Consumer Discretionary
623    ARKW 9/30/2014 23 ARK NEXT GENERATION INTERNET ETF Exchange Traded Fund Financial
624    ARKX 3/30/2021 7 ARK SPACE EXPLORATION & INNOVATION ETF Exchange Traded Fund Financial
625    ARKY 11/15/2023 0.11 EA SERIES TRUST ARK 21SHARES ACTIVE BITCOIN ETHEREUM STRATEGY Exchange Traded Fund Financial
626    ARKZ 11/14/2023 0.15 EA SERIES TRUST ARK 21SHARES ACTIVE ETHEREUM FUTURES STRATEGY Exchange Traded Fund Financial
627    ARL 8/3/2000 2.66 AMERICAN REALTY INVESTORS INC. COMMON STOCK Other Consumer Services Real Estate
628    ARLO 8/3/2018 23 ARLO TECHNOLOGIES INC. COMMON STOCK Consumer Electronics/Appliances Consumer Staples
629    ARLP 8/17/1999 58 ALLIANCE RESOURCE PARTNERS L.P. COMMON UNITS REPRESENTING LIMITED PARTNERS INTERESTS Coal Mining Energy
630    ARLU 4/1/2024 0.05 SHL TELEMEDICINE LTD ALLIANZIM U.S. EQUITY BUFFER15 UNCAPPED A Exchange Traded Fund Financial
631    ARM 7/10/2000 49 ARM HOLDINGS PLC AMERICAN DEPOSITARY SHARES Semiconductors Technology
632    ARMK 12/12/2013 50 ARAMARK COMMON STOCK Restaurants Consumer Discretionary
633    ARMN 9/14/2023 2.51 ARIS MINING CORPORATION COMMON SHARES
634    ARMP 8/21/2015 5.83 ARMATA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
635    AROC 8/21/2007 75 ARCHROCK INC. COMMON STOCK Natural Gas Distribution Utilities
636    AROW 1/2/1998 13 ARROW FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
637    ARP 12/22/2022 0.06 THE ADVISORS INNER CIRCLE FUND II PMV ADAPTIVE RISK PARITY ETF Exchange Traded Fund Financial
638    ARQ 5/16/2007 20 ARQ INC. COMMON STOCK Major Chemicals Industrials
639    ARQQ 9/7/2021 10 ARQIT QUANTUM INC. ORDINARY SHARES Computer Software: Prepackaged Software Technology
640    ARQQW 9/7/2021 1.16 ARQIT QUANTUM INC. WARRANTS Computer Software: Prepackaged Software Technology
641    ARQT 1/31/2020 15 ARCUTIS BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
642    ARR 11/10/2009 63 ARMOUR RESIDENTIAL REIT INC. Real Estate Investment Trusts Real Estate
643    ARR.C 1/29/2020 2.04 ARMOUR RESIDENTIAL REIT INC. 7% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK (LIQUIDATION PREFERENCE $25.00 PER SHARE)
644    ARRY 11/30/2000 71 ARRAY TECHNOLOGIES INC. COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
645    ARTL 6/21/2019 7.15 ARTELO BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
646    ARTNA 1/2/1998 9.74 ARTESIAN RESOURCES CORPORATION CLASS A COMMON STOCK Water Supply Utilities
647    ARTV 7/19/2024 0.6 ARTIVA BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
648    ARTW 2/6/2003 4.42 ART'S-WAY MANUFACTURING CO. INC. COMMON STOCK Industrial Machinery/Components Industrials
649    ARTY 8/12/2024 1.13 ISHARES FUTURE AI & TECH ETF Exchange Traded Fund Financial
650    ARVN 9/27/2018 18 ARVINAS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
651    ARVR 4/20/2022 0.05 FIRST TRUST INDXX METAVERSE ETF Exchange Traded Fund Financial
652    ARW 1/2/1998 94 ARROW ELECTRONICS INC. COMMON STOCK Electronic Components Technology
653    ARWR 9/3/2004 52 ARROWHEAD PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
654    AS 2/1/2024 4.68 AMER SPORTS INC. ORDINARY SHARES Apparel Consumer Discretionary
655    ASA 1/2/1998 33 ASA GOLD AND PRECIOUS METALS LIMITED Precious Metals Industrials
656    ASAN 9/30/2020 21 ASANA INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
657    ASB 1/2/1998 107 ASSOCIATED BANC-CORP COMMON STOCK Major Banks Finance
658    ASB.E 9/28/2018 0.9 ASSOCIATED BANC-CORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.875% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E
659    ASB.F 6/18/2020 1.04 ASSOCIATED BANC-CORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF ASSOCIATED BANC-CORP 5.625% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES F
660    ASBA 3/3/2023 1.15 ASSOCIATED BANC-CORP 6.625% FIXED-RATE RESET SUBORDINATED NOTES DUE 2033 Major Banks Finance
661    ASBP 4/11/2022 0.32 ASPIRE BIOPHARMA HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
662    ASBPW 4/11/2022 0.15 ASPIRE BIOPHARMA HOLDINGS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
663    ASC 8/1/2013 31 ARDMORE SHIPPING CORPORATION COMMON STOCK Marine Transportation Consumer Discretionary
664    ASEA 2/17/2011 3.52 GLOBAL X FTSE SOUTHEAST ASIA ETF Exchange Traded Fund Financial
665    ASET 12/8/2015 0.5 FLEXSHARES REAL ASSETS ALLOCATION INDEX FUND Exchange Traded Fund Financial
666    ASG 1/2/1998 26 LIBERTY ALL-STAR GROWTH FUND INC. Investment Managers Finance
667    ASGI 7/29/2020 4.21 ABRDN GLOBAL INFRASTRUCTURE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
668    ASGN 1/2/1998 59 ASGN INCORPORATED COMMON STOCK Professional Services Consumer Discretionary
669    ASH 1/2/1998 101 ASHLAND INC. COMMON STOCK Specialty Chemicals Consumer Discretionary
670    ASHR 11/6/2013 47 XTRACKERS HARVEST CSI 300 CHINA A-SHARES ETF Exchange Traded Fund Financial
671    ASHS 5/21/2014 4.17 XTRACKERS HARVEST CSI 500 CHINA A-SHARES SMALL CAP ETF Exchange Traded Fund Financial
672    ASIA 3/13/2024 0.08 MATTHEWS INTERNATIONAL FUNDS MATTHEWS PACIFIC TIGER ACTIVE ETF Exchange Traded Fund Financial
673    ASIX 9/15/2016 19 ADVANSIX INC. COMMON STOCK Major Chemicals Industrials
674    ASLE 2/7/2019 8.37 AERSALE CORPORATION COMMON STOCK Industrial Specialties Consumer Discretionary
675    ASM 5/16/2007 20 AVINO SILVER & GOLD MINES LTD. COMMON SHARES (CANADA) Metal Mining Basic Materials
676    ASMB 12/17/2010 22 ASSEMBLY BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
677    ASMF 5/16/2024 0.07 VIRTUS ETF TRUST II VIRTUS ALPHASIMPLEX MANAGED FUTURES ETF Exchange Traded Fund Financial
678    ASML 2/16/1999 116 ASML HOLDING N.V. NEW YORK REGISTRY SHARES Industrial Machinery/Components Technology
679    ASND 1/28/2015 20 ASCENDIS PHARMA A/S AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
680    ASNS 5/13/2022 2.97 ACTELIS NETWORKS INC. COMMON STOCK Telecommunications Equipment Telecommunications
681    ASO 10/2/2020 21 ACADEMY SPORTS AND OUTDOORS INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
682    ASPC 4/14/2021 0.14 A SPAC III ACQUISITION CORP. CLASS A ORDINARY SHARES
683    ASPCR 1/3/2025 0.01 A SPAC III ACQUISITION CORP. RIGHT
684    ASPCU 2/19/2021 0.18 A SPAC III ACQUISITION CORP. UNIT Blank Checks Finance
685    ASPI 11/10/2022 5.13 ASP ISOTOPES INC. COMMON STOCK Major Chemicals Industrials
686    ASPN 6/13/2014 19 ASPEN AEROGELS INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
687    ASPS 8/10/2009 29 ALTISOURCE PORTFOLIO SOLUTIONS S.A. COMMON STOCK Other Consumer Services Consumer Discretionary
688    ASPU 6/30/2011 6.16
689    ASR 9/28/2000 34 GRUPO AEROPORTUARIO DEL SURESTE S.A. DE C.V. COMMON STOCK Aerospace Consumer Discretionary
690    ASRT 4/26/2007 59 ASSERTIO HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
691    ASRV 5/7/2001 4.79 AMERISERV FINANCIAL INC. COMMON STOCK Major Banks Finance
692    ASST 2/3/2023 3.66 ASSET ENTITIES INC. CLASS B COMMON STOCK Computer Software: Prepackaged Software Technology
693    ASTC 5/4/2009 12 ASTROTECH CORPORATION (DE) COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
694    ASTE 1/2/1998 51 ASTEC INDUSTRIES INC. COMMON STOCK Construction/Ag Equipment/Trucks Industrials
695    ASTH 6/3/2015 12 ASTRANA HEALTH INC. COMMON STOCK Professional Services Consumer Discretionary
696    ASTI 8/24/2022 5.42 ASCENT SOLAR TECHNOLOGIES INC. COMMON STOCK Semiconductors Technology
697    ASTL 10/20/2021 12 ALGOMA STEEL GROUP INC. COMMON SHARES Steel/Iron Ore Industrials
698    ASTLW 10/20/2021 1.19 ALGOMA STEEL GROUP INC. WARRANT Steel/Iron Ore Industrials
699    ASTS 11/1/2019 21 AST SPACEMOBILE INC. CLASS A COMMON STOCK Telecommunications Equipment Consumer Discretionary
700    ASUR 9/13/2007 14 ASURE SOFTWARE INC COMMON STOCK EDP Services Technology
701    ASX 10/2/2000 77 ASE TECHNOLOGY HOLDING CO. LTD. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO COMMON SHARES) Semiconductors Technology
702    ASYS 1/2/1998 22 AMTECH SYSTEMS INC. COMMON STOCK Industrial Machinery/Components Technology
703    ATAI 1/29/2008 16 ATAI LIFE SCIENCES N.V. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
704    ATAT 11/11/2022 8.06 ATOUR LIFESTYLE HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Hotels/Resorts Consumer Discretionary
705    ATCH 2/12/2024 1.79 ATLASCLEAR HOLDINGS INC. COMMON STOCK Finance: Consumer Services Finance
706    ATCO.D 12/21/2012 3.05 ATLAS CORP. 7.95% SERIES D
707    ATCO.H 8/16/2016 3.37 ATLAS CORP. 7.875% SERIES H
708    ATCOL 5/18/2021 0.2 ATLAS CORP. 7.125% NOTES DUE 2027 Marine Transportation Consumer Discretionary
709    ATEC 6/12/2006 35 ALPHATEC HOLDINGS INC. COMMON STOCK Medical/Dental Instruments Health Care
710    ATEK 1/28/2022 0.15
711    ATEN 3/21/2014 37 A10 NETWORKS INC. COMMON STOCK Computer Communications Equipment Telecommunications
712    ATER 6/12/2019 16 ATERIAN INC. COMMON STOCK Home Furnishings Consumer Discretionary
713    ATEST.C 9/26/2016 0.06
714    ATEX 2/3/2015 12 ANTERIX INC. COMMON STOCK Telecommunications Equipment Telecommunications
715    ATFV 5/4/2021 0.19 ALGER 35 ETF Exchange Traded Fund Financial
716    ATGE 5/1/2007 61 ADTALEM GLOBAL EDUCATION INC. COMMON STOCK Other Consumer Services Real Estate
717    ATGL 10/31/2023 0.85 ALPHA TECHNOLOGY GROUP LIMITED CLASS A ORDINARY SHARES EDP Services Technology
718    ATH.A 6/19/2019 4.81 ATHENE HOLDING LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 6.35% FIXED-TO-FLOATING RATE PERPETUAL NON-CUMULATIVE PREFERENCE SHARE SERIES A
719    ATH.B 9/25/2019 2.69 ATHENE HOLDING LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 5.625% FIXED RATE PERPETUAL NON- CUMULATIVE PREFERENCE SHARE SERIES B PAR VALUE $1.00 PER SHARE
720    ATH.C 6/16/2020 3.52 ATHENE HOLDING LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.375% FIXED-RATE RESET PERPETUAL NON-CUMULATIVE PREFERENCE SHARES SERIES C
721    ATH.D 12/24/2020 3.22 ATHENE HOLDING LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 4.875% FIXED-RATE PERPETUAL NON-CUMULATIVE PREFERENCE SHARE SERIES D
722    ATH.E 12/16/2022 1.29 ATHENE HOLDING LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 7.750% FIXED-RATE RESET PERPETUAL NON-CUMULATIVE PREFERENCE SHARE SERIES E
723    ATHA 9/18/2020 9.55 ATHIRA PHARMA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
724    ATHE 5/16/2007 14 ALTERITY THERAPEUTICS LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
725    ATHM 12/11/2013 43 AUTOHOME INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FOUR CLASS A ORDINARY SHARES. EDP Services Technology
726    ATHS 3/15/2024 0.92 ATHENE HOLDING LTD. 7.250% FIXED-RATE RESET JUNIOR SUBORDINATED DEBENTURES DUE 2064
727    ATI 11/30/1999 101 ATI INC. COMMON STOCK Steel/Iron Ore Industrials
728    ATIIU 2/11/2025 0.02 ARCHIMEDES TECH SPAC PARTNERS II CO. UNIT Blank Checks Finance
729    ATIP 10/2/2020 7.6
730    ATKR 6/10/2016 29 ATKORE INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
731    ATLC 4/23/1999 32 ATLANTICUS HOLDINGS CORPORATION COMMON STOCK Finance: Consumer Services Finance
732    ATLCL 11/23/2021 0.49 ATLANTICUS HOLDINGS CORPORATION 6.125% SENIOR NOTES DUE 2026 Finance: Consumer Services Finance
733    ATLCP 6/14/2021 0.79 ATLANTICUS HOLDINGS CORPORATION 7.625% SERIES B CUMULATIVE PERPETUAL PREFERRED STOCK NO PAR VALUE PER SHARE Finance: Consumer Services Finance
734    ATLCZ 1/31/2024 0.45 ATLANTICUS HOLDINGS CORPORATION 9.25% SENIOR NOTES DUE 2029 Finance: Consumer Services Finance
735    ATLN 11/14/2023 0.14 ATLANTIC INTERNATIONAL CORP. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
736    ATLO 5/12/2005 5.76 AMES NATIONAL CORPORATION COMMON STOCK Major Banks Finance
737    ATLX 1/10/2023 2.6 ATLAS LITHIUM CORPORATION COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
738    ATMC 1/19/2023 0.04 ALPHATIME ACQUISITION CORP ORDINARY SHARES Blank Checks Finance
739    ATMCR 1/19/2023 0.04
740    ATMCW 1/19/2023 0.04 ALPHATIME ACQUISITION CORP WARRANT Blank Checks Finance
741    ATMP 3/13/2013 4.33 BARCLAYS PLC Exchange Traded Fund Financial
742    ATMU 5/26/2023 6.38 ATMUS FILTRATION TECHNOLOGIES INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
743    ATMV 1/25/2023 0.05 ALPHAVEST ACQUISITION CORP ORDINARY SHARES Blank Checks Finance
744    ATMVR 1/25/2023 0.06 ALPHAVEST ACQUISITION CORP RIGHT. Blank Checks Finance
745    ATMVU 12/20/2022 0.02
746    ATNF 6/27/2017 8.78 180 LIFE SCIENCES CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
747    ATNFW 6/27/2017 1.68 180 LIFE SCIENCES CORP. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
748    ATNI 5/23/2006 23 ATN INTERNATIONAL INC. COMMON STOCK Telecommunications Equipment Telecommunications
749    ATNM 3/18/2013 24 ACTINIUM PHARMACEUTICALS INC. (DELAWARE) COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
750    ATO 1/2/1998 93 ATMOS ENERGY CORPORATION COMMON STOCK Oil/Gas Transmission Utilities
751    ATOM 8/5/2016 14 ATOMERA INCORPORATED COMMON STOCK Semiconductors Technology
752    ATOS 11/8/2012 27 ATOSSA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
753    ATPC 10/11/2023 1.81 AGAPE ATP CORPORATION COMMON STOCK Medical/Nursing Services Health Care
754    ATR 1/2/1998 70 APTARGROUP INC. COMMON STOCK Plastic Products Industrials
755    ATRA 10/16/2014 32 ATARA BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
756    ATRC 8/5/2005 33 ATRICURE INC. COMMON STOCK Medical/Dental Instruments Health Care
757    ATRO 1/2/1998 31 ASTRONICS CORPORATION COMMON STOCK Military/Government/Technical Industrials
758    ATS 5/16/2007 2.77 ATS CORPORATION COMMON SHARES Industrial Machinery/Components Industrials
759    ATSG 5/16/2008 43 AIR TRANSPORT SERVICES GROUP INC Air Freight/Delivery Services Consumer Discretionary
760    ATUS 6/22/2017 33 ALTICE USA INC. CLASS A COMMON STOCK Cable & Other Pay Television Services Telecommunications
761    ATXG 12/12/2016 2.48 ADDENTAX GROUP CORP. COMMON STOCK Professional Services Consumer Discretionary
762    ATXI 6/27/2017 8.01 AVENUE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
763    ATXS 6/25/2015 16 ASTRIA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
764    ATYR 5/7/2015 15 ATYR PHARMA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
765    AU 8/5/1998 120 ANGLOGOLD ASHANTI PLC ORDINARY SHARES Precious Metals Basic Materials
766    AUB 11/28/2014 28 ATLANTIC UNION BANKSHARES CORPORATION COMMON STOCK Major Banks Finance
767    AUB.A 6/11/2020 1.34 ATLANTIC UNION BANKSHARES CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH OWNERSHIP INTEREST IN A SHARE OF 6.875% PERPETUAL NON-CUMULATIVE PREFERRED STOCK SERIES A
768    AUBN 3/30/2005 1.41 AUBURN NATIONAL BANCORPORATION INC. COMMON STOCK Major Banks Finance
769    AUDC 5/28/1999 49 AUDIOCODES LTD. COMMON STOCK Telecommunications Equipment Utilities
770    AUGP 6/11/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - AUGUST Exchange Traded Fund Financial
771    AUGT 8/1/2023 0.24 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 AUG E Exchange Traded Fund Financial
772    AUGW 8/1/2023 0.45 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 AUG E Exchange Traded Fund Financial
773    AUGZ 8/3/2020 0.15 TRUESHARES STRUCTURED OUTCOME (AUGUST) ETF Exchange Traded Fund Financial
774    AUID 6/14/2021 2.12 AUTHID INC. COMMON STOCK Computer Software: Prepackaged Software Technology
775    AUMI 12/13/2023 0.09 THEMES GOLD MINERS ETF Exchange Traded Fund Financial
776    AUMN 8/3/2009 25
777    AUNA 3/22/2024 0.95 AUNA SA CLASS A ORDINARY SHARES Medical/Nursing Services Health Care
778    AUPH 9/3/2014 34 AURINIA PHARMACEUTICALS INC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
779    AUR 5/10/2021 16 AURORA INNOVATION INC. CLASS A COMMON STOCK EDP Services Technology
780    AURA 10/29/2021 3.54 AURA BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
781    AUROW 5/10/2021 1.15 AURORA INNOVATION INC. WARRANT EDP Services Technology
782    AUSF 8/28/2018 1.15 GLOBAL X FUNDS GLOBAL X ADAPTIVE U.S. FACTOR ETF Exchange Traded Fund Financial
783    AUST 5/4/2022 2.13 AUSTIN GOLD CORP. COMMON SHARES Precious Metals Basic Materials
784    AUTL 6/22/2018 15 AUTOLUS THERAPEUTICS PLC AMERICAN DEPOSITARY SHARE Biotechnology: Biological Products (No Diagnostic Substances) Health Care
785    AUUD 2/17/2021 4.69 AUDDIA INC. COMMON STOCK EDP Services Technology
786    AUUDW 2/17/2021 0.35 AUDDIA INC. WARRANTS EDP Services Technology
787    AVA 1/4/1999 83 AVISTA CORPORATION COMMON STOCK Power Generation Utilities
788    AVAH 4/29/2021 6.91 AVEANNA HEALTHCARE HOLDINGS INC. COMMON STOCK Medical/Nursing Services Health Care
789    AVAL 9/23/2014 15 GRUPO AVAL ACCIONES Y VALORES S.A. ADR (EACH REPRESENTING 20 PREFERRED SHARES) Commercial Banks Finance
790    AVAV 1/23/2007 47 AEROVIRONMENT INC. COMMON STOCK Aerospace Industrials
791    AVB 6/5/1998 98 AVALONBAY COMMUNITIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
792    AVBP 1/26/2024 1.55 ARRIVENT BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
793    AVD 3/7/2006 44 AMERICAN VANGUARD CORPORATION COMMON STOCK ($0.10 PAR VALUE) Agricultural Chemicals Industrials
794    AVDE 9/26/2019 7.45 AVANTIS INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
795    AVDL 5/4/2007 35 AVADEL PHARMACEUTICALS PLC ORDINARY SHARE Biotechnology: Pharmaceutical Preparations Health Care
796    AVDS 7/20/2023 0.08 AMERICAN CENTURY ETF TRUST AVANTIS INTERNATIONAL SMALL CAP EQU Exchange Traded Fund Financial
797    AVDV 9/26/2019 9.41 AVANTIS INTERNATIONAL SMALL CAP VALUE ETF Exchange Traded Fund Financial
798    AVDX 5/27/2011 14 AVIDXCHANGE HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
799    AVEE 11/15/2023 0.09 AMERICAN CENTURY ETF TRUST AVANTIS EMERGING MARKETS SMALL CAP Exchange Traded Fund Financial
800    AVEM 9/19/2019 9.22 AVANTIS EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
801    AVES 9/30/2021 2.01 AVANTIS EMERGING MARKETS VALUE ETF Exchange Traded Fund Financial
802    AVGE 9/29/2022 1.07 AMERICAN CENTURY ETF TRUST AVANTIS ALL EQUITY MARKETS ETF Exchange Traded Fund Financial
803    AVGO 8/6/2009 80 BROADCOM INC. COMMON STOCK Semiconductors Technology
804    AVGR 1/30/2015 22
805    AVGV 6/29/2023 0.28 AMERICAN CENTURY ETF TRUST AVANTIS ALL EQUITY MARKETS VALUE ET Exchange Traded Fund Financial
806    AVGX 8/22/2024 1.95 DEFIANCE DAILY TARGET 2X LONG AVGO ETF Exchange Traded Fund Financial
807    AVIE 9/29/2022 0.06 AMERICAN CENTURY ETF TRUST AVANTIS INFLATION FOCUSED EQUITY ET Exchange Traded Fund Financial
808    AVIG 10/15/2020 2.27 AVANTIS CORE FIXED INCOME ETF Exchange Traded Fund Financial
809    AVIR 11/9/2012 16 ATEA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
810    AVIV 9/30/2021 1.18 AVANTIS INTERNATIONAL LARGE CAP VALUE ETF Exchange Traded Fund Financial
811    AVK 4/30/2003 29 ADVENT CONVERTIBLE AND INCOME FUND Trusts Except Educational Religious and Charitable Finance
812    AVL 10/10/2024 1.07 DIREXION DAILY AVGO BULL 2X SHARES Exchange Traded Fund Financial
813    AVLC 10/2/2023 0.26 AMERICAN CENTURY ETF TRUST AVANTIS U.S. LARGE CAP EQUITY ETF Exchange Traded Fund Financial
814    AVLV 9/23/2021 5.52 AVANTIS U.S. LARGE CAP VALUE ETF Exchange Traded Fund Financial
815    AVMA 6/29/2023 0.08 AMERICAN CENTURY ETF TRUST AVANTIS MODERATE ALLOCATION ETF Exchange Traded Fund Financial
816    AVMC 3/13/2024 0.16 AMERICAN CENTURY ETF TRUST AVANTIS U.S. MID CAP EQUITY ETF Exchange Traded Fund Financial
817    AVMU 12/10/2020 0.46 AVANTIS CORE MUNICIPAL FIXED INCOME ETF Exchange Traded Fund Financial
818    AVMV 11/15/2023 0.2 AMERICAN CENTURY ETF TRUST AVANTIS U.S. MID CAP VALUE ETF Exchange Traded Fund Financial
819    AVNM 6/29/2023 0.09 AMERICAN CENTURY ETF TRUST AVANTIS ALL INTERNATIONAL MARKETS E Exchange Traded Fund Financial
820    AVNS 11/3/2014 29 AVANOS MEDICAL INC. COMMON STOCK Industrial Specialties Health Care
821    AVNT 5/1/2007 67 AVIENT CORPORATION COMMON STOCK Major Chemicals Industrials
822    AVNV 6/29/2023 0.02 AMERICAN CENTURY ETF TRUST AVANTIS ALL INTERNATIONAL MARKETS V Exchange Traded Fund Financial
823    AVNW 1/29/2010 20 AVIAT NETWORKS INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
824    AVO 10/1/2020 7.62 MISSION PRODUCE INC. COMMON STOCK Farming/Seeds/Milling Consumer Staples
825    AVPT 11/5/2019 16 AVEPOINT INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
826    AVPTW 11/5/2019 2.16 AVEPOINT INC. WARRANT Computer Software: Prepackaged Software Technology
827    AVR 6/29/2006 9.43 ANTERIS TECHNOLOGIES GLOBAL CORP. COMMON STOCK Industrial Specialties Health Care
828    AVRE 9/30/2021 1.69 AVANTIS REAL ESTATE ETF Exchange Traded Fund Financial
829    AVS 10/10/2024 0.22 DIREXION DAILY AVGO BEAR 1X SHARES Exchange Traded Fund Financial
830    AVSC 1/13/2022 1.57 AMERICAN CENTURY ETF TRUST AVANTIS U.S SMALL CAP EQUITY ETF Exchange Traded Fund Financial
831    AVSD 3/17/2022 0.33 AMERICAN CENTURY ETF TRUST AVANTIS RESPONSIBLE INTERNATIONAL E Exchange Traded Fund Financial
832    AVSE 3/30/2022 0.23 AMERICAN CENTURY ETF TRUST AVANTIS RESPONSIBLE EMERGING MARKET Exchange Traded Fund Financial
833    AVSF 10/15/2020 1.16 AVANTIS SHORT-TERM FIXED INCOME ETF Exchange Traded Fund Financial
834    AVSU 3/17/2022 0.48 AMERICAN CENTURY ETF TRUST AVANTIS RESPONSIBLE U.S. EQUITY ETF Exchange Traded Fund Financial
835    AVT 1/2/1998 107 AVNET INC. COMMON STOCK Electronic Components Technology
836    AVTE 6/30/2021 4.31 AEROVATE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
837    AVTR 5/14/2007 32 AVANTOR INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
838    AVTX 11/13/2015 17 AVALO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
839    AVUS 9/26/2019 8.65 AVANTIS U.S. EQUITY ETF Exchange Traded Fund Financial
840    AVUV 9/26/2019 14 AVANTIS U.S. SMALL CAP VALUE ETF Exchange Traded Fund Financial
841    AVXC 3/21/2024 0.09 AVANTIS EMERGING MARKETS EX-CHINA EQUITY ETF Exchange Traded Fund Financial
842    AVXL 5/16/2007 32 ANAVEX LIFE SCIENCES CORP. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
843    AVY 1/2/1998 106 AVERY DENNISON CORPORATION COMMON STOCK Containers/Packaging Consumer Discretionary
844    AWAY 2/13/2020 5.68 AMPLIFY ETF TRUST AMPLIFY TRAVEL TECH ETF Exchange Traded Fund Financial
845    AWEG 6/7/2024 0.01 THE ALGER ETF TRUST ALGER WEATHERBIE ENDURING GROWTH ETF Exchange Traded Fund Financial
846    AWF 1/2/1998 51 ALLIANCEBERNSTEIN GLOBAL HIGH INCOME FUND Trusts Except Educational Religious and Charitable Finance
847    AWH 7/12/2006 46 ASPIRA WOMEN'S HEALTH INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
848    AWI 10/18/2006 62 ARMSTRONG WORLD INDUSTRIES INC COMMON STOCK Plastic Products Industrials
849    AWIN 10/12/2021 2.75
850    AWINW 10/8/2021 0.37
851    AWK 4/23/2008 76 AMERICAN WATER WORKS COMPANY INC. COMMON STOCK Water Supply Utilities
852    AWP 4/26/2007 45 ABRDN GLOBAL PREMIER PROPERTIES FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
853    AWR 7/1/1998 53 AMERICAN STATES WATER COMPANY COMMON STOCK Water Supply Utilities
854    AWRE 1/2/1998 20 AWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
855    AWX 6/23/1998 3.71 AVALON HOLDINGS CORPORATION COMMON STOCK Environmental Services Utilities
856    AX 5/16/2007 40 AXOS FINANCIAL INC. COMMON STOCK Savings Institutions Finance
857    AXDX 10/9/2003 24 ACCELERATE DIAGNOSTICS INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
858    AXGN 5/16/2007 22 AXOGEN INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
859    AXIL 2/14/2024 0.16 AXIL BRANDS INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
860    AXL 1/29/1999 92 AMERICAN AXLE & MANUFACTURING HOLDINGS INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
861    AXON 6/11/2015 34 AXON ENTERPRISE INC. COMMON STOCK Ordnance And Accessories Industrials
862    AXP 1/2/1998 135 AMERICAN EXPRESS COMPANY COMMON STOCK Finance: Consumer Services Finance
863    AXR 1/2/1998 8.03 AMREP CORPORATION COMMON STOCK Homebuilding Real Estate
864    AXS 7/1/2003 83 AXIS CAPITAL HOLDINGS LIMITED COMMON STOCK Property-Casualty Insurers Finance
865    AXS.E 11/22/2016 5.89 AXIS CAPITAL HOLDINGS LIMITED DEPOSITARY SHARES EACH REPRESENTING 1/100TH INTEREST IN A SHARE OF A 5.50% SERIES E PREFERRED SHARES
866    AXSM 11/19/2015 26 AXSOME THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
867    AXTA 11/12/2014 45 AXALTA COATING SYSTEMS LTD. COMMON SHARES Paints/Coatings Consumer Discretionary
868    AXTI 5/21/1998 44 AXT INC COMMON STOCK Semiconductors Technology
869    AYI 12/3/2001 78 ACUITY BRANDS INC. Building Products Consumer Discretionary
870    AYRO 5/29/2020 10 AYRO INC. COMMON STOCK Telecommunications Equipment Consumer Discretionary
871    AYTU 10/7/2015 14 AYTU BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
872    AZ 1/5/2022 2.17 A2Z CUST2MATE SOLUTIONS CORP. COMMON SHARES Industrial Machinery/Components Industrials
873    AZEK 6/12/2020 20 THE AZEK COMPANY INC. CLASS A COMMON STOCK Plastic Products Industrials
874    AZI 8/28/2024 0.85 AUTOZI INTERNET TECHNOLOGY (GLOBAL) LTD. CLASS A ORDINARY SHARES Automotive Aftermarket Consumer Discretionary
875    AZN 4/6/1999 121 ASTRAZENECA PLC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
876    AZO 1/2/1998 89 AUTOZONE INC. COMMON STOCK Auto & Home Supply Stores Consumer Discretionary
877    AZPN 3/22/2005 60 ASPEN TECHNOLOGY INC. COMMON STOCK EDP Services Technology
878    AZTA 5/2/2007 57 AZENTA INC. Industrial Machinery/Components Technology
879    AZTD 8/22/2022 0.09 TIDAL ETF TRUST AZTLAN GLOBAL STOCK SELECTION DM SMID ETF Exchange Traded Fund Financial
880    AZTR 6/16/2023 2.74 AZITRA INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
881    AZUL 4/11/2017 31 AZUL S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THREE PREFERRED SHARES) Air Freight/Delivery Services Consumer Discretionary
882    AZZ 1/2/1998 41 AZZ INC. Industrial Specialties Industrials
883    BA 1/2/1998 139 BOEING COMPANY (THE) COMMON STOCK Aerospace Industrials
884    BA.A 11/6/2024 0.51 BOEING COMPANY (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/20TH INTEREST IN A SHARE OF 6.00% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK PAR VALUE $1.00
885    BAB 11/17/2009 28 INVESCO TAXABLE MUNICIPAL BOND ETF Exchange Traded Fund Financial
886    BABA 9/19/2014 81 ALIBABA GROUP HOLDING LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING EIGHT ORDINARY SHARE Business Services Consumer Discretionary
887    BABO 8/8/2024 0.38 TIDAL TRUST II YIELDMAX BABA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
888    BABX 12/13/2022 2.74 GRANITESHARES 2X LONG BABA DAILY ETF Exchange Traded Fund Financial
889    BAC 1/2/1998 181 BANK OF AMERICA CORPORATION COMMON STOCK Major Banks Finance
890    BAC.B 5/2/2007 14 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.000% NON-CUMULATIVE PREFERRED STOCK SERIES GG
891    BAC.E 5/16/2007 8.14 BANK OF AMERICA CORPORATION DEPOSITARY SH REPSTG 1/1000TH PERP PFD SER E
892    BAC.K 7/25/2018 6.84 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.875% NON- CUMULATIVE PREFERRED STOCK SERIES HH
893    BAC.L 1/31/2008 13 BANK OF AMERICA CORPORATION NON CUMULATIVE PERPETUAL CONV PFD SER L
894    BAC.M 6/26/2019 7.62 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.375% NON-CUMULATIVE PREFERRED STOCK SERIES KK
895    BAC.N 9/18/2019 7.19 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 5.000% NON-CUMULATIVE PREFERRED STOCK SERIES LL
896    BAC.O 11/3/2020 5.11 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 4.375% NON-CUMULATIVE PREFERRED STOCK SERIES NN
897    BAC.P 1/29/2021 3.82 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.125% NON-CUMULATIVE PREFERRED STOCK SERIES PP
898    BAC.Q 10/27/2021 4.54 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 4.250% NON-CUMULATIVE PREFERRED STOCK SERIES QQ
899    BAC.S 12/4/2009 3.72 BANK OF AMERICA CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 4.750% NON-CUMULATIVE PREFERRED STOCK SERIES SS
900    BACK 2/13/2019 6.02 IMAC HOLDINGS INC. COMMON STOCK Medical Specialities Health Care
901    BACQ 12/2/2024 0.03 BLEICHROEDER ACQUISITION CORP. I CLASS A ORDINARY SHARES
902    BACQR 12/2/2024 0.01
903    BACQU 11/1/2024 0.02
904    BAER 1/25/2023 1.72 BRIDGER AEROSPACE GROUP HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
905    BAERW 1/25/2023 0.27 BRIDGER AEROSPACE GROUP HOLDINGS INC. WARRANT Business Services Consumer Discretionary
906    BAFE 11/18/2024 0.07 BROWN ADVISORY FLEXIBLE EQUITY ETF Exchange Traded Fund Financial
907    BAFN 11/30/2021 0.27 BAYFIRST FINANCIAL CORP. COMMON STOCK Major Banks Finance
908    BAH 11/18/2010 57 BOOZ ALLEN HAMILTON HOLDING CORPORATION COMMON STOCK Professional Services Consumer Discretionary
909    BAI 10/22/2024 0.38 BLACKROCK ETF TRUST ISHARES A.I. INNOVATION AND TECH ACTIVE ET Exchange Traded Fund Financial
910    BAK 10/24/2019 15 BRASKEM SA ADR Major Chemicals Industrials
911    BALI 9/28/2023 0.53 ISHARES ADVANTAGE LARGE CAP INCOME ETF Exchange Traded Fund Financial
912    BALL 5/2/2007 84 BALL CORPORATION COMMON STOCK Containers/Packaging Industrials
913    BALT 3/10/2010 15 INNOVATOR DEFINED WEALTH SHIELD ETF Exchange Traded Fund Financial
914    BALY 5/7/2007 23 BALLY'S CORPORATION COMMON STOCK Hotels/Resorts Consumer Discretionary
915    BAM 12/1/2022 10 BROOKFIELD ASSET MANAGEMENT INC CLASS A LIMITED VOTING SHARES Other Consumer Services Consumer Discretionary
916    BAMA 10/9/2023 0.11 BROOKSTONE ACTIVE ETF Exchange Traded Fund Financial
917    BAMD 10/3/2023 0.17 BROOKSTONE DIVIDEND STOCK ETF Exchange Traded Fund Financial
918    BAMG 10/3/2023 0.17 BROOKSTONE GROWTH STOCK ETF Exchange Traded Fund Financial
919    BAMO 10/12/2023 0.11 BROOKSTONE OPPORTUNITIES ETF Exchange Traded Fund Financial
920    BAMU 10/3/2023 0.14 BROOKSTONE ULTRA-SHORT BOND ETF Exchange Traded Fund Financial
921    BAMV 10/3/2023 0.14 BROOKSTONE VALUE STOCK ETF Exchange Traded Fund Financial
922    BAMY 10/12/2023 0.12 BROOKSTONE YIELD ETF Exchange Traded Fund Financial
923    BANC 6/13/2006 42 BANC OF CALIFORNIA INC. COMMON STOCK Major Banks Finance
924    BANC.F 12/1/2023 0.86 BANC OF CALIFORNIA INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 7.75% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES F
925    BAND 11/10/2017 19 BANDWIDTH INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
926    BANF 1/2/1998 19 BANCFIRST CORPORATION COMMON STOCK Major Banks Finance
927    BANFP 11/14/2006 0.41 BANCFIRST CORPORATION - BFC CAPITAL TRUST II CUMULATIVE TRUST PREFERRED SECURITIES Major Banks Finance
928    BANL 3/23/2023 1.11 CBL INTERNATIONAL LIMITED ORDINARY SHARES Oil Refining/Marketing Energy
929    BANR 10/30/2000 44 BANNER CORPORATION COMMON STOCK Major Banks Finance
930    BANX 11/7/2013 3.64 ARROWMARK FINANCIAL CORP. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
931    BAOS 2/8/2021 2.91 BAOSHENG MEDIA GROUP HOLDINGS LIMITED ORDINARY SHARES Business Services Consumer Discretionary
932    BAP 1/2/1998 64 CREDICORP LTD. COMMON STOCK Commercial Banks Finance
933    BAPR 4/1/2019 1.09 INNOVATOR U.S. EQUITY BUFFER ETF - APRIL Exchange Traded Fund Financial
934    BAR 9/1/2017 14 NO NAME Exchange Traded Fund Financial
935    BARK 12/18/2020 15 BARK INC. CLASS A COMMON STOCK Other Specialty Stores Consumer Discretionary
936    BASE 7/22/2021 9.42 COUCHBASE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
937    BATL 2/20/2020 1.93 BATTALION OIL CORPORATION COMMON STOCK Oil & Gas Production Energy
938    BATRA 4/18/2016 8.23 ATLANTA BRAVES HOLDINGS INC. SERIES A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
939    BATRK 4/18/2016 15 ATLANTA BRAVES HOLDINGS INC. SERIES C COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
940    BATT 6/6/2018 5.64 AMPLIFY LITHIUM & BATTERY TECHNOLOGY ETF Exchange Traded Fund Financial
941    BAUG 8/1/2019 1.02 INNOVATOR U.S. EQUITY BUFFER ETF - AUGUST Exchange Traded Fund Financial
942    BAX 1/2/1998 127 BAXTER INTERNATIONAL INC. COMMON STOCK Medical/Dental Instruments Health Care
943    BAYA 12/29/2023 0.02
944    BAYAR 12/29/2023 0.01 BAYVIEW ACQUISITION CORP RIGHT
945    BB 4/25/2007 92 BLACKBERRY LIMITED COMMON STOCK Computer Software: Prepackaged Software Technology
946    BBAG 2/1/2023 2.09 JPMORGAN BETABUILDERS U.S. AGGREGATE BOND ETF Exchange Traded Fund Financial
947    BBAI 12/8/2021 15 BIGBEAR.AI INC. COMMON STOCK Computer Software: Prepackaged Software Technology
948    BBAR 5/16/2007 42 BANCO BBVA ARGENTINA S.A. ADS Commercial Banks Finance
949    BBAX 8/9/2018 12 JPMORGAN BETABUILDERS DEVELOPED ASIA PACIFIC-EX JAPAN ETF Exchange Traded Fund Financial
950    BBBI 1/25/2024 0.03 BONDBLOXX ETF TRUST BONDBLOXX BBB RATED 5-10 YEAR CORPORATE BO Exchange Traded Fund Financial
951    BBBL 1/25/2024 0.03 BONDBLOXX ETF TRUST BONDBLOXX BBB RATED 10+ YEAR CORPORATE BON Exchange Traded Fund Financial
952    BBBS 1/25/2024 0.17 BONDBLOXX ETF TRUST BONDBLOXX BBB RATED 1-5 YEAR CORPORATE BON Exchange Traded Fund Financial
953    BBC 12/17/2014 2.52 VIRTUS LIFESCI BIOTECH CLINICAL TRIALS ETF Exchange Traded Fund Financial
954    BBCA 8/9/2018 14 JPMORGAN BETABUILDERS CANADA ETF Exchange Traded Fund Financial
955    BBCB 2/2/2023 0.17 JPMORGAN BETABUILDERS USD INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
956    BBCP 8/21/2017 7.7 CONCRETE PUMPING HOLDINGS INC. COMMON STOCK Engineering & Construction Consumer Discretionary
957    BBD 8/2/2002 101 BANCO BRADESCO SA AMERICAN DEPOSITARY SHARES Major Banks Finance
958    BBDC 5/16/2007 39 BARINGS BDC INC. COMMON STOCK Diversified Financial Services Finance
959    BBDO 3/13/2012 2.62 BANCO BRADESCO SA AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) Major Banks Finance
960    BBEM 8/14/2023 0.09 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN BETABUILDERS E Exchange Traded Fund Financial
961    BBEU 6/18/2018 19 JPMORGAN BETABUILDERS EUROPE ETF Exchange Traded Fund Financial
962    BBGI 2/11/2000 8.37 BEASLEY BROADCAST GROUP INC. CLASS A COMMON STOCK Broadcasting Consumer Discretionary
963    BBH 11/23/1999 44 VANECK BIOTECH ETF Exchange Traded Fund Financial
964    BBHY 2/1/2023 1.97 JPMORGAN BETABUILDERS USD HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
965    BBIB 4/20/2023 0.04 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN BETABUILDERS U Exchange Traded Fund Financial
966    BBIG 5/3/2018 19
967    BBIN 12/9/2019 3.02 JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
968    BBIO 6/27/2019 21 BRIDGEBIO PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
969    BBJP 6/18/2018 22 JPMORGAN BETABUILDERS JAPAN ETF Exchange Traded Fund Financial
970    BBLB 4/20/2023 0.03 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN BETABUILDERS U Exchange Traded Fund Financial
971    BBLG 10/13/2021 3.52 BONE BIOLOGICS CORP COMMON STOCK Industrial Specialties Health Care
972    BBLGW 10/13/2021 0.16 BONE BIOLOGICS CORP WARRANTS Industrial Specialties Health Care
973    BBLU 10/17/2022 1.51 EA SERIES TRUST EA BRIDGEWAY BLUE CHIP ETF Exchange Traded Fund Financial
974    BBMC 4/15/2020 0.6 JPMORGAN BETABUILDERS U.S. MID CAP EQUITY ETF Exchange Traded Fund Financial
975    BBN 8/30/2010 30 BLACKROCK TAXABLE MUNICIPAL BOND TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
976    BBNX 1/30/2025 0.3 BETA BIONICS INC. COMMON STOCK Medical/Dental Instruments Health Care
977    BBP 12/17/2014 1.19 VIRTUS LIFESCI BIOTECH PRODUCTS ETF Exchange Traded Fund Financial
978    BBRE 6/18/2018 3.03 JPMORGAN BETABUILDERS MSCI U.S. REIT ETF Exchange Traded Fund Financial
979    BBSB 4/20/2023 0.02 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN BETABUILDERS U Exchange Traded Fund Financial
980    BBSC 11/17/2020 0.36 JPMORGAN BETABUILDERS U.S. SMALL CAP EQUITY ETF Exchange Traded Fund Financial
981    BBSI 8/14/2002 23 BARRETT BUSINESS SERVICES INC. COMMON STOCK Professional Services Consumer Discretionary
982    BBU 6/1/2016 4.92 BROOKFIELD BUSINESS PARTNERS L.P. LIMITED PARTNERSHIP UNITS Engineering & Construction Consumer Discretionary
983    BBUC 3/15/2022 2.14 BROOKFIELD BUSINESS CORPORATION CLASS A EXCHANGEABLE SUBORDINATE VOTING SHARES Engineering & Construction Consumer Discretionary
984    BBUS 3/13/2019 4.73 JPMORGAN BETABUILDERS U.S. EQUITY ETF Exchange Traded Fund Financial
985    BBVA 12/14/2009 65 BANCO BILBAO VIZCAYA ARGENTARIA S.A. COMMON STOCK Commercial Banks Finance
986    BBW 10/28/2004 46 BUILD-A-BEAR WORKSHOP INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
987    BBWI 4/27/2007 88 BATH & BODY WORKS INC. Clothing/Shoe/Accessory Stores Consumer Discretionary
988    BBY 1/2/1998 134 BEST BUY CO. INC. COMMON STOCK Consumer Electronics/Video Chains Consumer Discretionary
989    BC 1/2/1998 107 BRUNSWICK CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
990    BC.A 10/8/2018 1.45 BRUNSWICK CORPORATION 6.500% SENIOR NOTES DUE 2048
991    BC.C 3/8/2019 2.06 BRUNSWICK CORPORATION 6.375% NOTES DUE 2049
992    BCAB 12/16/2020 11 BIOATLA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
993    BCAL 8/6/2008 1.16 CALIFORNIA BANCORP COMMON STOCK Major Banks Finance
994    BCAT 9/25/2020 12 BLACKROCK CAPITAL ALLOCATION TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
995    BCAX 9/13/2024 1.22 BICARA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
996    BCBP 5/2/2006 7.18 BCB BANCORP INC. (NJ) COMMON STOCK Savings Institutions Finance
997    BCC 2/6/2013 38 BOISE CASCADE L.L.C. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
998    BCD 3/31/2017 3.03 ABRDN BLOOMBERG ALL COMMODITY LONGER DATED STRATEGY K-1 FREE E Exchange Traded Fund Financial
999    BCDA 11/28/2008 5.19 BIOCARDIA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1000    BCDF 8/2/2022 0.09 LISTED FUNDS TRUST HORIZON KINETICS BLOCKCHAIN DEVELOPMENT ETF Exchange Traded Fund Financial
1001    BCDS 1/28/2011 1.26
1002    BCE 1/2/1998 105 BCE INC. COMMON STOCK Telecommunications Equipment Telecommunications
1003    BCG 3/27/2024 0.54 BINAH CAPITAL GROUP INC. COMMON STOCK Finance: Consumer Services Finance
1004    BCGWW 3/28/2024 0.06 BINAH CAPITAL GROUP INC. WARRANTS Finance: Consumer Services Finance
1005    BCH 8/2/2002 20 BANCO DE CHILE ADS Commercial Banks Finance
1006    BCHP 4/23/2014 0.21
1007    BCI 3/31/2017 9.96 ABRDN BLOOMBERG ALL COMMODITY STRATEGY K-1 FREE ETF Exchange Traded Fund Financial
1008    BCIL 3/21/2024 0.05 EXCHANGE LISTED FUNDS TRUST BANCREEK INTERNATIONAL LARGE CAP E Exchange Traded Fund Financial
1009    BCIM 9/24/2021 0.24 ABRDN BLOOMBERG INDUSTRIAL METALS STRATEGY K-1 FREE ETF Exchange Traded Fund Financial
1010    BCLI 5/16/2007 17 BRAINSTORM CELL THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1011    BCML 9/21/2010 3.64 BAYCOM CORP COMMON STOCK Major Banks Finance
1012    BCO 5/5/2003 72 BRINKS COMPANY (THE) COMMON STOCK Oil Refining/Marketing Consumer Discretionary
1013    BCOW 1/9/2019 0.47
1014    BCPC 12/22/2006 33 BALCHEM CORPORATION COMMON STOCK Major Chemicals Industrials
1015    BCRX 1/2/1998 72 BIOCRYST PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1016    BCS 1/2/1998 104 BARCLAYS PLC COMMON STOCK Commercial Banks Finance
1017    BCSF 11/15/2018 14 BAIN CAPITAL SPECIALTY FINANCE INC. COMMON STOCK Finance/Investors Services Finance
1018    BCTF 10/12/2016 0.3
1019    BCTX 2/24/2021 9.01 BRIACELL THERAPEUTICS CORP. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
1020    BCTXW 2/24/2021 1.26 BRIACELL THERAPEUTICS CORP. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
1021    BCUS 12/21/2023 0.16 EXCHANGE LISTED FUNDS TRUST BANCREEK U.S. LARGE CAP ETF Exchange Traded Fund Financial
1022    BCV 1/2/1998 7.32 BANCROFT FUND LTD. Finance/Investors Services Finance
1023    BCV.A 8/11/2016 0.54 BANCROFT FUND LIMITED 5.375% SERIES A CUMULATIVE PREFERRED SHARES
1024    BCX 3/29/2011 31 BLACKROCK RESOURCES COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
1025    BCYC 5/23/2019 8.98 BICYCLE THERAPEUTICS PLC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1026    BDC 7/16/2004 66 BELDEN INC COMMON STOCK Telecommunications Equipment Industrials
1027    BDCX 6/11/2020 0.59 ETRACS QUARTERLY PAY 1.5X LEVERAGED MARKETVECTOR BDC LIQUID IN Exchange Traded Fund Financial
1028    BDCZ 11/27/2018 0.51 NO NAME Exchange Traded Fund Financial
1029    BDEC 12/2/2019 0.9 INNOVATOR U.S. EQUITY BUFFER ETF - DECEMBER Exchange Traded Fund Financial
1030    BDGS 5/11/2023 0.13 BRIDGES CAPITAL TACTICAL ETF Exchange Traded Fund Financial
1031    BDIV 7/31/2024 0.03 ETF SERIES SOLUTIONS AAM BRENTVIEW DIVIDEND GROWTH ETF Exchange Traded Fund Financial
1032    BDJ 8/30/2005 48 BLACKROCK ENHANCED EQUITY DIVIDEND TRUST Finance Companies Finance
1033    BDL 5/3/2006 1.32 FLANIGAN'S ENTERPRISES INC. COMMON STOCK Restaurants Consumer Discretionary
1034    BDMD 10/2/2024 0.5 BAIRD MEDICAL INVESTMENT HOLDINGS LTD ORDINARY SHARE Medical/Dental Instruments Health Care
1035    BDMDW 10/2/2024 0.06 BAIRD MEDICAL INVESTMENT HOLDINGS LTD WARRANT Medical/Dental Instruments Health Care
1036    BDN 1/2/1998 97 BRANDYWINE REALTY TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
1037    BDRX 12/7/2015 9.28 BIODEXA PHARMACEUTICALS PLC AMERICAN DEPOSITARY SHS Biotechnology: Pharmaceutical Preparations Health Care
1038    BDRY 3/22/2018 8.33 AMPLIFY COMMODITY TRUST BREAKWAVE DRY BULK SHIPPING ETF Exchange Traded Fund Financial
1039    BDSX 10/28/2020 5.04 BIODESIX INC. COMMON STOCK Medical Specialities Health Care
1040    BDTX 5/13/2008 12 BLACK DIAMOND THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1041    BDVG 6/30/2023 0.14 LITMAN GREGORY FUNDS TRUST IMGP BERKSHIRE DIVIDEND GROWTH ETF Exchange Traded Fund Financial
1042    BDX 1/2/1998 119 BECTON DICKINSON AND COMPANY COMMON STOCK Medical/Dental Instruments Health Care
1043    BE 7/25/2018 31 BLOOM ENERGY CORPORATION CLASS A COMMON STOCK Industrial Machinery/Components Energy
1044    BEAG 12/16/2024 0.02 BOLD EAGLE ACQUISITION CORP. CLASS A ORDINARY SHARES
1045    BEAGR 12/16/2024 0.02 BOLD EAGLE ACQUISITION CORP. RIGHT
1046    BEAGU 10/24/2024 0.05 BOLD EAGLE ACQUISITION CORP. UNITS
1047    BEAM 1/2/1998 79 BEAM THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1048    BEAT 3/19/2008 36 HEARTBEAM INC. COMMON STOCK Medical/Dental Instruments Health Care
1049    BEATW 11/11/2021 0.28 HEARTBEAM INC. WARRANT Medical/Dental Instruments Health Care
1050    BECN 9/23/2004 69 BEACON ROOFING SUPPLY INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
1051    BEDU 5/18/2017 6.45 BRIGHT SCHOLAR EDUCATION HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING FOUR CLASS A ORDINARY SHARE Other Consumer Services Real Estate
1052    BEDZ 4/21/2021 0.26 ADVISORSHARES HOTEL ETF Exchange Traded Fund Financial
1053    BEEM 4/16/2019 11 BEAM GLOBAL COMMON STOCK Semiconductors Technology
1054    BEEP 8/28/2023 0.7 MOBILE INFRASTRUCTURE CORPORATION COMMON STOCK Blank Checks Finance
1055    BEEZ 11/8/2023 0.03 HONEYTREE U.S. EQUITY ETF Exchange Traded Fund Financial
1056    BEKE 8/13/2020 25 KE HOLDINGS INC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THREE CLASS A ORDINARY SHARES) Real Estate Finance
1057    BELFA 7/10/1998 3.21 BEL FUSE INC. CLASS A COMMON STOCK
1058    BELFB 7/10/1998 24 BEL FUSE INC. CLASS B COMMON STOCK
1059    BELT 6/18/2024 0.04 ISHARES LONG-TERM U.S. EQUITY ACTIVE ETF Exchange Traded Fund Financial
1060    BEN 1/2/1998 121 FRANKLIN RESOURCES INC. COMMON STOCK Investment Managers Finance
1061    BENF 6/8/2023 3.22 BENEFICIENT CLASS A COMMON STOCK Finance: Consumer Services Finance
1062    BENFW 6/8/2023 0.5 BENEFICIENT WARRANT Finance: Consumer Services Finance
1063    BEP 6/11/2013 27 BROOKFIELD RENEWABLE PARTNERS L.P. LIMITED PARTNERSHIP UNITS Electric Utilities: Central Utilities
1064    BEP.A 2/27/2020 0.96 BROOKFIELD RENEWABLE PARTNERS L.P. 5.25% CLASS A PREFERRED LIMITED PARTNERSHIP UNITS SERIES 17
1065    BEPC 7/24/2020 19 BROOKFIELD RENEWABLE CORPORATION BROOKFIELD RENEWABLE CORPORATION CLASS A SUBORDINATE VOTING SHARES Electric Utilities: Central Utilities
1066    BEPH 4/16/2021 2.13 BROOKFIELD BRP HOLDINGS (CANADA) INC. 4.625% PERPETUAL SUBORDINATED NOTES Electric Utilities: Central Utilities
1067    BEPI 12/14/2021 1.15 BROOKFIELD BRP HOLDINGS (CANADA) INC. 4.875% PERPETUAL SUBORDINATED NOTES Electric Utilities: Central Utilities
1068    BEPJ 3/27/2024 0.32 BROOKFIELD BRP HOLDINGS (CANADA) INC. 7.250% PERPETUAL SUBORDINATED NOTES Electric Utilities: Central Utilities
1069    BERY 10/4/2012 52 BERRY GLOBAL GROUP INC. COMMON STOCK Plastic Products Industrials
1070    BERZ 8/18/2021 6.22 MICROSECTORS FANG & INNOVATION -3X INVERSE LEVERAGED ETN Exchange Traded Fund Financial
1071    BEST 2/19/2019 14
1072    BETE 10/2/2023 0.08 PROSHARES BITCOIN & ETHER EQUAL WEIGHT ETF Exchange Traded Fund Financial
1073    BETH 10/5/2023 0.1 PROSHARES BITCOIN & ETHER MARKET CAP WEIGHT ETF Exchange Traded Fund Financial
1074    BETR 8/24/2023 3.66 BETTER HOME & FINANCE HOLDING COMPANY CLASS A COMMON STOCK Finance: Consumer Services Finance
1075    BETRW 5/11/2021 0.28 BETTER HOME & FINANCE HOLDING COMPANY WARRANT Finance: Consumer Services Finance
1076    BETZ 6/4/2020 6.27 ROUNDHILL SPORTS BETTING & IGAMING ETF Exchange Traded Fund Financial
1077    BF.A 1/2/1998 12 BROWN FORMAN CORPORATION
1078    BF.B 1/2/1998 97 BROWN FORMAN CORPORATION
1079    BFAM 1/25/2013 32 BRIGHT HORIZONS FAMILY SOLUTIONS INC. COMMON STOCK Other Consumer Services Consumer Discretionary
1080    BFC 5/17/2007 1.66 BANK FIRST CORPORATION COMMON STOCK Major Banks Finance
1081    BFEB 2/3/2020 0.79 INNOVATOR U.S. EQUITY BUFFER ETF - FEBRUARY Exchange Traded Fund Financial
1082    BFH 4/4/2022 11 BREAD FINANCIAL HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
1083    BFIN 6/28/2005 15 BANKFINANCIAL CORPORATION COMMON STOCK Savings Institutions Finance
1084    BFIX 2/10/2022 0.08 BUILD FUNDS TRUST BUILD BOND INNOVATION ETF Exchange Traded Fund Financial
1085    BFK 7/27/2001 22 BLACKROCK MUNICIPAL INCOME TRUST Finance Companies Finance
1086    BFLY 10/30/1998 25 BUTTERFLY NETWORK INC. CLASS A COMMON STOCK Medical Electronics Health Care
1087    BFOR 6/4/2013 2.91 BARRON'S 400 ETF Exchange Traded Fund Financial
1088    BFRG 2/14/2023 3.36 BULLFROG AI HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1089    BFRGW 2/14/2023 0.29 BULLFROG AI HOLDINGS INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
1090    BFRI 10/29/2021 5.25 BIOFRONTERA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1091    BFRIW 10/29/2021 0.39 BIOFRONTERA INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
1092    BFS 1/2/1998 24 SAUL CENTERS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1093    BFS.D 1/25/2018 0.6 SAUL CENTERS INC. DEPOSITARY SHARES EACH REPRESENTING 1/100TH OF A SHARE OF 6.125% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK
1094    BFS.E 9/19/2019 0.81 SAUL CENTERS INC. DEPOSITARY SHARES EACH REPRESENTING A 1/100TH FRACTIONAL INTEREST IN A SHARE OF 6.000% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK
1095    BFST 4/23/2018 4.64 BUSINESS FIRST BANCSHARES INC. COMMON STOCK Major Banks Finance
1096    BFZ 7/27/2001 16 BLACKROCK CALIFORNIA MUNICIPAL INCOME TRUST Finance Companies Finance
1097    BG 8/2/2001 99 BUNGE LIMITED COMMON SHARES Packaged Foods Consumer Staples
1098    BGB 9/26/2012 22 BLACKSTONE STRATEGIC CREDIT 2027 TERM FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1099    BGC 12/10/1999 95 BGC GROUP INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
1100    BGFV 10/6/2005 53 BIG 5 SPORTING GOODS CORPORATION COMMON STOCK Other Specialty Stores Consumer Discretionary
1101    BGH 10/26/2012 14 BARINGS GLOBAL SHORT DURATION HIGH YIELD FUND COMMON SHARES OF BENEFICIAL INTERESTS Investment Managers Finance
1102    BGI 11/15/2005 5.83 BIRKS GROUP INC. COMMON STOCK Consumer Specialties Consumer Discretionary
1103    BGIG 9/15/2023 0.1 ETF SERIES SOLUTIONS BAHL & GAYNOR INCOME GROWTH ETF Exchange Traded Fund Financial
1104    BGLC 9/16/2020 2.28 BIONEXUS GENE LAB CORP COMMON STOCK Medical Specialities Health Care
1105    BGLD 1/21/2021 0.43 FT VEST GOLD STRATEGY QUARTERLY BUFFER ETF Exchange Traded Fund Financial
1106    BGM 1/12/2021 1.45 BGM GROUP LTD. CLASS A ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1107    BGR 12/23/2004 33 BLACKROCK ENERGY AND RESOURCES TRUST Trusts Except Educational Religious and Charitable Finance
1108    BGRN 11/27/2018 2.27 ISHARES USD GREEN BOND ETF Exchange Traded Fund Financial
1109    BGRO 6/5/2024 0.02 ISHARES LARGE CAP GROWTH ACTIVE ETF Exchange Traded Fund Financial
1110    BGS 5/23/2007 68 B&G FOODS INC. COMMON STOCK Packaged Foods Consumer Staples
1111    BGSF 2/19/2015 6.49 BGSF INC. COMMON STOCK Professional Services Consumer Discretionary
1112    BGT 8/30/2004 23 BLACKROCK FLOATING RATE INCOME TRUST Trusts Except Educational Religious and Charitable Finance
1113    BGX 1/27/2011 14 BLACKSTONE LONG SHORT CREDIT INCOME FUND COMMON SHARES Trusts Except Educational Religious and Charitable Finance
1114    BGXX 5/17/2022 6.65
1115    BGY 5/25/2007 43 BLACKROCK ENHANCED INTERNATIONAL DIVIDEND TRUST Trusts Except Educational Religious and Charitable Finance
1116    BH 8/4/2009 14 BIGLARI HOLDINGS INC. CLASS B COMMON STOCK Restaurants Consumer Discretionary
1117    BH.A 5/1/2018 0.52
1118    BHAC 2/6/2015 0.15
1119    BHACW 3/6/2015 0.23
1120    BHAT 7/26/2019 9.9 BLUE HAT INTERACTIVE ENTERTAINMENT TECHNOLOGY ORDINARY SHARES Recreational Games/Products/Toys Consumer Discretionary
1121    BHB 12/29/2003 6.63 BAR HARBOR BANKSHARES INC. COMMON STOCK Major Banks Finance
1122    BHC 4/27/2007 82 BAUSCH HEALTH COMPANIES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1123    BHE 1/2/1998 80 BENCHMARK ELECTRONICS INC. COMMON STOCK Electrical Products Technology
1124    BHF 7/17/2017 27 BRIGHTHOUSE FINANCIAL INC. COMMON STOCK Life Insurance Finance
1125    BHFAL 9/14/2018 2.7 BRIGHTHOUSE FINANCIAL INC. 6.25% JUNIOR SUBORDINATED DEBENTURES DUE 2058 Life Insurance Finance
1126    BHFAM 11/23/2021 1.81 BRIGHTHOUSE FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.625% NON-CUMULATIVE PREFERRED STOCK SERIES D Life Insurance Finance
1127    BHFAN 11/23/2020 3.24 BRIGHTHOUSE FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.375% NON-CUMULATIVE PREFERRED STOCK SERIES C Life Insurance Finance
1128    BHFAO 5/22/2020 2.72 BRIGHTHOUSE FINANCIAL INC. DEPOSITARY SHARES 6.75% NON-CUMULATIVE PREFERRED STOCK SERIES B Life Insurance Finance
1129    BHFAP 3/26/2019 3.05 BRIGHTHOUSE FINANCIAL INC. DEPOSITARY SHARES 6.6% NON-CUMULATIVE PREFERRED STOCK SERIES A Life Insurance Finance
1130    BHIL 2/26/2021 9.56 BENSON HILL INC. COMMON STOCK Packaged Foods Consumer Staples
1131    BHK 11/28/2001 29 BLACKROCK CORE BOND TRUST Finance Companies Finance
1132    BHLB 10/25/2005 37 BERKSHIRE HILLS BANCORP INC. COMMON STOCK Banks Finance
1133    BHM 9/28/2022 0.53 BLUEROCK HOMES TRUST INC. CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
1134    BHP 1/2/1998 117 BHP GROUP LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO ORDINARY SHARES) Coal Mining Energy
1135    BHR 11/20/2013 28 BRAEMAR HOTELS & RESORTS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1136    BHR.B 5/2/2016 1.23 BRAEMAR HOTELS & RESORTS INC. 5.50% SERIES B CUMULATIVE CONVERTIBLE PREFERRED STOCK PAR VALUE $0.01 PER SHARE
1137    BHR.D 11/26/2018 0.64 BRAEMAR HOTELS & RESORTS INC. 8.25% SERIES D CUMULATIVE PREFERRED STOCK PAR VALUE $0.01 PER SHARE
1138    BHRB 5/24/2007 1.24 BURKE & HERBERT FINANCIAL SERVICES CORP. COMMON STOCK Major Banks Finance
1139    BHST 11/12/2024 0.04 BIOHARVEST SCIENCES INC. COMMON STOCK
1140    BHV 6/26/2006 1.25 BLACKROCK VIRGINIA MUNICIPAL BOND TRUST Finance/Investors Services Finance
1141    BHVN 5/4/2017 27 BIOHAVEN LTD. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
1142    BHYB 10/30/2023 0.01 DBX ETF TRUST XTRACKERS USD HIGH YIELD BB-B EX FINANCIALS ETF Exchange Traded Fund Financial
1143    BIAF 9/1/2022 1.9 BIOAFFINITY TECHNOLOGIES INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
1144    BIAFW 9/1/2022 0.17 BIOAFFINITY TECHNOLOGIES INC. WARRANT Biotechnology: Commercial Physical & Biological Resarch Health Care
1145    BIB 4/9/2010 25 PROSHARES ULTRA NASDAQ BIOTECHNOLOGY Exchange Traded Fund Financial
1146    BIBL 10/31/2017 2.77 INSPIRE 100 ETF Exchange Traded Fund Financial
1147    BIDD 11/18/2024 0.41 ISHARES INTERNATIONAL DIVIDEND ACTIVE ETF Exchange Traded Fund Financial
1148    BIDU 8/5/2005 106 BAIDU INC. ADS Computer Software: Programming Data Processing Technology
1149    BIGC 8/5/2020 18 BIGCOMMERCE HOLDINGS INC. SERIES 1 COMMON STOCK Computer Software: Prepackaged Software Technology
1150    BIGY 11/21/2024 0.05 TIDAL TRUST II YIELDMAX TARGET 12 BIG 50 OPTION INCOME ETF Exchange Traded Fund Financial
1151    BIGZ 3/26/2021 14
1152    BIIB 1/2/1998 120 BIOGEN INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1153    BIL 5/30/2007 49 SPDR BLOOMBERG 1-3 MONTH T-BILL ETF Exchange Traded Fund Financial
1154    BILD 11/29/2023 0.01 MACQUARIE ETF TRUST MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF Exchange Traded Fund Financial
1155    BILI 3/28/2018 40 BILIBILI INC. AMERICAN DEPOSITARY SHARES EDP Services Technology
1156    BILL 12/12/2019 24 BILL HOLDINGS INC. COMMON STOCK EDP Services Technology
1157    BILS 10/7/2020 5.63 SPDR BLOOMBERG 3-12 MONTH T-BILL ETF Exchange Traded Fund Financial
1158    BILZ 6/27/2023 0.64 PIMCO U.S. TREASURY INDEX FUND PIMCO ULTRA SHORT GOVERNMENT AC Exchange Traded Fund Financial
1159    BIMI 8/26/2009 11
1160    BINC 5/23/2023 4.51 ISHARES FLEXIBLE INCOME ACTIVE ETF Exchange Traded Fund Financial
1161    BINV 10/9/2023 0.18 BRANDES INTERNATIONAL ETF Exchange Traded Fund Financial
1162    BIO 5/10/2002 45 BIO-RAD LABORATORIES INC. CLASS A COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
1163    BIO.B 8/20/2001 0.22 BIO-RAD LABORATORIES INC.
1164    BIOA 5/10/2013 6.69 BIOAGE LABS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1165    BIOF 6/20/2007 11
1166    BIOX 3/15/2019 4.52 BIOCERES CROP SOLUTIONS CORP. ORDINARY SHARES Agricultural Chemicals Industrials
1167    BIP 1/31/2008 50 BROOKFIELD INFRASTRUCTURE PARTNERS LP LIMITED PARTNERSHIP UNITS Marine Transportation Consumer Discretionary
1168    BIP.A 9/25/2020 0.76 BROOKFIELD INFRASTRUCTURE PARTNERS LP 5.125% CLASS A PREFERRED LIMITED PARTNERSHIP UNITS SERIES 13
1169    BIP.B 1/26/2021 1.05 BROOKFIELD INFRASTRUCTURE PARTNERS LP 5.000% CLASS A PREFERRED LIMITED PARTNERSHIP UNITS SERIES 14
1170    BIPC 3/31/2020 15 BROOKFIELD INFRASTRUCTURE CORPORATION BROOKFIELD INFRASTRUCTURE CORPORATION Marine Transportation Consumer Discretionary
1171    BIPH 5/26/2021 1.11 BROOKFIELD INFRASTRUCTURE CORPORATION 5.000% SUBORDINATED NOTES DUE 2081 Oil & Gas Production Utilities
1172    BIPI 1/26/2022 1.12 BIP BERMUDA HOLDINGS I LIMITED 5.125% PERPETUAL SUBORDINATED NOTES Marine Transportation Consumer Discretionary
1173    BIPJ 6/5/2024 0.27 BROOKFIELD INFRASTRUCTURE CORPORATION 7.250% SUBORDINATED NOTES DUE 2084 Oil & Gas Production Utilities
1174    BIRD 11/3/2021 11 ALLBIRDS INC. CLASS A COMMON STOCK Apparel Consumer Discretionary
1175    BIRK 10/11/2023 5.22 BIRKENSTOCK HOLDING PLC ORDINARY SHARES Shoe Manufacturing Consumer Discretionary
1176    BIS 4/9/2010 16 PROSHARES ULTRASHORT NASDAQ BIOTECHNOLOGY Exchange Traded Fund Financial
1177    BIT 2/26/2013 19 BLACKROCK MULTI-SECTOR INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1178    BITB 1/11/2024 5.65 BITWISE BITCOIN ETF COMMON SHARES OF BENEFICIAL INTEREST Exchange Traded Fund Financial
1179    BITC 3/21/2023 0.31 BITWISE TRENDWISE BITCOIN AND TREASURIES ROTATION STRATEGY ETF Exchange Traded Fund Financial
1180    BITF 6/21/2021 20 BITFARMS LTD. COMMON STOCK Finance: Consumer Services Finance
1181    BITI 6/21/2022 15 PROSHARES SHORT BITCOIN ETF Exchange Traded Fund Financial
1182    BITO 10/20/2021 26 PROSHARES BITCOIN ETF Exchange Traded Fund Financial
1183    BITQ 5/12/2021 6.05 BITWISE CRYPTO INDUSTRY INNOVATORS ETF Exchange Traded Fund Financial
1184    BITS 11/16/2021 0.53 GLOBAL X BLOCKCHAIN & BITCOIN STRATEGY ETF Exchange Traded Fund Financial
1185    BITU 4/2/2024 6.53 PROSHARES TRUST PROSHARES ULTRA BITCOIN ETF Exchange Traded Fund Financial
1186    BITX 6/27/2023 12 VOLATILITY SHARES TRUST 2X BITCOIN STRATEGY ETF Exchange Traded Fund Financial
1187    BIV 4/10/2007 55 VANGUARD INTERMEDIATE-TERM BOND ETF Exchange Traded Fund Financial
1188    BIVI 9/18/2020 7.44 BIOVIE INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1189    BIZD 2/12/2013 16 VANECK BDC INCOME ETF Exchange Traded Fund Financial
1190    BJ 1/2/1998 74 BJ'S WHOLESALE CLUB HOLDINGS INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
1191    BJAN 1/2/2019 1.43 INNOVATOR U.S. EQUITY BUFFER ETF - JANUARY Exchange Traded Fund Financial
1192    BJDX 11/10/2021 4.64 BLUEJAY DIAGNOSTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
1193    BJK 1/24/2008 4.51 VANECK GAMING ETF Exchange Traded Fund Financial
1194    BJRI 8/16/2004 59 BJ'S RESTAURANTS INC. COMMON STOCK Restaurants Consumer Discretionary
1195    BJUL 8/29/2018 1.39 INNOVATOR U.S. EQUITY BUFFER ETF - JULY Exchange Traded Fund Financial
1196    BJUN 6/3/2019 0.66 INNOVATOR U.S. EQUITY BUFFER ETF - JUNE Exchange Traded Fund Financial
1197    BK 1/2/1998 131 THE BANK OF NEW YORK MELLON CORPORATION COMMON STOCK Major Banks Finance
1198    BKAG 4/24/2020 2.37 BNY MELLON CORE BOND ETF Exchange Traded Fund Financial
1199    BKCH 7/14/2021 4.27 GLOBAL X BLOCKCHAIN ETF Exchange Traded Fund Financial
1200    BKCI 12/8/2021 0.29 BNY MELLON ETF TRUST BNY MELLON CONCENTRATED INTERNATIONAL ETF Exchange Traded Fund Financial
1201    BKD 11/22/2005 73 BROOKDALE SENIOR LIVING INC. COMMON STOCK Hospital/Nursing Management Health Care
1202    BKDT 11/25/2022 0.04 BROOKDALE SENIOR LIVING INC. 7.00% TANGIBLE EQUITY UNITS Hospital/Nursing Management Health Care
1203    BKDV 11/5/2024 0.05 BNY MELLON ETF TRUST II BNY MELLON DYNAMIC VALUE ETF Exchange Traded Fund Financial
1204    BKE 1/2/1998 76 BUCKLE INC. (THE) COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
1205    BKEM 4/24/2020 0.29 BNY MELLON EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
1206    BKF 11/20/2007 15 ISHARES MSCI BIC ETF Exchange Traded Fund Financial
1207    BKGI 12/2/2022 0.1 BNY MELLON ETF TRUST BNY MELLON GLOBAL INFRASTRUCTURE INCOME E Exchange Traded Fund Financial
1208    BKH 1/2/1998 80 BLACK HILLS CORPORATION COMMON STOCK Electric Utilities: Central Utilities
1209    BKHA 5/13/2024 0.02 BLACK HAWK ACQUISITION CORPORATION CLASS A ORDINARY SHARES
1210    BKHAR 5/13/2024 0.02 BLACK HAWK ACQUISITION CORPORATION RIGHTS
1211    BKHAU 3/21/2024 0.02
1212    BKHY 4/24/2020 1.44 BNY MELLON HIGH YIELD ETF Exchange Traded Fund Financial
1213    BKIE 4/24/2020 1.13 BNY MELLON INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
1214    BKIV 5/17/2023 0.03 BNY MELLON INNOVATORS ETF Exchange Traded Fund Financial
1215    BKKT 10/18/2021 13 BAKKT HOLDINGS INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
1216    BKLC 4/14/2020 2.31 BNY MELLON US LARGE CAP CORE EQUITY ETF Exchange Traded Fund Financial
1217    BKLN 3/3/2011 62 INVESCO SENIOR LOAN ETF Exchange Traded Fund Financial
1218    BKMC 4/14/2020 0.48 BNY MELLON US MID CAP CORE EQUITY ETF Exchange Traded Fund Financial
1219    BKN 1/2/1998 12 BLACKROCK INVESTMENT QUALITY MUNICIPAL TRUST INC. (THE) Trusts Except Educational Religious and Charitable Finance
1220    BKNG 4/30/2007 72 BOOKING HOLDINGS INC. COMMON STOCK Transportation Services Consumer Discretionary
1221    BKR 7/5/2017 38 BAKER HUGHES COMPANY CLASS A COMMON STOCK Metal Fabrications Industrials
1222    BKSC 3/8/2006 1.48
1223    BKSE 4/13/2020 0.37 BNY MELLON US SMALL CAP CORE EQUITY ETF Exchange Traded Fund Financial
1224    BKSY 12/20/2019 14 BLACKSKY TECHNOLOGY INC. CLASS A COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
1225    BKT 1/2/1998 29 BLACKROCK INCOME TRUST INC. (THE) Investment Bankers/Brokers/Service Finance
1226    BKTI 4/26/2007 6.11 BK TECHNOLOGIES CORPORATION COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
1227    BKU 1/28/2011 55 BANKUNITED INC. COMMON STOCK Savings Institutions Finance
1228    BKUI 10/19/2021 0.26 BNY MELLON ULTRA SHORT INCOME ETF Exchange Traded Fund Financial
1229    BKV 9/26/2024 1.19 BKV CORPORATION COMMON STOCK Oil & Gas Production Energy
1230    BKWO 5/17/2023 0.03 BNY MELLON WOMEN'S OPPORTUNITIES ETF Exchange Traded Fund Financial
1231    BKYI 12/11/2006 9.05 BIO-KEY INTERNATIONAL INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1232    BL 10/28/2016 26 BLACKLINE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1233    BLAC 3/17/2023 0.09
1234    BLACR 3/17/2023 0.08
1235    BLACU 2/10/2023 0.05
1236    BLACW 3/17/2023 0.03
1237    BLBD 3/20/2014 16 BLUE BIRD CORPORATION COMMON STOCK Construction/Ag Equipment/Trucks Consumer Discretionary
1238    BLBX 6/17/2020 2.18 BLACKBOXSTOCKS INC. COMMON STOCK EDP Services Technology
1239    BLCN 1/17/2018 4.66 SIREN NASDAQ NEXGEN ECONOMY ETF Exchange Traded Fund Financial
1240    BLCO 5/6/2022 7.97 BAUSCH + LOMB CORPORATION COMMON SHARES Ophthalmic Goods Health Care
1241    BLCR 10/26/2023 0.03 ISHARES LARGE CAP CORE ACTIVE ETF Exchange Traded Fund Financial
1242    BLCV 5/23/2023 0.07 ISHARES LARGE CAP VALUE ACTIVE ETF Exchange Traded Fund Financial
1243    BLD 6/17/2015 26 TOPBUILD CORP. COMMON STOCK Engineering & Construction Consumer Discretionary
1244    BLDE 11/5/2019 14 BLADE AIR MOBILITY INC. CLASS A COMMON STOCK Transportation Services Consumer Discretionary
1245    BLDEW 1/3/2020 1.19 BLADE AIR MOBILITY INC. WARRANTS Transportation Services Consumer Discretionary
1246    BLDG 9/24/2020 0.26 CAMBRIA GLOBAL REAL ESTATE ETF Exchange Traded Fund Financial
1247    BLDP 3/31/1999 79 BALLARD POWER SYSTEMS INC. COMMON SHARES Industrial Machinery/Components Energy
1248    BLDR 6/28/2005 63 BUILDERS FIRSTSOURCE INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
1249    BLE 7/30/2002 18 BLACKROCK MUNICIPAL INCOME TRUST II Finance/Investors Services Finance
1250    BLES 2/28/2017 1.64 INSPIRE GLOBAL HOPE ETF Exchange Traded Fund Financial
1251    BLFS 5/16/2007 19 BIOLIFE SOLUTIONS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1252    BLFY 7/16/2021 3.54 BLUE FOUNDRY BANCORP COMMON STOCK Banks Finance
1253    BLIN 8/4/2009 9.37 BRIDGELINE DIGITAL INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1254    BLK 10/1/1999 86 BLACKROCK INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
1255    BLKB 7/26/2004 53 BLACKBAUD INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1256    BLLD 9/8/2022 0.05 JPMORGAN SUSTAINABLE INFRASTRUCTURE ETF Exchange Traded Fund Financial
1257    BLMN 8/8/2012 58 BLOOMIN' BRANDS INC. COMMON STOCK Restaurants Consumer Discretionary
1258    BLMZ 7/24/2024 1.07 BLOOMZ INC. ORDINARY SHARES Movies/Entertainment Consumer Discretionary
1259    BLND 4/26/2012 14 BLEND LABS INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
1260    BLNE 1/3/2017 4.51 EASTSIDE DISTILLING INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
1261    BLNK 2/14/2018 29 BLINK CHARGING CO. COMMON STOCK Industrial Specialties Consumer Discretionary
1262    BLOK 1/25/2018 16 AMPLIFY TRANSFORMATIONAL DATA SHARING ETF Exchange Traded Fund Financial
1263    BLRX 7/27/2011 18 BIOLINERX LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1264    BLTE 4/29/2022 1.88 BELITE BIO INC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1265    BLUE 6/19/2013 49 BLUEBIRD BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1266    BLV 4/10/2007 32 VANGUARD LONG-TERM BOND ETF Exchange Traded Fund Financial
1267    BLW 7/29/2003 29 BLACKROCK LIMITED DURATION INCOME TRUST Other Consumer Services Consumer Discretionary
1268    BLX 1/2/1998 45 BANCO LATINOAMERICANO DE COMERCIO EXTERIOR S.A. Commercial Banks Finance
1269    BLZE 6/26/2007 5.91 BACKBLAZE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
1270    BMA 3/27/2006 46 BANCO MACRO S.A. ADR (REPRESENTING TEN CLASS B COMMON SHARES) Commercial Banks Finance
1271    BMAR 3/2/2020 0.69 INNOVATOR U.S. EQUITY BUFFER ETF - MARCH Exchange Traded Fund Financial
1272    BMAY 5/1/2020 0.67 INNOVATOR U.S. EQUITY BUFFER ETF - MAY Exchange Traded Fund Financial
1273    BMBL 2/11/2021 18 BUMBLE INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
1274    BMDL 6/21/2024 0.01 VICTORYSHARES WESTEND ECONOMIC CYCLE BOND ETF Exchange Traded Fund Financial
1275    BME 3/29/2005 12 BLACKROCK HEALTH SCIENCES TRUST Trusts Except Educational Religious and Charitable Finance
1276    BMEA 4/16/2021 8.85 BIOMEA FUSION INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1277    BMED 10/2/2020 0.15 ISHARES HEALTH INNOVATION ACTIVE ETF Exchange Traded Fund Financial
1278    BMEZ 1/29/2020 14 BLACKROCK HEALTH SCIENCES TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1279    BMGL 2/25/2025 0.04 BASEL MEDICAL GROUP LTD ORDINARY SHARES
1280    BMI 1/2/1998 39 BADGER METER INC. COMMON STOCK Industrial Machinery/Components Industrials
1281    BML.G 1/2/2009 3.17 BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES 1)
1282    BML.H 1/2/2009 5.99 BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES 2)
1283    BML.J 1/2/2009 4.76 BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES 4)
1284    BML.L 1/2/2009 7.88 BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES 5)
1285    BMN 10/27/2022 0.76 BLACKROCK 2037 MUNICIPAL TARGET TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1286    BMO 1/2/1998 82 BANK OF MONTREAL COMMON STOCK Commercial Banks Finance
1287    BMR 8/9/2004 49 BEAMR IMAGING LTD. ORDINARY SHARE Computer Software: Prepackaged Software Technology
1288    BMRA 5/17/2007 6.89 BIOMERICA INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
1289    BMRC 2/5/2004 9.49 BANK OF MARIN BANCORP COMMON STOCK Major Banks Finance
1290    BMRN 7/26/1999 91 BIOMARIN PHARMACEUTICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1291    BMVP 4/26/2007 4.24 INVESCO BLOOMBERG MVP MULTI-FACTOR ETF Exchange Traded Fund Financial
1292    BMY 1/2/1998 139 BRISTOL-MYERS SQUIBB COMPANY COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1293    BN 5/1/2007 83 BROOKFIELD CORPORATION CLASS A LIMITED VOTING SHARES Building operators Real Estate
1294    BNAI 4/28/2021 2.01 BRAND ENGAGEMENT NETWORK INC. COMMON STOCK EDP Services Technology
1295    BNAIW 4/23/2021 0.32 BRAND ENGAGEMENT NETWORK INC. WARRANT EDP Services Technology
1296    BND 4/10/2007 74 VANGUARD TOTAL BOND MARKET ETF Exchange Traded Fund Financial
1297    BNDC 12/13/2016 1.11 FLEXSHARES CORE SELECT BOND FUND Exchange Traded Fund Financial
1298    BNDD 9/21/2021 2.68 QUADRATIC DEFLATION ETF Exchange Traded Fund Financial
1299    BNDI 1/20/2023 0.12 NEOS ETF TRUST NEOS ENHANCED INCOME AGGREGATE BOND ETF Exchange Traded Fund Financial
1300    BNDS 1/15/2025 0.04
1301    BNDW 9/6/2018 3.8 VANGUARD TOTAL WORLD BOND ETF Exchange Traded Fund Financial
1302    BNDX 6/4/2013 46 VANGUARD TOTAL INTERNATIONAL BOND ETF Exchange Traded Fund Financial
1303    BNED 7/23/2015 25 BARNES & NOBLE EDUCATION INC COMMON STOCK Other Specialty Stores Consumer Discretionary
1304    BNGE 2/4/2022 0.06 FIRST TRUST S-NETWORK STREAMING AND GAMING ETF Exchange Traded Fund Financial
1305    BNGO 9/21/2018 28 BIONANO GENOMICS INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
1306    BNH 11/2/2020 2.2 BROOKFIELD FINANCE INC. 4.625% SUBORDINATED NOTES DUE OCTOBER 16 2080 Building operators Real Estate
1307    BNIX 10/28/2021 0.07
1308    BNIXR 10/28/2021 0.1
1309    BNIXW 10/28/2021 0.11 BANNIX ACQUISITION CORP. WARRANT Blank Checks Finance
1310    BNJ 7/27/2001 5.57 BROOKFIELD FINANCE INC. 4.50% PERPETUAL SUBORDINATED NOTES Building operators Real Estate
1311    BNKD 4/4/2019 4.3 BANK OF MONTREAL MICROSECTORS U.S. BIG BANKS -3 INVERSE LEVE Exchange Traded Fund Financial
1312    BNKL 3/5/2015 0.22
1313    BNKU 4/3/2019 11 BANK OF MONTREAL MICROSECTORS U.S. BIG BANKS 3 LEVERAGED ETN Exchange Traded Fund Financial
1314    BNL 9/17/2020 18 BROADSTONE NET LEASE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1315    BNO 6/2/2010 30 UNITED STATES BRENT OIL FUND LP ETV Exchange Traded Fund Financial
1316    BNOV 11/1/2019 0.69 INNOVATOR U.S. EQUITY BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
1317    BNR 6/12/2020 6.67 BURNING ROCK BIOTECH LIMITED AMERICAN DEPOSITARY SHARES Medical Specialities Health Care
1318    BNRG 5/25/2022 2.05 BRENMILLER ENERGY LTD ORDINARY SHARES Building Products Industrials
1319    BNS 6/7/2002 82 BANK NOVA SCOTIA HALIFAX PFD 3 ORDINARY SHARES Major Banks Finance
1320    BNT 9/6/2024 0.12 BROOKFIELD WEALTH SOLUTIONS LTD. CLASS A EXCHANGEABLE LIMITED VOTING SHARES Property-Casualty Insurers Finance
1321    BNTC 8/18/2015 5.58 BENITEC BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1322    BNTX 10/10/2019 24 BIONTECH SE AMERICAN DEPOSITARY SHARE Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1323    BNY 7/27/2001 9.77 BLACKROCK NEW YORK MUNICIPAL INCOME TRUST Trusts Except Educational Religious and Charitable Finance
1324    BNZI 2/12/2021 3.33 BANZAI INTERNATIONAL INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
1325    BNZIW 2/12/2021 0.32 BANZAI INTERNATIONAL INC. WARRANT Computer Software: Prepackaged Software Technology
1326    BOAT 8/4/2021 1.19 SONICSHARES GLOBAL SHIPPING ETF Exchange Traded Fund Financial
1327    BOC 9/6/2016 10 BOSTON OMAHA CORPORATION CLASS A COMMON STOCK Real Estate Finance
1328    BOCT 10/1/2018 1.16 INNOVATOR U.S. EQUITY BUFFER ETF - OCTOBER Exchange Traded Fund Financial
1329    BODI 6/28/2021 8.07 THE BEACHBODY COMPANY INC. CLASS A COMMON STOCK Other Consumer Services Consumer Discretionary
1330    BOE 5/26/2005 37 BLACKROCK ENHANCED GLOBAL DIVIDEND TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1331    BOF 6/16/2023 1.57 BRANCHOUT FOOD INC. COMMON STOCK Packaged Foods Consumer Staples
1332    BOH 1/2/1998 79 BANK OF HAWAII CORPORATION COMMON STOCK Major Banks Finance
1333    BOH.A 6/18/2021 1.12 BANK OF HAWAII CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 4.375% FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A
1334    BOH.B 6/26/2024 0.34 BANK OF HAWAII CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 8.000% FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B
1335    BOIL 10/6/2011 48 PROSHARES ULTRA BLOOMBERG NATURAL GAS Exchange Traded Fund Financial
1336    BOKF 1/2/1998 43 BOK FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
1337    BOLD 7/20/2016 8.74 BOUNDLESS BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1338    BOLT 1/15/2008 13 BOLT BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1339    BON 6/24/2021 2.16 BON NATURAL LIFE LIMITED CLASS A ORDINARY SHARES Medicinal Chemicals and Botanical Products Health Care
1340    BOND 3/1/2012 29 PIMCO ACTIVE BOND EXCHANGE-TRADED FUND EXCHANGE-TRADED FUND Exchange Traded Fund Financial
1341    BOOM 1/5/1998 44 DMC GLOBAL INC. COMMON STOCK Industrial Specialties Industrials
1342    BOOT 1/2/1998 38 BOOT BARN HOLDINGS INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
1343    BORR 7/31/2019 22 BORR DRILLING LIMITED COMMON SHARES Oil & Gas Production Energy
1344    BOSC 8/2/1999 5.58 B.O.S. BETTER ONLINE SOLUTIONS COMMON STOCK Computer Communications Equipment Telecommunications
1345    BOTJ 1/25/2012 0.89 BANK OF THE JAMES FINANCIAL GROUP INC. COMMON STOCK Major Banks Finance
1346    BOTT 4/22/2024 0.02 THEMES ROBOTICS & AUTOMATION ETF Exchange Traded Fund Financial
1347    BOTZ 9/13/2016 33 GLOBAL X ROBOTICS & ARTIFICIAL INTELLIGENCE ETF Exchange Traded Fund Financial
1348    BOUT 9/13/2018 0.97 INNOVATOR IBD BREAKOUT OPPORTUNITIES ETF Exchange Traded Fund Financial
1349    BOW 5/23/2024 1.21 BOWHEAD SPECIALTY HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
1350    BOWN 8/17/2023 0.11 BOWEN ACQUISITION CORP ORDINARY SHARES
1351    BOWNR 8/17/2023 0.07 BOWEN ACQUISITION CORP RIGHTS
1352    BOWNU 7/12/2023 0.06 BOWEN ACQUISITION CORP UNIT
1353    BOX 10/29/2010 48 BOX INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
1354    BOXL 11/30/2017 14 BOXLIGHT CORPORATION CLASS A COMMON STOCK Other Consumer Services Real Estate
1355    BOXX 12/28/2022 3.97 EA SERIES TRUST ALPHA ARCHITECT 1-3 MONTH BOX ETF Exchange Traded Fund Financial
1356    BP 8/1/2000 142 BP P.L.C. COMMON STOCK Integrated oil Companies Energy
1357    BPAY 8/18/2022 0.02 ISHARES FINTECH ACTIVE ETF Exchange Traded Fund Financial
1358    BPMC 6/9/2015 30 BLUEPRINT MEDICINES CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1359    BPOP 1/2/1998 92 POPULAR INC. COMMON STOCK Major Banks Finance
1360    BPOPM 11/19/2008 1.08 POPULAR INC. POPULAR CAPITAL TRUST II - 6.125% CUMULATIVE MONTHLY INCOME TRUST PREFERRED SECURITIES Major Banks Finance
1361    BPRN 5/31/2017 1.64 PRINCETON BANCORP INC. COMMON STOCK (PA) Major Banks Finance
1362    BPT 1/2/1998 55 BP PRUDHOE BAY ROYALTY TRUST COMMON STOCK Integrated oil Companies Energy
1363    BPTH 4/28/2008 14
1364    BPYPM 7/27/2021 1.82 BROOKFIELD PROPERTY PARTNERS L.P. 6.25% CLASS A CUMULATIVE REDEEMABLE PREFERRED UNITS SERIES 1 Real Estate Finance
1365    BPYPN 2/19/2020 1.59 BROOKFIELD PROPERTY PARTNERS L.P. 5.750% CLASS A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS SERIES 3 Real Estate Finance
1366    BPYPO 8/21/2019 2.18 BROOKFIELD PROPERTY PARTNERS L.P. 6.375% CLASS A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS SERIES 2 Real Estate Finance
1367    BPYPP 3/22/2019 2.19 BROOKFIELD PROPERTY PARTNERS L.P. 6.50% CLASS A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS Real Estate Finance
1368    BQ 9/30/2020 4.92 BOQII HOLDING LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE HUNDRED FIFTY (150) CLASS A ORDINARY SHARES) Other Specialty Stores Consumer Discretionary
1369    BR 4/2/2007 75 BROADRIDGE FINANCIAL SOLUTIONS INC. COMMON STOCK Business Services Consumer Discretionary
1370    BRAG 8/27/2021 1.42 BRAGG GAMING GROUP INC. COMMON SHARES Office Equipment/Supplies/Services Technology
1371    BRAZ 3/13/2024 0.02 GLOBAL X FUNDS GLOBAL X BRAZIL ACTIVE ETF Exchange Traded Fund Financial
1372    BRBR 10/17/2019 18 BELLRING BRANDS INC. COMMON STOCK Packaged Foods Consumer Staples
1373    BRBS 2/16/2016 3.68 BLUE RIDGE BANKSHARES INC. COMMON STOCK Major Banks Finance
1374    BRC 5/18/1999 62 BRADY CORPORATION COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
1375    BRCC 5/3/2021 11 BRC INC. CLASS A COMMON STOCK Beverages (Production/Distribution) Consumer Staples
1376    BRDG 7/16/2021 7.23 BRIDGE INVESTMENT GROUP HOLDINGS INC. CLASS A COMMON STOCK Investment Managers Finance
1377    BREA 1/27/2023 1.49 BRERA HOLDINGS PLC CLASS B ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
1378    BRF 5/14/2009 17 VANECK BRAZIL SMALL-CAP ETF Exchange Traded Fund Financial
1379    BRFH 1/20/2022 0.56 BARFRESH FOOD GROUP INC. COMMON STOCK Packaged Foods Consumer Staples
1380    BRFS 12/10/2009 63 BRF S.A. Meat/Poultry/Fish Consumer Staples
1381    BRHY 6/18/2024 0.03 ISHARES HIGH YIELD ACTIVE ETF Exchange Traded Fund Financial
1382    BRIA 11/27/2024 0.08 BRILLIA INC CLASS A ORDINARY SHARES Apparel Consumer Discretionary
1383    BRID 10/12/2006 1.32 BRIDGFORD FOODS CORPORATION COMMON STOCK Specialty Foods Consumer Staples
1384    BRK.A 1/2/1998 50 BERKSHIRE HATHAWAY INC.
1385    BRK.B 1/2/1998 103 BERKSHIRE HATHAWAY INC.
1386    BRKL 3/25/1998 70 BROOKLINE BANCORP INC. COMMON STOCK Savings Institutions Finance
1387    BRKR 7/2/2003 80 BRUKER CORPORATION COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
1388    BRLN 10/6/2022 0.27 ISHARES FLOATING RATE LOAN ACTIVE ETF Exchange Traded Fund Financial
1389    BRLS 10/6/2021 0.24 BOREALIS FOODS INC. CLASS A COMMON SHARES Packaged Foods Consumer Staples
1390    BRLSW 10/6/2021 0.52 BOREALIS FOODS INC. WARRANT Packaged Foods Consumer Staples
1391    BRLT 9/23/2021 4.29 BRILLIANT EARTH GROUP INC. CLASS A COMMON STOCK Consumer Specialties Consumer Discretionary
1392    BRN 1/12/2004 7.02 BARNWELL INDUSTRIES INC. COMMON STOCK Oil & Gas Production Energy
1393    BRNS 4/30/2021 1.63 BARINTHUS BIOTHERAPEUTICS PLC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1394    BRNY 10/14/2022 0.24 BURNEY U.S. FACTOR ROTATION ETF Exchange Traded Fund Financial
1395    BRO 4/29/1999 98 BROWN & BROWN INC. COMMON STOCK Specialty Insurers Finance
1396    BROG 12/17/2007 1.29 BROOGE ENERGY LIMITED ORDINARY SHARES Integrated oil Companies Energy
1397    BROS 9/15/2021 16 DUTCH BROS INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
1398    BRRR 1/11/2024 2.79 COINSHARES VALKYRIE BITCOIN FUND Exchange Traded Fund Financial
1399    BRSP 2/1/2018 23 BRIGHTSPIRE CAPITAL INC. CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
1400    BRT 1/2/1998 12 BRT APARTMENTS CORP. (MD) COMMON STOCK Real Estate Investment Trusts Real Estate
1401    BRTR 12/14/2023 0.24 ISHARES TOTAL RETURN ACTIVE ETF Exchange Traded Fund Financial
1402    BRTX 11/5/2021 1.99 BIORESTORATIVE THERAPIES INC. COMMON STOCK (NV) Managed Health Care Health Care
1403    BRW 5/3/2007 42 SABA CAPITAL INCOME & OPPORTUNITIES FUND SBI Trusts Except Educational Religious and Charitable Finance
1404    BRX 10/30/2013 54 BRIXMOR PROPERTY GROUP INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1405    BRY 7/18/2018 23 BERRY CORPORATION (BRY) COMMON STOCK Oil & Gas Production Energy
1406    BRZE 11/17/2021 12 BRAZE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
1407    BRZU 4/10/2013 31 DIREXION DAILY BRAZIL BULL 2X SHARES Exchange Traded Fund Financial
1408    BSAC 4/27/2007 53 BANCO SANTANDER - CHILE ADS Commercial Banks Finance
1409    BSBK 1/16/2020 0.77 BOGOTA FINANCIAL CORP. COMMON STOCK Banks Finance
1410    BSBR 10/7/2009 65 BANCO SANTANDER BRASIL SA AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE UNIT Commercial Banks Finance
1411    BSCP 10/9/2015 14 INVESCO BULLETSHARES 2025 CORPORATE BOND ETF Exchange Traded Fund Financial
1412    BSCQ 9/22/2016 11 INVESCO BULLETSHARES 2026 CORPORATE BOND ETF Exchange Traded Fund Financial
1413    BSCR 9/27/2017 9.06 INVESCO BULLETSHARES 2027 CORPORATE BOND ETF Exchange Traded Fund Financial
1414    BSCS 8/9/2018 7.06 INVESCO BULLETSHARES 2028 CORPORATE BOND ETF Exchange Traded Fund Financial
1415    BSCT 9/13/2019 5.72 INVESCO BULLETSHARES 2029 CORPORATE BOND ETF Exchange Traded Fund Financial
1416    BSCU 9/18/2020 4.36 INVESCO BULLETSHARES 2030 CORPORATE BOND ETF Exchange Traded Fund Financial
1417    BSCV 9/16/2021 2.95 INVESCO BULLETSHARES 2031 CORPORATE BOND ETF Exchange Traded Fund Financial
1418    BSCW 9/9/2022 1.96 INVESCO BULLETSHARES 2032 CORPORATE BOND ETF Exchange Traded Fund Financial
1419    BSCX 9/21/2023 1.25 INVESCO BULLETSHARES 2033 CORPORATE BOND ETF Exchange Traded Fund Financial
1420    BSCY 6/12/2024 0.37 INVESCO BULLETSHARES 2034 CORPORATE BOND ETF Exchange Traded Fund Financial
1421    BSEP 9/3/2019 0.97 INNOVATOR U.S. EQUITY BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
1422    BSET 1/2/1998 21 BASSETT FURNITURE INDUSTRIES INCORPORATED COMMON STOCK Home Furnishings Consumer Discretionary
1423    BSFC 10/19/2020 6.13
1424    BSGM 9/21/2018 9.5 BIOSIG TECHNOLOGIES INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1425    BSII 10/7/2024 0.02 BLACK SPADE ACQUISITION II CO CLASS A ORDINARY SHARE
1426    BSIIU 8/28/2024 0.03
1427    BSIIW 10/8/2024 0.02
1428    BSJP 9/27/2017 7.96 INVESCO BULLETSHARES 2025 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1429    BSJQ 8/9/2018 5.6 INVESCO BULLETSHARES 2026 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1430    BSJR 9/13/2019 2.35 INVESCO BULLETSHARES 2027 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1431    BSJS 9/16/2020 1.69 INVESCO BULLETSHARES 2028 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1432    BSJT 9/15/2021 0.87 INVESCO BULLETSHARES 2029 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1433    BSJU 9/8/2022 0.48 INVESCO BULLETSHARES 2030 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1434    BSJV 9/20/2023 0.13 INVESCO BULLETSHARES 2031 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1435    BSJW 6/12/2024 0.05 INVESCO BULLETSHARES 2032 HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
1436    BSL 5/26/2010 15 BLACKSTONE SENIOR FLOATING RATE 2027 TERM FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1437    BSLK 5/7/2021 1.34 BOLT PROJECTS HOLDINGS INC. COMMON STOCK Major Chemicals Industrials
1438    BSLKW 6/4/2021 0.18
1439    BSM 5/1/2015 24 BLACK STONE MINERALS L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Oil & Gas Production Energy
1440    BSMC 10/9/2023 0.1 BRANDES U.S. SMALL-MID CAP VALUE ETF Exchange Traded Fund Financial
1441    BSMP 8/23/2007 1.29 INVESCO BULLETSHARES 2025 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1442    BSMQ 9/26/2019 1.07 INVESCO BULLETSHARES 2026 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1443    BSMR 9/26/2019 0.93 INVESCO BULLETSHARES 2027 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1444    BSMS 9/26/2019 0.79 INVESCO BULLETSHARES 2028 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1445    BSMT 9/25/2019 0.81 INVESCO BULLETSHARES 2029 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1446    BSMU 10/12/2020 0.68 INVESCO BULLETSHARES 2030 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1447    BSMV 10/27/2021 0.5 INVESCO BULLETSHARES 2031 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1448    BSMW 3/1/2023 0.29 INVESCO BULLETSHARES 2032 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1449    BSMY 9/11/2024 0.04 INVESCO BULLETSHARES 2034 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1450    BSR 4/18/2023 0.02 NORTHERN LIGHTS FUND TRUST II BEACON SELECTIVE RISK ETF Exchange Traded Fund Financial
1451    BSRR 6/10/1999 12 SIERRA BANCORP COMMON STOCK Major Banks Finance
1452    BSSX 9/20/2023 0.17 INVESCO BULLETSHARES 2033 MUNICIPAL BOND ETF Exchange Traded Fund Financial
1453    BST 10/29/2014 17 BLACKROCK SCIENCE AND TECHNOLOGY TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
1454    BSTP 3/8/2022 0.23 INNOVATOR ETFS TRUST INNOVATOR BUFFER STEP-UP STRATEGY ETF Exchange Traded Fund Financial
1455    BSTZ 6/26/2019 14 BLACKROCK SCIENCE AND TECHNOLOGY TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1456    BSV 4/10/2007 68 VANGUARD SHORT-TERM BOND ETF Exchange Traded Fund Financial
1457    BSVN 9/20/2018 1.7 BANK7 CORP. COMMON STOCK Major Banks Finance
1458    BSVO 3/13/2023 1.7 EA BRIDGEWAY OMNI SMALL-CAP VALUE ETF Exchange Traded Fund Financial
1459    BSX 1/2/1998 118 BOSTON SCIENTIFIC CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
1460    BSY 9/23/2020 18 BENTLEY SYSTEMS INCORPORATED CLASS B COMMON STOCK Computer Software: Prepackaged Software Technology
1461    BTA 2/27/2006 12 BLACKROCK LONG-TERM MUNICIPAL ADVANTAGE TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1462    BTAI 3/8/2018 18 BIOXCEL THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1463    BTAL 9/13/2011 8.79 AGF U.S. MARKET NEUTRAL ANTI-BETA FUND Exchange Traded Fund Financial
1464    BTBD 11/12/2021 0.51 BT BRANDS INC. COMMON STOCK Restaurants Consumer Discretionary
1465    BTBDW 11/12/2021 0.1
1466    BTBT 3/20/2018 24 BIT DIGITAL INC. ORDINARY SHARES Finance: Consumer Services Finance
1467    BTC 7/31/2024 3.04 GRAYSCALE BITCOIN MINI TRUST (BTC) COMMON UNITS OF FRACTIONAL Exchange Traded Fund Financial
1468    BTCL 7/10/2024 1.07 T-REX 2X LONG BITCOIN DAILY TARGET ETF Exchange Traded Fund Financial
1469    BTCM 11/22/2013 21 BIT MINING LIMITED ADS EDP Services Technology
1470    BTCO 1/11/2024 2.76 INVESCO GALAXY BITCOIN ETF COMMON SHARES OF BENEFICIAL INTERES Exchange Traded Fund Financial
1471    BTCS 9/14/2021 4.16 BTCS INC. COMMON STOCK Finance: Consumer Services Finance
1472    BTCT 10/5/2018 13 BTC DIGITAL LTD. ORDINARY SHARES Other Consumer Services Real Estate
1473    BTCTW 5/28/2020 0.57 BTC DIGITAL LTD. WARRANT Other Consumer Services Real Estate
1474    BTCW 1/11/2024 2.03 WISDOMTREE BITCOIN FUND COMMON SHARES OF BENEFICIAL INTEREST Exchange Traded Fund Financial
1475    BTCY 2/16/2018 4.08
1476    BTCZ 7/10/2024 1.19 T-REX 2X LONG BITCOIN DAILY TARGET ETF Exchange Traded Fund Financial
1477    BTDR 4/14/2023 6.67 BITDEER TECHNOLOGIES GROUP CLASS A ORDINARY SHARES Finance: Consumer Services Finance
1478    BTE 2/23/2023 9.16 BAYTEX ENERGY CORP COMMON SHARES Oil & Gas Production Energy
1479    BTF 10/22/2021 6.03 COINSHARES VALKYRIE BITCOIN AND ETHER STRATEGY ETF Exchange Traded Fund Financial
1480    BTFX 2/22/2024 0.89 COINSHARES VALKYRIE BITCOIN FUTURES LEVERAGED STRATEGY ETF Exchange Traded Fund Financial
1481    BTG 2/5/2010 56 B2GOLD CORP COMMON SHARES (CANADA) Precious Metals Basic Materials
1482    BTGD 10/16/2024 0.3 STKD 100% BITCOIN & 100% GOLD ETF Exchange Traded Fund Financial
1483    BTI 1/2/1998 82 BRITISH AMERICAN TOBACCO INDUSTRIES P.L.C. COMMON STOCK ADR Medicinal Chemicals and Botanical Products Health Care
1484    BTM 11/19/2001 19 BITCOIN DEPOT INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
1485    BTMD 4/28/2021 2.77 BIOTE CORP. CLASS A COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
1486    BTMWW 4/18/2022 0.55 BITCOIN DEPOT INC. WARRANT Finance: Consumer Services Finance
1487    BTO 1/2/1998 34 JOHN HANCOCK FINANCIAL OPPORTUNITIES FUND COMMON STOCK Investment Managers Finance
1488    BTOC 5/14/2024 0.62 ARMLOGI HOLDING CORP. COMMON STOCK Office Equipment/Supplies/Services Consumer Discretionary
1489    BTOG 8/15/2019 6.45 BIT ORIGIN LIMITED ORDINARY SHARES Finance: Consumer Services Finance
1490    BTOP 10/2/2023 0.1 BITWISE TRENDWISE BTC/ETH AND TREASURIES ROTATION STRATEGY ETF Exchange Traded Fund Financial
1491    BTR 4/23/2024 0.01 NORTHERN LIGHTS FUND TRUST II BEACON TACTICAL RISK ETF Exchange Traded Fund Financial
1492    BTRN 3/22/2024 0.01 GLOBAL X FUNDS GLOBAL X BITCOIN TREND STRATEGY ETF Exchange Traded Fund Financial
1493    BTSG 1/26/2024 4.05 BRIGHTSPRING HEALTH SERVICES INC. COMMON STOCK Medical/Nursing Services Health Care
1494    BTSGU 1/26/2024 0.12 BRIGHTSPRING HEALTH SERVICES INC. TANGIBLE EQUITY UNIT Medical/Nursing Services Health Care
1495    BTT 8/30/2012 19 BLACKROCK MUNICIPAL 2030 TARGET TERM TRUST Investment Managers Finance
1496    BTTR 6/29/2021 3.55 BETTER CHOICE COMPANY INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
1497    BTTX 3/17/2021 4.45
1498    BTU 4/3/2017 38 PEABODY ENERGY CORPORATION COMMON STOCK Coal Mining Energy
1499    BTX 3/26/2021 14 BLACKROCK TECHNOLOGY AND PRIVATE EQUITY TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST
1500    BTZ 12/22/2006 37 BLACKROCK CREDIT ALLOCATION INCOME TRUST Finance Companies Finance
1501    BUCK 10/28/2022 0.78 SIMPLIFY TREASURY OPTION INCOME ETF Exchange Traded Fund Financial
1502    BUD 9/16/2009 69 ANHEUSER-BUSCH INBEV SA SPONSORED ADR (BELGIUM) Beverages (Production/Distribution) Consumer Staples
1503    BUFB 2/9/2022 0.59 INNOVATOR ETFS TRUST INNOVATOR LADDERED ALLOCATION BUFFER ETF Exchange Traded Fund Financial
1504    BUFC 12/13/2023 0.11 AB CONSERVATIVE BUFFER ETF Exchange Traded Fund Financial
1505    BUFD 1/21/2021 3.45 FT VEST LADDERED DEEP BUFFER ETF Exchange Traded Fund Financial
1506    BUFF 7/22/2015 13 INNOVATOR LADDERED ALLOCATION POWER BUFFER ETF Exchange Traded Fund Financial
1507    BUFG 10/27/2021 1.3 FT VEST BUFFERED ALLOCATION GROWTH ETF Exchange Traded Fund Financial
1508    BUFP 6/13/2024 0.04 PGIM LADDERED S&P 500 BUFFER 12 ETF Exchange Traded Fund Financial
1509    BUFR 8/11/2020 8.82 FT VEST LADDERED BUFFER ETF Exchange Traded Fund Financial
1510    BUFS 6/3/2024 0.14 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST LADDERED SMALL C Exchange Traded Fund Financial
1511    BUFT 10/27/2021 0.91 FT VEST BUFFERED ALLOCATION DEFENSIVE ETF Exchange Traded Fund Financial
1512    BUFZ 10/27/2023 0.6 FT VEST LADDERED MODERATE BUFFER ETF Exchange Traded Fund Financial
1513    BUG 11/1/2019 11 GLOBAL X CYBERSECURITY ETF Exchange Traded Fund Financial
1514    BUI 11/23/2011 12 BLACKROCK UTILITY INFRASTRUCTURE & POWER OPPORTUNITIES TRUST Trusts Except Educational Religious and Charitable Finance
1515    BUJA 8/21/2023 0.04 BUKIT JALIL GLOBAL ACQUISITION 1 LTD. ORDINARY SHARES Blank Checks Finance
1516    BUJAR 8/21/2023 0.02 BUKIT JALIL GLOBAL ACQUISITION 1 LTD. RIGHTS Blank Checks Finance
1517    BUJAU 6/28/2023 0.03 BUKIT JALIL GLOBAL ACQUISITION 1 LTD. UNIT Blank Checks Finance
1518    BUJAW 8/21/2023 0.01
1519    BUL 5/6/2019 0.63 PACER US CASH COWS GROWTH ETF Exchange Traded Fund Financial
1520    BULD 5/6/2022 0.05 PACER BLUESTAR ENGINEERING THE FUTURE ETF Exchange Traded Fund Financial
1521    BULZ 8/18/2021 14 MICROSECTORS FANG & INNOVATION 3X LEVERAGED ETN Exchange Traded Fund Financial
1522    BUR 10/19/2020 12 BURFORD CAPITAL LIMITED ORDINARY SHARES Finance: Consumer Services Finance
1523    BURL 10/2/2013 46 BURLINGTON STORES INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
1524    BURU 2/1/2023 5.87 NUBURU INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
1525    BUSA 10/5/2023 0.23 BRANDES U.S. VALUE ETF Exchange Traded Fund Financial
1526    BUSE 10/6/1998 37 FIRST BUSEY CORPORATION CLASS A COMMON STOCK Major Banks Finance
1527    BUXX 8/10/2023 1.14 EA SERIES TRUST STRIVE ENHANCED INCOME SHORT MATURITY ETF Exchange Traded Fund Financial
1528    BUYO 10/9/2024 0.01 KRANESHARES TRUST KRANESHARES MAN BUYOUT BETA INDEX ETF Exchange Traded Fund Financial
1529    BUYW 9/12/2022 1.8 NORTHERN LIGHTS FUND TRUST IV MAIN BUYWRITE ETF Exchange Traded Fund Financial
1530    BUYZ 2/27/2020 0.64 FRANKLIN DISRUPTIVE COMMERCE ETF Exchange Traded Fund Financial
1531    BUZZ 3/4/2021 2.87 VANECK SOCIAL SENTIMENT ETF Exchange Traded Fund Financial
1532    BV 2/24/2012 33 BRIGHTVIEW HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
1533    BVFL 5/16/2007 0.73 BV FINANCIAL INC. COMMON STOCK Savings Institutions Finance
1534    BVN 1/2/1998 91 BUENAVENTURA MINING COMPANY INC. Metal Mining Basic Materials
1535    BVS 2/11/2021 8.03 BIOVENTUS INC. CLASS A COMMON STOCK Medical/Dental Instruments Health Care
1536    BW 7/1/2015 28 BABCOCK & WILCOX ENTERPRISES INC. COMMON STOCK Building Products Industrials
1537    BW.A 5/13/2021 1.48 BABCOCK & WILCOX ENTERPRISES INC. 7.75% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK
1538    BWA 1/2/1998 109 BORGWARNER INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
1539    BWAY 5/16/2007 3.16 BRAINSWAY LTD. AMERICAN DEPOSITARY SHARES Medical/Dental Instruments Health Care
1540    BWB 3/14/2018 5.61 BRIDGEWATER BANCSHARES INC. COMMON STOCK Major Banks Finance
1541    BWBBP 8/18/2021 0.19 BRIDGEWATER BANCSHARES INC. DEPOSITARY SHARES EACH REPRESENTING A 1/100TH INTEREST IN A SHARE OF 5.875% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
1542    BWEB 10/4/2022 0.03 BITWISE FUNDS TRUST BITWISE WEB3 ETF Exchange Traded Fund Financial
1543    BWEN 3/4/2008 24 BROADWIND INC. COMMON STOCK Metal Fabrications Telecommunications
1544    BWET 5/3/2023 0.23 AMPLIFY COMMODITY TRUST BREAKWAVE TANKER SHIPPING ETF Exchange Traded Fund Financial
1545    BWFG 8/20/2012 3.12 BANKWELL FINANCIAL GROUP INC. COMMON STOCK Major Banks Finance
1546    BWG 3/28/2012 13 BRANDYWINEGLOBAL GLOBAL INCOME OPPORTUNITIES FUND INC. Finance/Investors Services Finance
1547    BWIN 10/24/2019 13 THE BALDWIN INSURANCE GROUP INC. CLASS A COMMON STOCK Specialty Insurers Finance
1548    BWLP 4/29/2024 2.32 BW LPG LIMITED COMMON SHARES Transportation Services Consumer Discretionary
1549    BWMN 5/7/2021 2.58 BOWMAN CONSULTING GROUP LTD. COMMON STOCK Professional Services Consumer Discretionary
1550    BWMX 1/29/2019 3.72 BETTERWARE DE MEXICO S.A.P.I. DE C.V. ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
1551    BWNB 12/17/2021 1.03 BABCOCK & WILCOX ENTERPRISES INC. 6.50% SENIOR NOTES DUE 2026 Building Products Industrials
1552    BWSN 2/17/2021 1.62 BABCOCK & WILCOX ENTERPRISES INC. 8.125% SENIOR NOTES DUE 2026 Building Products Industrials
1553    BWTG 11/9/2023 0.03 ETF OPPORTUNITIES TRUST BRENDAN WOOD TOPGUN INDEX ETF Exchange Traded Fund Financial
1554    BWX 10/11/2007 36 SPDR BLOOMBERG INTERNATIONAL TREASURY BOND ETF Exchange Traded Fund Financial
1555    BWXT 8/2/2010 56 BWX TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Industrials
1556    BWZ 1/30/2009 5.69 SPDR BLOOMBERG SHORT TERM INTERNATIONAL TREASURY BOND ETF Exchange Traded Fund Financial
1557    BX 6/22/2007 89 BLACKSTONE INC. COMMON STOCK Investment Managers Finance
1558    BXC 12/14/2004 28 BLUELINX HOLDINGS INC. COMMON STOCK Wholesale Distributors Consumer Discretionary
1559    BXMT 5/2/2007 62 BLACKSTONE MORTGAGE TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1560    BXMX 5/2/2007 31 NUVEEN S&P 500 BUY-WRITE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
1561    BXP 1/2/1998 103 BXP INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1562    BXSL 10/28/2021 12 BLACKSTONE SECURED LENDING FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
1563    BY 6/30/2017 10 BYLINE BANCORP INC. COMMON STOCK Major Banks Finance
1564    BYD 1/2/1998 102 BOYD GAMING CORPORATION COMMON STOCK Hotels/Resorts Consumer Discretionary
1565    BYFC 2/20/2004 5.81 BROADWAY FINANCIAL CORPORATION CLASS A COMMON STOCK Savings Institutions Finance
1566    BYLD 4/24/2014 2.82 ISHARES YIELD OPTIMIZED BOND ETF Exchange Traded Fund Financial
1567    BYM 10/29/2002 17 BLACKROCK MUNICIPAL INCOME QUALITY TRUST COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
1568    BYND 5/2/2019 31 BEYOND MEAT INC. COMMON STOCK Packaged Foods Consumer Staples
1569    BYNO 4/5/2022 0.1
1570    BYNOU 2/9/2022 0.05
1571    BYNOW 4/5/2022 0.05
1572    BYON 4/26/2007 59 BEYOND INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
1573    BYRE 8/16/2022 0.05 PRINCIPAL EXCHANGE-TRADED FUNDS PRINCIPAL REAL ESTATE ACTIVE O Exchange Traded Fund Financial
1574    BYRN 5/5/2021 6.89 BYRNA TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
1575    BYSI 3/9/2017 8.65 BEYONDSPRING INC. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1576    BZ 6/11/2021 16 KANZHUN LIMITED AMERICAN DEPOSITORY SHARES Computer Software: Programming Data Processing Technology
1577    BZAI 1/14/2025 0.48 BLAIZE HOLDINGS INC. COMMON STOCK
1578    BZAIW 1/14/2025 0.1 BLAIZE HOLDINGS INC. WARRANTS
1579    BZFD 3/5/2021 8.08 BUZZFEED INC. CLASS A COMMON STOCK Telecommunications Equipment Consumer Discretionary
1580    BZFDW 3/5/2021 0.75 BUZZFEED INC. WARRANT Telecommunications Equipment Consumer Discretionary
1581    BZH 1/2/1998 87 BEAZER HOMES USA INC. COMMON STOCK Homebuilding Consumer Discretionary
1582    BZQ 6/19/2009 22 PROSHARES ULTRASHORT MSCI BRAZIL CAPPED Exchange Traded Fund Financial
1583    BZUN 5/21/2015 34 BAOZUN INC. AMERICAN DEPOSITARY SHARES Catalog/Specialty Distribution Consumer Discretionary
1584    C 1/2/1998 160 CITIGROUP INC. COMMON STOCK Major Banks Finance
1585    C.N 2/2/2011 8.42 CITIGROUP CAPITAL XIII 7.875% FIXED RATE FLOATING RATE TRUST PREFERRED SECURITIES (TRUPS)
1586    C.PRN 6/8/2015 3.07
1587    C.PRP 5/26/2008 0.46
1588    CA 1/4/2018 3.71 XTRACKERS CALIFORNIA MUNICIPAL BONDS ETF Exchange Traded Fund Financial
1589    CAAA 2/29/2024 0.02 FIRST TRUST EXCHANGE-TRADED FUND IV FIRST TRUST COMMERCIAL MOR Exchange Traded Fund Financial
1590    CAAP 2/1/2018 10 CORPORACION AMERICA AIRPORTS SA COMMON SHARES Aerospace Consumer Discretionary
1591    CAAS 8/24/2004 24 CHINA AUTOMOTIVE SYSTEMS INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
1592    CABA 10/25/2019 12 CABALETTA BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1593    CABO 6/11/2015 7.86 CABLE ONE INC. COMMON STOCK Cable & Other Pay Television Services Telecommunications
1594    CAC 2/4/2002 13 CAMDEN NATIONAL CORPORATION COMMON STOCK Major Banks Finance
1595    CACC 4/26/2006 26 CREDIT ACCEPTANCE CORPORATION COMMON STOCK Finance: Consumer Services Finance
1596    CACI 5/4/2009 39 CACI INTERNATIONAL INC. CLASS A COMMON STOCK EDP Services Technology
1597    CADE 4/13/2017 33 CADENCE BANK COMMON STOCK Major Banks Finance
1598    CADE.A 11/25/2019 1.23 CADENCE BANK 5.50% SERIES A
1599    CADL 7/27/2021 3.97 CANDEL THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1600    CAE 1/2/1998 44 CAE INC. ORDINARY SHARES Industrial Machinery/Components Miscellaneous
1601    CAF 9/28/2006 32 MORGAN STANLEY CHINA A SHARE FUND INC. COMMON STOCK Investment Managers Finance
1602    CAFG 5/2/2023 0.18 PACER US SMALL CAP CASH COWS GROWTH LEADERS ETF Exchange Traded Fund Financial
1603    CAFX 9/10/2024 0.07 PROFESSIONALLY MANAGED PORTFOLIOS CONGRESS INTERMEDIATE BOND E Exchange Traded Fund Financial
1604    CAG 1/2/1998 129 CONAGRA BRANDS INC. COMMON STOCK Packaged Foods Consumer Staples
1605    CAH 1/2/1998 125 CARDINAL HEALTH INC. COMMON STOCK Other Pharmaceuticals Health Care
1606    CAKE 1/2/1998 108 CHEESECAKE FACTORY INCORPORATED (THE) COMMON STOCK Restaurants Consumer Discretionary
1607    CAL 5/4/1999 99 CALERES INC. COMMON STOCK Shoe Manufacturing Consumer Discretionary
1608    CALA 10/2/2014 19
1609    CALC 5/10/2007 6.5 CALCIMEDICA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1610    CALF 6/19/2017 13 PACER US SMALL CAP CASH COWS ETF Exchange Traded Fund Financial
1611    CALI 7/24/2023 0.14 ISHARES SHORT-TERM CALIFORNIA MUNI ACTIVE ETF Exchange Traded Fund Financial
1612    CALM 1/2/1998 66 CAL-MAINE FOODS INC. COMMON STOCK Farming/Seeds/Milling Consumer Staples
1613    CALX 3/24/2010 41 CALIX INC COMMON STOCK Telecommunications Equipment Consumer Discretionary
1614    CAML 3/13/2024 0.18 PROFESSIONALLY MANAGED PORTFOLIOS CONGRESS LARGE CAP GROWTH ET Exchange Traded Fund Financial
1615    CAMP 1/2/1998 54 CAMP4 THERAPEUTICS CORPORATION COMMON STOCK
1616    CAMT 7/28/2000 26 CAMTEK LTD. ORDINARY SHARES Electronic Components Technology
1617    CAMX 2/13/2023 0.02 THE ADVISORS INNER CIRCLE FUND CAMBIAR AGGRESSIVE VALUE ETF Exchange Traded Fund Financial
1618    CAN 11/21/2019 26 CANAAN INC. AMERICAN DEPOSITARY SHARES Semiconductors Technology
1619    CANB 4/29/2011 2.49
1620    CANC 8/15/2023 0.26 TEMA ONCOLOGY ETF Exchange Traded Fund Financial
1621    CANE 9/19/2011 4.48 TEUCRIUM SUGAR FUND ETV Exchange Traded Fund Financial
1622    CANF 2/22/2013 11 CAN-FITE BIOPHARMA LTD SPONSORED ADR (ISRAEL) Biotechnology: Pharmaceutical Preparations Health Care
1623    CANG 7/26/2018 7.03 CANGO INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO (2) CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
1624    CANQ 2/13/2024 0.05 CALAMOS ALTERNATIVE NASDAQ & BOND ETF Exchange Traded Fund Financial
1625    CAOS 3/6/2023 0.21 EA SERIES TRUST ALPHA ARCHITECT TAIL RISK ETF Exchange Traded Fund Financial
1626    CAPE 4/5/2022 1.13 DOUBLELINE ETF TRUST DOUBLELINE SHILLER CAPE U.S. EQUITIES ETF Exchange Traded Fund Financial
1627    CAPL 10/25/2012 12 CROSSAMERICA PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Oil Refining/Marketing Energy
1628    CAPN 11/14/2014 1.7
1629    CAPNR 10/24/2024 0.01
1630    CAPNU 9/23/2024 0.01
1631    CAPR 5/13/2008 15 CAPRICOR THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1632    CAPS 4/5/2005 1.29 CAPSTONE HOLDING CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1633    CAPT 11/16/2023 2.4 CAPTIVISION INC. ORDINARY SHARES Industrial Machinery/Components Miscellaneous
1634    CAPTW 11/16/2023 0.13 CAPTIVISION INC. WARRANT Industrial Machinery/Components Miscellaneous
1635    CAR 9/5/2006 78 AVIS BUDGET GROUP INC. COMMON STOCK Rental/Leasing Companies Consumer Discretionary
1636    CARA 1/31/2014 36 CARA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1637    CARD 6/28/2023 0.07 BANK OF MONTREAL MAX AUTO INDUSTRY -3X INVERSE LEVERAGED ETN Exchange Traded Fund Financial
1638    CARE 5/16/2007 6.21 CARTER BANKSHARES INC. COMMON STOCK Major Banks Finance
1639    CARG 10/12/2017 28 CARGURUS INC. CLASS A COMMON STOCK EDP Services Technology
1640    CARK 11/18/2024 0.01 THE ADVISORS INNER CIRCLE FUND II CASTLEARK LARGE GROWTH ETF Exchange Traded Fund Financial
1641    CARM 2/6/2014 29 CARISMA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1642    CARR 3/19/2020 24 CARRIER GLOBAL CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
1643    CARS 5/18/2017 26 CARS.COM INC. COMMON STOCK EDP Services Technology
1644    CART 5/16/2005 7.36 MAPLEBEAR INC. COMMON STOCK Business Services Consumer Discretionary
1645    CARU 6/28/2023 0.02 BANK OF MONTREAL MAX AUTO INDUSTRY 3X LEVERAGED ETN Exchange Traded Fund Financial
1646    CARV 7/10/2007 5.76 CARVER BANCORP INC. COMMON STOCK Savings Institutions Finance
1647    CARY 11/8/2022 0.81 ANGEL OAK INCOME ETF Exchange Traded Fund Financial
1648    CARZ 5/10/2011 2.11 FIRST TRUST S-NETWORK ELECTRIC & FUTURE VEHICLE ECOSYSTEM ETF Exchange Traded Fund Financial
1649    CAS 1/2/1998 26
1650    CASH 3/21/2006 21 PATHWARD FINANCIAL INC. COMMON STOCK Major Banks Finance
1651    CASI 4/24/2007 18 CASI PHARMACEUTICALS INC. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1652    CASK 11/22/2024 0.39 HERITAGE DISTILLING HOLDING COMPANY INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
1653    CASS 3/9/2004 12 CASS INFORMATION SYSTEMS INC COMMON STOCK Business Services Consumer Discretionary
1654    CASY 1/2/1998 79 CASEY'S GENERAL STORES INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
1655    CAT 1/2/1998 139 CATERPILLAR INC. COMMON STOCK Construction/Ag Equipment/Trucks Industrials
1656    CATF 7/18/2024 0.02 AMERICAN CENTURY ETF TRUST AMERICAN CENTURY CALIFORNIA MUNICIP Exchange Traded Fund Financial
1657    CATH 4/26/2016 2.46 GLOBAL X S&P 500 CATHOLIC VALUES ETF Exchange Traded Fund Financial
1658    CATO 10/16/2009 36 CATO CORPORATION (THE) CLASS A COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
1659    CATX 5/16/2007 24 PERSPECTIVE THERAPEUTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
1660    CATY 1/2/1998 73 CATHAY GENERAL BANCORP COMMON STOCK Major Banks Finance
1661    CAUD 9/3/2021 1.46
1662    CAVA 6/15/2023 8.59 CAVA GROUP INC. COMMON STOCK Restaurants Consumer Discretionary
1663    CB 1/2/1998 123 CHUBB LIMITED COMMON STOCK Property-Casualty Insurers Finance
1664    CBAN 10/20/2004 4.47 COLONY BANKCORP INC. COMMON STOCK Major Banks Finance
1665    CBAT 5/3/2007 26 CBAK ENERGY TECHNOLOGY INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
1666    CBFV 11/25/2009 1.52 CB FINANCIAL SERVICES INC. COMMON STOCK Major Banks Finance
1667    CBL 11/2/2021 4.37 CBL & ASSOCIATES PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1668    CBLL 10/11/2024 0.72 CERIBELL INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
1669    CBLS 11/13/2020 0.17 ELEVATION SERIES TRUST CLOUGH HEDGED EQUITY ETF Exchange Traded Fund Financial
1670    CBNA 10/4/2024 0.15 CHAIN BRIDGE BANCORP INC. CLASS A COMMON STOCK Major Banks Finance
1671    CBNK 9/26/2018 2.41 CAPITAL BANCORP INC. COMMON STOCK Major Banks Finance
1672    CBOE 6/15/2010 55
1673    CBON 11/11/2014 2.16 VANECK CHINA BOND ETF Exchange Traded Fund Financial
1674    CBRE 3/15/2018 30 CBRE GROUP INC COMMON STOCK CLASS A Real Estate Finance
1675    CBRL 1/2/1998 97 CRACKER BARREL OLD COUNTRY STORE INC COMMON STOCK Restaurants Consumer Discretionary
1676    CBSE 11/13/2020 0.18 ELEVATION SERIES TRUST CLOUGH SELECT EQUITY ETF Exchange Traded Fund Financial
1677    CBSH 1/2/1998 82 COMMERCE BANCSHARES INC. COMMON STOCK Major Banks Finance
1678    CBT 1/2/1998 85 CABOT CORPORATION COMMON STOCK Major Chemicals Industrials
1679    CBU 1/2/1998 58 COMMUNITY FINANCIAL SYSTEM INC. COMMON STOCK Major Banks Finance
1680    CBUS 7/20/2017 9.79 CIBUS INC. CLASS A COMMON STOCK Agricultural Chemicals Industrials
1681    CBZ 8/7/2006 40 CBIZ INC. COMMON STOCK Business Services Consumer Discretionary
1682    CC 6/19/2015 46 CHEMOURS COMPANY (THE) COMMON STOCK Major Chemicals Industrials
1683    CCAP 2/3/2020 5.92 CRESCENT CAPITAL BDC INC. COMMON STOCK Finance: Consumer Services Finance
1684    CCB 7/18/2018 3.77 COASTAL FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
1685    CCBG 1/2/1998 14 CAPITAL CITY BANK GROUP COMMON STOCK Major Banks Finance
1686    CCCC 10/2/2020 14 C4 THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1687    CCCS 8/2/2021 14 CCC INTELLIGENT SOLUTIONS HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1688    CCD 3/27/2015 12 CALAMOS DYNAMIC CONVERTIBLE & INCOME FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
1689    CCEC 5/16/2007 33 CAPITAL CLEAN ENERGY CARRIERS CORP. COMMON SHARE Marine Transportation Consumer Discretionary
1690    CCEF 1/16/2024 0.09 CALAMOS ETF TRUST CALAMOS CEF INCOME & ARBITRAGE ETF Exchange Traded Fund Financial
1691    CCEL 5/16/2007 1.53 CRYO-CELL INTERNATIONAL INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
1692    CCEP 11/7/2018 28 COCA-COLA EUROPACIFIC PARTNERS PLC ORDINARY SHARES Beverages (Production/Distribution) Consumer Staples
1693    CCG 10/14/2010 17 CHECHE GROUP INC. CLASS A ORDINARY SHARES Specialty Insurers Finance
1694    CCGWW 9/18/2023 0.15 CHECHE GROUP INC. WARRANT Specialty Insurers Finance
1695    CCI 4/25/2001 108 CROWN CASTLE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1696    CCIA 10/27/2023 0.14 CARLYLE CREDIT INCOME FUND 8.75% SERIES A PREFERRED SHARES DUE 2028
1697    CCIF 6/4/2019 2.96 CARLYLE CREDIT INCOME FUND SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
1698    CCIR 12/3/2024 0.28 COHEN CIRCLE ACQUISITION CORP. I CLASS A ORDINARY SHARES
1699    CCIRU 10/11/2024 0.04 COHEN CIRCLE ACQUISITION CORP. I UNIT Blank Checks Finance
1700    CCIRW 12/2/2024 0.03 COHEN CIRCLE ACQUISITION CORP. I WARRANT
1701    CCIX 3/1/2007 7.8 CHURCHILL CAPITAL CORP IX ORDINARY SHARES
1702    CCIXU 5/2/2024 0.05
1703    CCIXW 6/21/2024 0.04 CHURCHILL CAPITAL CORP IX WARRANT
1704    CCJ 1/2/1998 104 CAMECO CORPORATION COMMON STOCK Other Metals and Minerals Basic Materials
1705    CCK 1/2/1998 109 CROWN HOLDINGS INC. Containers/Packaging Industrials
1706    CCL 1/2/1998 138 CARNIVAL CORPORATION COMMON STOCK Marine Transportation Consumer Discretionary
1707    CCLD 7/23/2014 8.8 CARECLOUD INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1708    CCLDO 2/3/2022 0.46 CARECLOUD INC. 8.75% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Computer Software: Prepackaged Software Technology
1709    CCLDP 4/25/2016 2.42 CARECLOUD INC. 8.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Computer Software: Prepackaged Software Technology
1710    CCM 12/11/2009 6.66 CONCORD MEDICAL SERVICES HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTS THIRTY (30) CLASS A ORDINARY SHARES) Medical/Nursing Services Health Care
1711    CCMG 1/18/2024 0.08 EA SERIES TRUST CCM GLOBAL EQUITY ETF Exchange Traded Fund Financial
1712    CCNE 10/30/2002 9.85 CNB FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
1713    CCNEP 9/2/2020 0.23 CNB FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF 7.125% SERIES A FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
1714    CCNR 7/11/2024 0.02 ALPS/CORECOMMODITY NATURAL RESOURCES ETF Exchange Traded Fund Financial
1715    CCO 11/14/2005 55 CLEAR CHANNEL OUTDOOR HOLDINGS INC. COMMON STOCK Advertising Consumer Discretionary
1716    CCOI 3/6/2006 62 COGENT COMMUNICATIONS HOLDINGS INC. Telecommunications Equipment Consumer Discretionary
1717    CCOR 5/25/2017 2.51 CORE ALTERNATIVE ETF Exchange Traded Fund Financial
1718    CCRD 5/18/2007 6 CORECARD CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
1719    CCRN 10/25/2001 53 CROSS COUNTRY HEALTHCARE INC. COMMON STOCK $0.0001 PAR VALUE Professional Services Consumer Discretionary
1720    CCRV 9/3/2020 0.7 ISHARES U.S. ETF TRUST ISHARES COMMODITY CURVE CARRY STRATEGY Exchange Traded Fund Financial
1721    CCS 6/18/2014 28 CENTURY COMMUNITIES INC. COMMON STOCK Homebuilding Consumer Discretionary
1722    CCSB 4/12/2024 0.03 CARBON COLLECTIVE SHORT DURATION GREEN BOND ETF Exchange Traded Fund Financial
1723    CCSI 9/30/2021 5.22 CONSENSUS CLOUD SOLUTIONS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1724    CCSO 9/21/2022 0.16 CARBON COLLECTIVE CLIMATE SOLUTIONS U.S. EQUITY ETF Exchange Traded Fund Financial
1725    CCTG 1/18/2024 1.24 CCSC TECHNOLOGY INTERNATIONAL HOLDINGS LIMITED CLASS A ORDINARY SHARES Building Products Consumer Discretionary
1726    CCU 1/2/1998 76 COMPANIA CERVECERIAS UNIDAS S.A. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
1727    CCZ 11/24/1999 0.52
1728    CDC 7/2/2014 9.06 VICTORYSHARES US EQ INCOME ENHANCED VOLATILITY WTD ETF Exchange Traded Fund Financial
1729    CDE 1/2/1998 99 COEUR MINING INC. COMMON STOCK Precious Metals Basic Materials
1730    CDEI 2/1/2023 0.04 MORGAN STANLEY ETF TRUST CALVERT US LARGE-CAP DIVERSITY EQUIT Exchange Traded Fund Financial
1731    CDIO 1/14/2022 5.25 CARDIO DIAGNOSTICS HOLDINGS INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
1732    CDIOW 1/14/2022 0.29 CARDIO DIAGNOSTICS HOLDINGS INC. WARRANT Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
1733    CDL 7/8/2015 2.86 VICTORYSHARES US LARGE CAP HIGH DIV VOLATILITY WTD ETF Exchange Traded Fund Financial
1734    CDLR 12/19/2023 1.05 CADELER A/S AMERICAN DEPOSITARY SHARE (EACH REPRESENTING FOUR (4) ORDINARY SHARES) Marine Transportation Consumer Discretionary
1735    CDLX 2/9/2018 22 CARDLYTICS INC. COMMON STOCK Computer Software: Programming Data Processing Technology
1736    CDNA 7/17/2014 27 CAREDX INC. COMMON STOCK Medical Specialities Health Care
1737    CDNS 10/31/2005 85 CADENCE DESIGN SYSTEMS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1738    CDP 5/1/2007 75 COPT DEFENSE PROPERTIES COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
1739    CDR.B 5/24/2012 1.84 CEDAR REALTY TRUST INC. 7.25% SERIES B CUMULATIVE REDEEMABLE PREFERRED STOCK
1740    CDR.C 8/25/2017 2.06 CEDAR REALTY TRUST INC. 6.50% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK
1741    CDRE 11/4/2021 5.5 CADRE HOLDINGS INC. COMMON STOCK Industrial Specialties Health Care
1742    CDRO 12/1/2021 0.98 CODERE ONLINE LUXEMBOURG S.A. ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
1743    CDROW 12/1/2021 0.22 CODERE ONLINE LUXEMBOURG S.A. WARRANTS Services-Misc. Amusement & Recreation Consumer Discretionary
1744    CDT 8/15/2022 4.33 CONDUIT PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1745    CDTG 4/18/2024 0.39 CDT ENVIRONMENTAL TECHNOLOGY INVESTMENT HOLDINGS LIMITED ORDINARY SHARES Miscellaneous Industrials
1746    CDTTW 3/31/2022 0.18 CONDUIT PHARMACEUTICALS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
1747    CDTX 4/15/2015 14 CIDARA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1748    CDW 6/27/2013 49 CDW CORPORATION COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
1749    CDX 2/17/2022 0.57 SIMPLIFY HIGH YIELD ETF Exchange Traded Fund Financial
1750    CDXC 7/15/2008 19 CHROMADEX CORPORATION COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
1751    CDXS 4/22/2010 32 CODEXIS INC. COMMON STOCK Major Chemicals Industrials
1752    CDZI 6/20/2005 23 CADIZ INC. COMMON STOCK Water Supply Utilities
1753    CDZIP 7/8/2021 0.38 CADIZ INC. DEPOSITARY SHARES Water Supply Utilities
1754    CE 1/21/2005 89 CELANESE CORPORATION COMMON STOCK Major Chemicals Industrials
1755    CEAD 2/11/2022 1.97 CEA INDUSTRIES INC. COMMON STOCK Industrial Machinery/Components Industrials
1756    CEADW 2/11/2022 0.16 CEA INDUSTRIES INC. WARRANT Industrial Machinery/Components Industrials
1757    CECO 1/29/1998 76 CECO ENVIRONMENTAL CORP. COMMON STOCK Pollution Control Equipment Industrials
1758    CEE 1/2/1998 15 THE CENTRAL AND EASTERN EUROPE FUND INC. (THE) COMMON STOCK Finance Companies Finance
1759    CEF 1/2/1998 67 SPROTT PHYSICAL GOLD AND SILVER TRUST UNITS Exchange Traded Fund Financial
1760    CEFA 6/24/2020 0.11 GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF Exchange Traded Fund Financial
1761    CEFD 6/3/2020 0.37 ETRACS MONTHLY PAY 1.5X LEVERAGED CLOSED-END FUND INDEX ETN Exchange Traded Fund Financial
1762    CEFS 3/21/2017 3.1 SABA CLOSED-END FUNDS ETF Exchange Traded Fund Financial
1763    CEG 1/19/2022 15 CONSTELLATION ENERGY CORPORATION COMMON STOCK Electric Utilities: Central Utilities
1764    CELC 9/20/2017 5.1 CELCUITY INC. COMMON STOCK Medical Specialities Health Care
1765    CELH 2/10/2010 27 CELSIUS HOLDINGS INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
1766    CELU 8/8/2019 7.49 CELULARITY INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1767    CELUW 7/19/2019 0.98 CELULARITY INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
1768    CELZ 12/3/2021 3.32 CREATIVE MEDICAL TECHNOLOGY HOLDINGS INC. COMMON STOCK Finance: Consumer Services Finance
1769    CEMB 4/19/2012 4.54 ISHARES J.P. MORGAN EM CORPORATE BOND ETF Exchange Traded Fund Financial
1770    CENN 2/12/2013 31 CENNTRO INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
1771    CENT 1/2/1998 42 CENTRAL GARDEN & PET COMPANY COMMON STOCK Consumer Specialties Consumer Discretionary
1772    CENTA 2/6/2007 41 CENTRAL GARDEN & PET COMPANY CLASS A COMMON STOCK NONVOTING Consumer Specialties Consumer Discretionary
1773    CENX 1/2/1998 88 CENTURY ALUMINUM COMPANY COMMON STOCK Aluminum Industrials
1774    CEP 11/15/2006 6.37 CANTOR EQUITY PARTNERS INC. CLASS A ORDINARY SHARES Investment Managers Finance
1775    CEPI 12/4/2024 0.11 REX CRYPTO EQUITY PREMIUM INCOME ETF Exchange Traded Fund Financial
1776    CEPO 1/7/2025 0.03 CANTOR EQUITY PARTNERS I INC. CLASS A ORDINARY SHARES Blank Checks Finance
1777    CEPU 2/2/2018 14 CENTRAL PUERTO S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTS TEN COMMON SHARES) Electric Utilities: Central Utilities
1778    CERO 11/30/2021 3.72 CERO THERAPEUTICS HOLDINGS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1779    CEROW 11/29/2021 0.17 CERO THERAPEUTICS HOLDINGS INC. WARRANTS Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1780    CERS 1/2/1998 65 CERUS CORPORATION COMMON STOCK EDP Services Technology
1781    CERT 12/11/2020 15 CERTARA INC. COMMON STOCK Computer Software: Prepackaged Software Technology
1782    CERY 9/11/2024 0.18 SPDR SERIES TRUST SPDR BLOOMBERG ENHANCED ROLL YIELD COMMODITY Exchange Traded Fund Financial
1783    CET 1/2/1998 9.43 CENTRAL SECURITIES CORPORATION COMMON STOCK Finance/Investors Services Finance
1784    CETH 7/23/2024 1.07 21SHARES CORE ETHEREUM ETF Exchange Traded Fund Financial
1785    CETX 6/25/2015 17 CEMTREX INC. COMMON STOCK Electrical Products Technology
1786    CETY 5/16/2007 3.46 CLEAN ENERGY TECHNOLOGIES INC. COMMON STOCK Metal Fabrications Consumer Discretionary
1787    CEV 1/27/1999 7.56 EATON VANCE CALIFORNIA MUNICIPAL INCOME TRUST SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
1788    CEVA 12/8/2003 35 CEVA INC. COMMON STOCK Computer Software: Programming Data Processing Technology
1789    CEW 6/2/2009 6.61 WISDOMTREE EMERGING CURRENCY STRATEGY FUND Exchange Traded Fund Financial
1790    CF 8/11/2005 92 CF INDUSTRIES HOLDINGS INC. COMMON STOCK Agricultural Chemicals Industrials
1791    CFA 7/2/2014 4.43 VICTORYSHARES US 500 VOLATILITY WTD ETF Exchange Traded Fund Financial
1792    CFB 8/15/2019 7.57
1793    CFBK 11/16/2005 1.95 CF BANKSHARES INC. COMMON STOCK Major Banks Finance
1794    CFFI 5/3/2006 2.79 C&F FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
1795    CFFN 4/1/1999 69 CAPITOL FEDERAL FINANCIAL INC. COMMON STOCK Savings Institutions Finance
1796    CFG 9/24/2014 51 CITIZENS FINANCIAL GROUP INC. COMMON STOCK Major Banks Finance
1797    CFG.E 10/29/2019 4.09 CITIZENS FINANCIAL GROUP INC. DEPOSITARY SHARES EACH REPRESENTING 1/40TH INTEREST IN A SHARE OF 5.000% FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E
1798    CFG.H 5/29/2024 0.69 CITIZENS FINANCIAL GROUP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 7.375% FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES H
1799    CFLT 6/24/2021 17 CONFLUENT INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
1800    CFO 7/2/2014 6.23 VICTORYSHARES US 500 ENHANCED VOLATILITY WTD ETF Exchange Traded Fund Financial
1801    CFR 1/2/1998 86 CULLEN/FROST BANKERS INC. COMMON STOCK Major Banks Finance
1802    CFR.B 11/25/2020 1.26 CULLEN/FROST BANKERS INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF 4.450% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B
1803    CFSB 1/13/2022 0.22 CFSB BANCORP INC. COMMON STOCK Savings Institutions Finance
1804    CG 5/3/2012 51 THE CARLYLE GROUP INC. COMMON STOCK Investment Managers Finance
1805    CGABL 5/19/2021 1.95 THE CARLYLE GROUP INC. 4.625% SUBORDINATED NOTES DUE 2061 Investment Managers Finance
1806    CGAU 4/15/2021 8.35 CENTERRA GOLD INC. COMMON SHARES Precious Metals Basic Materials
1807    CGBD 6/14/2017 17 CARLYLE SECURED LENDING INC. COMMON STOCK Finance: Consumer Services Finance
1808    CGBDL 11/24/2023 0.36 CARLYLE SECURED LENDING INC. 8.20% NOTES DUE 2028
1809    CGBL 9/28/2023 2.83 CAPITAL GROUP CORE BALANCED ETF Exchange Traded Fund Financial
1810    CGBS 7/10/2024 2.63 CROWN LNG HOLDINGS LIMITED ORDINARY SHARES Oil/Gas Transmission Utilities
1811    CGBSW 7/10/2024 0.17 CROWN LNG HOLDINGS LIMITED WARRANTS Oil/Gas Transmission Utilities
1812    CGC 5/24/2018 38 CANOPY GROWTH CORPORATION COMMON SHARES Medicinal Chemicals and Botanical Products Health Care
1813    CGCB 9/28/2023 2.03 CAPITAL GROUP CORE BOND ETF Exchange Traded Fund Financial
1814    CGCP 2/24/2022 6.68 CAPITAL GROUP CORE PLUS INCOME ETF Exchange Traded Fund Financial
1815    CGCV 6/27/2024 0.41 CAPITAL GROUP CONSERVATIVE EQUITY ETF Exchange Traded Fund Financial
1816    CGDG 9/28/2023 2.14 CAPITAL GROUP DIVIDEND GROWERS ETF Exchange Traded Fund Financial
1817    CGDV 2/24/2022 12 CAPITAL GROUP DIVIDEND VALUE ETF Exchange Traded Fund Financial
1818    CGEM 11/27/2009 9.01 CULLINAN THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1819    CGEN 8/11/2000 33 COMPUGEN LTD. ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1820    CGGE 6/27/2024 0.23 CAPITAL GROUP GLOBAL EQUITY ETF Exchange Traded Fund Financial
1821    CGGO 2/24/2022 9.63 CAPITAL GROUP GLOBAL GROWTH EQUITY ETF Exchange Traded Fund Financial
1822    CGGR 2/24/2022 11 CAPITAL GROUP GROWTH ETF Exchange Traded Fund Financial
1823    CGHM 6/27/2024 0.25 CAPITAL GROUP MUNICIPAL HIGH-INCOME ETF Exchange Traded Fund Financial
1824    CGIB 6/27/2024 0.02 CAPITAL GROUP INTERNATIONAL BOND ETF (USD-HEDGED) Exchange Traded Fund Financial
1825    CGIC 6/27/2024 0.23 CAPITAL GROUP INTERNATIONAL CORE EQUITY ETF Exchange Traded Fund Financial
1826    CGIE 9/28/2023 0.97 CAPITAL GROUP INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
1827    CGMS 10/27/2022 3.64 CAPITAL GROUP U.S. MULTI-SECTOR INCOME ETF Exchange Traded Fund Financial
1828    CGMU 10/27/2022 3.04 CAPITAL GROUP MUNICIPAL INCOME ETF Exchange Traded Fund Financial
1829    CGNG 6/27/2024 0.42 CAPITAL GROUP NEW GEOGRAPHY EQUITY ETF Exchange Traded Fund Financial
1830    CGNT 5/18/2007 16 COGNYTE SOFTWARE LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
1831    CGNX 1/2/1998 92 COGNEX CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
1832    CGO 10/27/2005 9.66 CALAMOS GLOBAL TOTAL RETURN FUND COMMON STOCK Investment Managers Finance
1833    CGON 1/25/2024 3.48 CG ONCOLOGY INC. COMMON STOCK
1834    CGRO 10/17/2023 0.02 TIDAL TRUST II COREVALUES ALPHA GREATER CHINA GROWTH ETF Exchange Traded Fund Financial
1835    CGSD 10/27/2022 2.32 CAPITAL GROUP SHORT DURATION INCOME ETF Exchange Traded Fund Financial
1836    CGSM 9/28/2023 0.51 CAPITAL GROUP SHORT DURATION MUNICIPAL INCOME ETF Exchange Traded Fund Financial
1837    CGTL 11/26/2024 0.15 CREATIVE GLOBAL TECHNOLOGY HOLDINGS LIMITED CLASS A ORDINARY SHARES Retail: Computer Software & Peripheral Equipment Technology
1838    CGTX 10/8/2021 4.1 COGNITION THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1839    CGUI 6/27/2024 0.06 CAPITAL GROUP ULTRA SHORT INCOME ETF Exchange Traded Fund Financial
1840    CGUS 2/24/2022 8.03 CAPITAL GROUP CORE EQUITY ETF Exchange Traded Fund Financial
1841    CGV 8/1/2022 0.3 TWO ROADS SHARED TRUST CONDUCTOR GLOBAL EQUITY VALUE ETF Exchange Traded Fund Financial
1842    CGW 5/14/2007 16 INVESCO S&P GLOBAL WATER INDEX ETF Exchange Traded Fund Financial
1843    CGXU 2/24/2022 8.42 CAPITAL GROUP INTERNATIONAL FOCUS EQUITY ETF Exchange Traded Fund Financial
1844    CHAR 11/26/2024 0.01 CHARLTON ARIA ACQUISITION CORPORATION CLASS A ORDINARY SHARES
1845    CHARR 11/26/2024 0.01 CHARLTON ARIA ACQUISITION CORPORATION RIGHTS
1846    CHAT 5/18/2023 2.04 ROUNDHILL GENERATIVE AI & TECHNOLOGY ETF Exchange Traded Fund Financial
1847    CHAU 4/16/2015 18 DIREXION DAILY CSI 300 CHINA A SHARE BULL 2X SHARES Exchange Traded Fund Financial
1848    CHCI 12/14/2004 13 COMSTOCK HOLDING COMPANIES INC. CLASS A COMMON STOCK Real Estate Finance
1849    CHCO 1/2/1998 30 CITY HOLDING COMPANY COMMON STOCK Major Banks Finance
1850    CHCT 5/21/2015 16 COMMUNITY HEALTHCARE TRUST INCORPORATED COMMON STOCK Real Estate Investment Trusts Real Estate
1851    CHD 1/2/1998 99 CHURCH & DWIGHT COMPANY INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
1852    CHDN 1/2/1998 38 CHURCHILL DOWNS INCORPORATED COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
1853    CHE 5/18/2004 46 CHEMED CORP Medical/Nursing Services Health Care
1854    CHEB 7/30/2024 0.03 CHENGHE ACQUISITION II CO. CLASS A ORDINARY SHARES
1855    CHEF 7/28/2011 29 THE CHEFS' WAREHOUSE INC. COMMON STOCK Food Distributors Consumer Discretionary
1856    CHEK 3/18/2015 12 CHECK-CAP LTD. ORDINARY SHARE Medical Electronics Health Care
1857    CHEV 8/29/2006 0.95
1858    CHGG 11/13/2013 44 CHEGG INC. COMMON STOCK Other Consumer Services Real Estate
1859    CHGX 10/10/2017 1.14 AXS CHANGE FINANCE ESG ETF Exchange Traded Fund Financial
1860    CHH 1/2/1998 71 CHOICE HOTELS INTERNATIONAL INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
1861    CHI 6/27/2002 41 CALAMOS CONVERTIBLE OPPORTUNITIES AND INCOME FUND COMMON STOCK Investment Managers Finance
1862    CHIQ 12/1/2009 17 GLOBAL X MSCI CHINA CONSUMER DISCRETIONARY ETF Exchange Traded Fund Financial
1863    CHKP 3/3/1999 114 CHECK POINT SOFTWARE TECHNOLOGIES LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
1864    CHKR 11/11/2011 13
1865    CHMG 5/18/2007 2.3 CHEMUNG FINANCIAL CORP COMMON STOCK Major Banks Finance
1866    CHMI 10/4/2013 20 CHERRY HILL MORTGAGE INVESTMENT CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
1867    CHMI.A 8/23/2017 1.24 CHERRY HILL MORTGAGE INVESTMENT CORPORATION 8.20% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
1868    CHMI.B 2/13/2019 0.9 CHERRY HILL MORTGAGE INVESTMENT CORPORATION 8.250% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
1869    CHN 1/2/1998 21 CHINA FUND INC. (THE) COMMON STOCK Investment Managers Finance
1870    CHNR 11/22/2004 9.03 CHINA NATURAL RESOURCES INC. COMMON STOCK Precious Metals Basic Materials
1871    CHPS 3/13/2024 0.04 XTRACKERS SEMICONDUCTOR SELECT EQUITY ETF Exchange Traded Fund Financial
1872    CHPT 9/16/2019 28 CHARGEPOINT HOLDINGS INC. COMMON STOCK Industrial Specialties Consumer Discretionary
1873    CHR 9/12/2018 3.92 CHEER HOLDING INC. CLASS A ORDINARY SHARE EDP Services Technology
1874    CHRB 8/31/2021 0.34
1875    CHRD 11/20/2020 15 CHORD ENERGY CORPORATION COMMON STOCK Oil & Gas Production Energy
1876    CHRO 2/16/2024 0.6 CHANNEL THERAPEUTICS CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1877    CHRS 1/2/1998 75 COHERUS BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1878    CHRW 1/2/1998 109 C.H. ROBINSON WORLDWIDE INC. COMMON STOCK Oil Refining/Marketing Consumer Discretionary
1879    CHSCL 1/22/2015 6.17 CHS INC CLASS B CUMULATIVE REDEEMABLE PREFERRED STOCK SERIES 4 Farming/Seeds/Milling Industrials
1880    CHSCM 9/10/2014 5.69 CHS INC CLASS B RESET RATE CUMULATIVE REDEEMABLE PREFERRED STOCK SERIES 3 Farming/Seeds/Milling Industrials
1881    CHSCN 3/6/2014 4.91 CHS INC PREFERRED CLASS B SERIES 2 RESET RATE Farming/Seeds/Milling Industrials
1882    CHSCO 9/23/2013 4.3 CHS INC. CLASS B CUMULATIVE REDEEMABLE PREFERRED STOCK Farming/Seeds/Milling Industrials
1883    CHSCP 3/24/2003 5.36 CHS INC. 8% CUMULATIVE REDEEMABLE PREFERRED STOCK Farming/Seeds/Milling Industrials
1884    CHSN 3/30/2023 2.23 CHANSON INTERNATIONAL HOLDING CLASS A ORDINARY SHARES Packaged Foods Consumer Staples
1885    CHT 7/18/2003 57 CHUNGHWA TELECOM CO. LTD. Telecommunications Equipment Telecommunications
1886    CHTR 9/14/2010 60 CHARTER COMMUNICATIONS INC. CLASS A COMMON STOCK NEW Cable & Other Pay Television Services Telecommunications
1887    CHW 7/26/2007 31 CALAMOS GLOBAL DYNAMIC INCOME FUND COMMON STOCK Investment Managers Finance
1888    CHWY 10/13/2009 29 CHEWY INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
1889    CHX 4/27/2018 30 CHAMPIONX CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
1890    CHY 5/29/2003 41 CALAMOS CONVERTIBLE AND HIGH INCOME FUND COMMON STOCK Investment Managers Finance
1891    CI 1/2/1998 123 THE CIGNA GROUP COMMON STOCK Medical Specialities Health Care
1892    CIA 8/22/2002 25 CITIZENS INC. CLASS A COMMON STOCK ($1.00 PAR) Life Insurance Finance
1893    CIB 1/2/1998 64 BANCOLOMBIA S.A. COMMON STOCK Commercial Banks Finance
1894    CIBR 7/7/2015 27 FIRST TRUST NASDAQ CYBERSECURITY ETF Exchange Traded Fund Financial
1895    CICB 10/9/2024 0.12 CION INVESTMENT CORPORATION 7.50% NOTES DUE 2029 Finance/Investors Services Finance
1896    CIEN 1/2/1998 126 CIENA CORPORATION COMMON STOCK Telecommunications Equipment Utilities
1897    CIF 1/2/1998 15 MFS INTERMEDIATE HIGH INCOME FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
1898    CIFR 12/7/2020 15 CIPHER MINING INC. COMMON STOCK Finance: Consumer Services Finance
1899    CIFRW 12/7/2020 1.53 CIPHER MINING INC. WARRANT Finance: Consumer Services Finance
1900    CIG 9/18/2001 96 COMP EN DE MN CEMIG ADS AMERICAN DEPOSITARY SHARES Electric Utilities: Central Utilities
1901    CIG.C 6/12/2007 3.01
1902    CIGI 5/16/2007 19 COLLIERS INTERNATIONAL GROUP INC. SUBORDINATE VOTING SHARES Real Estate Finance
1903    CII 5/26/2004 29 BLACKROCK ENHANCED LARGE CAP CORE FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
1904    CIK 5/11/2006 28 CREDIT SUISSE ASSET MANAGEMENT INCOME FUND INC. COMMON STOCK Finance/Investors Services Finance
1905    CIL 8/20/2015 0.3 VICTORYSHARES INTERNATIONAL VOLATILITY WTD ETF Exchange Traded Fund Financial
1906    CIM 11/29/2007 80 CHIMERA INVESTMENT CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
1907    CIM.A 10/17/2016 2.83 CHIMERA INVESTMENT CORPORATION 8.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
1908    CIM.B 3/1/2017 4.6 CHIMERA INVESTMENT CORPORATION 8.00% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
1909    CIM.C 9/25/2018 2.91 CHIMERA INVESTMENT CORPORATION 7.75% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
1910    CIM.D 1/24/2019 2.92 CHIMERA INVESTMENT CORPORATION 8.00% SERIES D FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
1911    CIMN 5/28/2024 0.24 CHIMERA INVESTMENT CORPORATION 9.000% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
1912    CIMO 8/22/2024 0.22 CHIMERA INVESTMENT CORPORATION 9.250% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
1913    CINF 1/2/1998 107 CINCINNATI FINANCIAL CORPORATION COMMON STOCK Property-Casualty Insurers Finance
1914    CING 12/8/2021 3.8 CINGULATE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1915    CINGW 12/8/2021 0.21 CINGULATE INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
1916    CINT 11/10/2021 3.58 CI&T INC CLASS A COMMON SHARES EDP Services Technology
1917    CIO 4/15/2014 24 CITY OFFICE REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1918    CIO.A 10/5/2016 1.2 CITY OFFICE REIT INC. 6.625% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
1919    CION 10/5/2021 7.29 CION INVESTMENT CORPORATION COMMON STOCK Finance/Investors Services Finance
1920    CISO 1/14/2022 6.25 CISO GLOBAL INC. COMMON STOCK Professional Services Consumer Discretionary
1921    CISS 6/14/2023 4.5 C3IS INC. COMMON STOCK Marine Transportation Consumer Discretionary
1922    CIVB 5/16/2007 6.9 CIVISTA BANCSHARES INC. COMMON STOCK Major Banks Finance
1923    CIVI 11/2/2021 14 CIVITAS RESOURCES INC. COMMON STOCK Oil & Gas Production Energy
1924    CIX 3/6/1998 4.85 COMPX INTERNATIONAL INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
1925    CIZN 11/16/2006 1.31
1926    CJET 6/5/2023 1.6 CHIJET MOTOR COMPANY INC. ORDINARY SHARES Auto Manufacturing Consumer Discretionary
1927    CJJD 10/5/2009 12
1928    CJMB 2/5/2025 0.13 CALLAN JMB INC. COMMON STOCK Business Services Consumer Discretionary
1929    CKPT 12/19/2016 13 CHECKPOINT THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1930    CKX 12/8/2003 0.93 CKX LANDS INC. COMMON STOCK Oil & Gas Production Energy
1931    CL 1/2/1998 130 COLGATE-PALMOLIVE COMPANY COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
1932    CLAR 6/11/2010 28 CLARUS CORPORATION COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
1933    CLB 7/10/1998 81 CORE LABORATORIES INC. COMMON STOCK Oilfield Services/Equipment Energy
1934    CLBK 4/20/2018 11 COLUMBIA FINANCIAL INC. COMMON STOCK Savings Institutions Finance
1935    CLBR 7/7/2021 1 COLOMBIER ACQUISITION CORP. II CLASS A ORDINARY SHARES
1936    CLBT 8/31/2021 9.32 CELLEBRITE DI LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
1937    CLCO 3/20/2023 3.67 COOL COMPANY LTD. COMMON SHARES Marine Transportation Consumer Discretionary
1938    CLDI 9/13/2023 2.9 CALIDI BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
1939    CLDL 1/8/2021 1.25 DIREXION DAILY CLOUD COMPUTING BULL 2X SHARES Exchange Traded Fund Financial
1940    CLDT 4/16/2010 37 CHATHAM LODGING TRUST (REIT) COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
1941    CLDT.A 7/1/2021 0.4 CHATHAM LODGING TRUST (REIT) 6.625% SERIES A CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
1942    CLDX 10/1/2008 54 CELLDEX THERAPEUTICS INC. Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
1943    CLEU 5/8/2020 7.58 CHINA LIBERAL EDUCATION HOLDINGS LIMITED ORDINARY SHARES Other Consumer Services Real Estate
1944    CLF 1/2/1998 109 CLEVELAND-CLIFFS INC. COMMON STOCK Metal Mining Basic Materials
1945    CLFD 1/2/2008 18 CLEARFIELD INC. COMMON STOCK Telecommunications Equipment Utilities
1946    CLGN 1/31/2018 1.83 COLLPLANT BIOTECHNOLOGIES LTD ORDINARY SHARES Industrial Specialties Health Care
1947    CLH 12/15/2008 50 CLEAN HARBORS INC. COMMON STOCK Environmental Services Industrials
1948    CLIK 10/9/2024 0.29 CLICK HOLDINGS LIMITED ORDINARY SHARE Diversified Commercial Services Consumer Discretionary
1949    CLIP 6/22/2023 1.68 GLOBAL X FUNDS GLOBAL X 1-3 MONTH T-BILL ETF Exchange Traded Fund Financial
1950    CLIR 4/25/2012 9.05 CLEARSIGN TECHNOLOGIES CORPORATION COMMON STOCK (DE) Industrial Machinery/Components Industrials
1951    CLIX 11/16/2017 2.18 PROSHARES LONG ONLINE/SHORT STORES ETF Exchange Traded Fund Financial
1952    CLLS 3/25/2015 16 CELLECTIS S.A. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
1953    CLM 2/21/2003 42 CORNERSTONE STRATEGIC INVESTMENT FUND INC. COMMON SHARES Finance/Investors Services Finance
1954    CLMB 5/16/2007 4.44 CLIMB GLOBAL SOLUTIONS INC. COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
1955    CLMT 1/27/2006 38 CALUMET INC. COMMON STOCK Integrated oil Companies Energy
1956    CLNE 5/25/2007 72 CLEAN ENERGY FUELS CORP. COMMON STOCK Natural Gas Distribution Utilities
1957    CLNN 12/31/2020 6.67 CLENE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1958    CLNNW 12/31/2020 0.49
1959    CLNR 10/21/2021 0.06 NYLI CLEANER TRANSPORT ETF Exchange Traded Fund Financial
1960    CLOA 1/12/2023 1.38 ISHARES AAA CLO ACTIVE ETF Exchange Traded Fund Financial
1961    CLOB 9/25/2024 0.07 VANECK ETF TRUST VANECK AA-BB CLO ETF Exchange Traded Fund Financial
1962    CLOD 12/15/2023 0.05 THEMES CLOUD COMPUTING ETF Exchange Traded Fund Financial
1963    CLOI 6/23/2022 1.51 VANECK ETF TRUST VANECK CLO ETF Exchange Traded Fund Financial
1964    CLOU 4/16/2019 18 GLOBAL X CLOUD COMPUTING ETF Exchange Traded Fund Financial
1965    CLOV 1/8/2021 24 CLOVER HEALTH INVESTMENTS CORP. CLASS A COMMON STOCK Medical Specialities Health Care
1966    CLOX 7/19/2023 0.33 ELDRIDGE AAA CLO ETF Exchange Traded Fund Financial
1967    CLOZ 1/24/2023 2.3 ELDRIDGE BBB-B CLO ETF Exchange Traded Fund Financial
1968    CLPR 2/10/2017 6.37 CLIPPER REALTY INC. COMMON STOCK Real Estate Investment Trusts Real Estate
1969    CLPS 5/25/2018 4.78 CLPS INCORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
1970    CLPT 5/21/2012 9.81 CLEARPOINT NEURO INC. COMMON STOCK Medical/Dental Instruments Health Care
1971    CLRB 5/16/2007 15 CELLECTAR BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1972    CLRC 6/2/2022 0.05 CLIMATEROCK CLASS A ORDINARY SHARES Blank Checks Finance
1973    CLRCR 6/2/2022 0.04
1974    CLRCU 4/28/2022 0.01
1975    CLRCW 6/2/2022 0.03
1976    CLRO 8/28/2006 7.19 CLEARONE INC. (DE) COMMON STOCK Telecommunications Equipment Utilities
1977    CLS 7/1/1998 86 CELESTICA INC. COMMON STOCK Electrical Products Technology
1978    CLSD 6/2/2016 16 CLEARSIDE BIOMEDICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1979    CLSE 2/22/2022 0.79 TRUST FOR PROFESSIONAL MANAGERS CONVERGENCE LONG/SHORT EQUITY Exchange Traded Fund Financial
1980    CLSK 7/18/2012 30 CLEANSPARK INC. COMMON STOCK Finance: Consumer Services Finance
1981    CLSKW 11/4/2024 0.36 CLEANSPARK INC. WARRANT Finance: Consumer Services Finance
1982    CLSM 7/13/2021 0.87 CABANA TARGET LEADING SECTOR MODERATE ETF Exchange Traded Fund Financial
1983    CLST 1/29/2009 0.32 CATALYST BANCORP INC. COMMON STOCK Savings Institutions Finance
1984    CLVR 12/18/2020 5.76
1985    CLVRW 12/18/2020 1.24
1986    CLVT 9/7/2018 24 CLARIVATE PLC ORDINARY SHARES EDP Services Technology
1987    CLW 12/17/2008 30 CLEARWATER PAPER CORPORATION COMMON STOCK Paper Basic Materials
1988    CLWT 4/30/1999 8.69 EURO TECH HOLDINGS COMPANY LIMITED COMMON STOCK Professional and commerical equipment Consumer Discretionary
1989    CLX 1/2/1998 121 CLOROX COMPANY (THE) COMMON STOCK Specialty Chemicals Consumer Discretionary
1990    CLYM 8/10/2021 2.77 CLIMB BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
1991    CM 7/10/2006 65 CANADIAN IMPERIAL BANK OF COMMERCE COMMON STOCK Commercial Banks Finance
1992    CMA 1/2/1998 119 COMERICA INCORPORATED COMMON STOCK Major Banks Finance
1993    CMBM 6/26/2019 8.64 CAMBIUM NETWORKS CORPORATION ORDINARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
1994    CMBS 2/16/2012 8.33 ISHARES CMBS BOND ETF Exchange Traded Fund Financial
1995    CMBT 1/23/2015 34 CMB.TECH NV ORDINARY SHARES Marine Transportation Consumer Discretionary
1996    CMC 1/2/1998 102 COMMERCIAL METALS COMPANY COMMON STOCK Steel/Iron Ore Industrials
1997    CMCI 3/11/2011 0.36 VANECK ETF TRUST VANECK CMCI COMMODITY STRATEGY ETF Exchange Traded Fund Financial
1998    CMCL 1/12/2007 7.41 CALEDONIA MINING CORPORATION PLC COMMON SHARES Precious Metals Basic Materials
1999    CMCM 5/8/2014 24 CHEETAH MOBILE INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FIFTY (50) CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
2000    CMCO 1/2/1998 43 COLUMBUS MCKINNON CORPORATION COMMON STOCK Construction/Ag Equipment/Trucks Industrials
2001    CMCSA 1/2/1998 123 COMCAST CORPORATION CLASS A COMMON STOCK Cable & Other Pay Television Services Telecommunications
2002    CMCT 5/16/2007 6.52 CREATIVE MEDIA & COMMUNITY TRUST CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
2003    CMDT 5/11/2023 0.35 PIMCO U.S. TREASURY INDEX FUND PIMCO COMMODITY STRATEGY ACTIVE Exchange Traded Fund Financial
2004    CMDY 4/5/2018 2.09 ISHARES BLOOMBERG ROLL SELECT COMMODITY STRATEGY ETF Exchange Traded Fund Financial
2005    CME 12/6/2002 102 CME GROUP INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
2006    CMF 10/11/2007 13 ISHARES CALIFORNIA MUNI BOND ETF Exchange Traded Fund Financial
2007    CMG 1/26/2006 76 CHIPOTLE MEXICAN GRILL INC. COMMON STOCK Restaurants Consumer Discretionary
2008    CMI 12/10/2003 100 CUMMINS INC. COMMON STOCK Industrial Machinery/Components Industrials
2009    CMLS 4/9/2002 46 CUMULUS MEDIA INC. CLASS A COMMON STOCK Broadcasting Consumer Discretionary
2010    CMMB 2/12/2019 4.8 CHEMOMAB THERAPEUTICS LTD. AMERICAN DEPOSITARY SHARE Biotechnology: Pharmaceutical Preparations Health Care
2011    CMND 11/15/2022 3.5 CLEARMIND MEDICINE INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
2012    CMP 12/12/2003 63 COMPASS MINERALS INTL INC COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
2013    CMPO 11/19/2020 6.63 COMPOSECURE INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
2014    CMPOV 2/20/2025 0.01
2015    CMPOW 11/19/2020 0.96 COMPOSECURE INC. WARRANT Finance: Consumer Services Finance
2016    CMPR 9/30/2005 51 CIMPRESS PLC ORDINARY SHARES (IRELAND) Publishing Consumer Discretionary
2017    CMPS 9/18/2020 13 COMPASS PATHWAYS PLC AMERICAN DEPOSITORY SHARES Biotechnology: Pharmaceutical Preparations Health Care
2018    CMPX 4/5/2021 6.24 COMPASS THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2019    CMRA 5/20/2022 1.42
2020    CMRE 11/4/2010 43 COSTAMARE INC. COMMON STOCK $0.0001 PAR VALUE Marine Transportation Consumer Discretionary
2021    CMRE.B 8/7/2013 1.18 COSTAMARE INC. PERPETUAL PREFERRED STOCK SERIES B (MARSHALL ISLANDS)
2022    CMRE.C 1/22/2014 2.35 COSTAMARE INC. PERPETUAL PREFERRED SERIES C (MARSHALL ISLANDS)
2023    CMRE.D 5/15/2015 2.15 COSTAMARE INC. 8.75% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
2024    CMRX 4/11/2013 33 CHIMERIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2025    CMS 1/2/1998 117 CMS ENERGY CORPORATION COMMON STOCK Power Generation Utilities
2026    CMS.B 5/16/2007 0.66 CMS ENERGY CORPORATION PREFERRED STOCK
2027    CMS.C 7/9/2021 1.83 CMS ENERGY CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.200% CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK SERIES C
2028    CMSA 3/13/2018 1.94 CMS ENERGY CORPORATION 5.625% JUNIOR SUBORDINATED NOTES DUE 2078 Power Generation Utilities
2029    CMSC 10/1/2018 2.31 CMS ENERGY CORPORATION 5.875% JUNIOR SUBORDINATED NOTES DUE 2078 Power Generation Utilities
2030    CMSD 2/21/2019 4.85 CMS ENERGY CORPORATION 5.875% JUNIOR SUBORDINATED NOTES DUE 2079 Power Generation Utilities
2031    CMT 9/3/2002 11 CORE MOLDING TECHNOLOGIES INC COMMON STOCK Plastic Products Industrials
2032    CMTG 11/3/2021 8.23 CLAROS MORTGAGE TRUST INC. COMMON STOCK Real Estate Finance
2033    CMTL 1/2/1998 59 COMTECH TELECOMMUNICATIONS CORP. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
2034    CMU 1/2/1998 17 MFS MUNICIPAL INCOME TRUST COMMON STOCK Investment Managers Finance
2035    CNA 1/2/1998 72 CNA FINANCIAL CORPORATION COMMON STOCK Property-Casualty Insurers Finance
2036    CNBS 7/23/2019 3.77 AMPLIFY SEYMOUR CANNABIS ETF Exchange Traded Fund Financial
2037    CNC 10/16/2003 83 CENTENE CORPORATION COMMON STOCK Medical Specialities Health Care
2038    CNCK 12/11/2024 0.26 COINCHECK GROUP N.V. ORDINARY SHARES Finance: Consumer Services Finance
2039    CNCKW 12/11/2024 0.04 COINCHECK GROUP N.V. WARRANTS
2040    CNCR 10/14/2015 1.99 RANGE CANCER THERAPEUTICS ETF Exchange Traded Fund Financial
2041    CNDA 3/23/2010 1.34
2042    CNDT 12/13/2016 31 CONDUENT INCORPORATED COMMON STOCK Business Services Consumer Discretionary
2043    CNEQ 4/5/2024 0.07 THE ALGER ETF TRUST ALGER CONCENTRATED EQUITY ETF Exchange Traded Fund Financial
2044    CNET 3/4/2010 11 ZW DATA ACTION TECHNOLOGIES INC. COMMON STOCK Computer Software: Programming Data Processing Technology
2045    CNEY 2/5/2021 5.7 CN ENERGY GROUP INC. CLASS A ORDINARY SHARES Major Chemicals Industrials
2046    CNF 11/7/2018 2.47 CNFINANCE HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWENTY (20) ORDINARY SHARES Finance: Consumer Services Finance
2047    CNFR 8/13/2015 1.53 CONIFER HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
2048    CNFRZ 8/30/2023 0.02 CONIFER HOLDINGS INC. 9.75% SENIOR UNSECURED NOTES DUE 2028 Property-Casualty Insurers Finance
2049    CNGL 9/3/2008 0.54
2050    CNGLW 1/21/2022 0.08
2051    CNH 1/2/1998 81 CNH INDUSTRIAL N.V. COMMON SHARES Construction/Ag Equipment/Trucks Industrials
2052    CNI 1/2/1998 109 CANADIAN NATIONAL RAILWAY COMPANY COMMON STOCK Railroads Industrials
2053    CNK 4/24/2007 80 CINEMARK HOLDINGS INC CINEMARK HOLDINGS INC. COMMON STOCK Movies/Entertainment Consumer Discretionary
2054    CNL 1/2/1998 49 COLLECTIVE MINING LTD. COMMON SHARES
2055    CNM 7/23/2021 14 CORE & MAIN INC. CLASS A COMMON STOCK Durable Goods Consumer Discretionary
2056    CNMD 1/2/1998 63 CONMED CORPORATION COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2057    CNNE 11/20/2017 23 CANNAE HOLDINGS INC. COMMON STOCK Restaurants Consumer Discretionary
2058    CNO 9/12/2003 96 CNO FINANCIAL GROUP INC. COMMON STOCK Accident &Health Insurance Finance
2059    CNO.A 11/30/2020 0.5 CNO FINANCIAL GROUP INC. 5.125% SUBORDINATED DEBENTURES DUE 2060
2060    CNOB 2/12/2013 19 CONNECTONE BANCORP INC. COMMON STOCK Major Banks Finance
2061    CNOBP 8/30/2021 0.41 CONNECTONE BANCORP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.25% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
2062    CNP 10/1/2002 108 CENTERPOINT ENERGY INC (HOLDING CO) COMMON STOCK Electric Utilities: Central Utilities
2063    CNQ 2/3/2003 104 CANADIAN NATURAL RESOURCES LIMITED COMMON STOCK Oil & Gas Production Energy
2064    CNR 11/14/2017 27 CORE NATURAL RESOURCES INC. COMMON STOCK Coal Mining Energy
2065    CNRG 10/23/2018 2.8 SPDR S&P KENSHO CLEAN POWER ETF Exchange Traded Fund Financial
2066    CNS 8/16/2004 47 COHEN & STEERS INC COMMON STOCK Investment Managers Finance
2067    CNSP 11/8/2019 9.62 CNS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2068    CNTA 5/28/2021 5.68 CENTESSA PHARMACEUTICALS PLC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
2069    CNTB 3/19/2021 3.24 CONNECT BIOPHARMA HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
2070    CNTM 7/1/2022 1.26 CONNECTM TECHNOLOGY SOLUTIONS INC. COMMON STOCK Engineering & Construction Consumer Discretionary
2071    CNTX 10/20/2021 4.66 CONTEXT THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2072    CNTY 1/2/1998 24 CENTURY CASINOS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
2073    CNVS 11/28/2008 23 CINEVERSE CORP. CLASS A COMMON STOCK Consumer Electronics/Video Chains Consumer Discretionary
2074    CNX 4/30/1999 102 CNX RESOURCES CORPORATION COMMON STOCK Oil & Gas Production Energy
2075    CNXC 11/24/2020 12 CONCENTRIX CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
2076    CNXN 5/1/2007 21 PC CONNECTION INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
2077    CNXT 7/24/2014 4.06 VANECK CHINEXT ETF Exchange Traded Fund Financial
2078    CNYA 6/16/2016 5.63 ISHARES MSCI CHINA A ETF Exchange Traded Fund Financial
2079    COAL 1/24/2024 0.14 EXCHANGE TRADED CONCEPTS TRUST RANGE GLOBAL COAL INDEX ETF Exchange Traded Fund Financial
2080    COCH 4/29/2021 1.09 ENVOY MEDICAL INC. CLASS A COMMON STOCK Industrial Specialties Health Care
2081    COCHW 4/23/2021 0.41 ENVOY MEDICAL INC WARRANT Industrial Specialties Health Care
2082    COCO 2/5/1999 63 THE VITA COCO COMPANY INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
2083    COCP 11/29/2012 12 COCRYSTAL PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2084    CODA 7/19/2017 3.54 CODA OCTOPUS GROUP INC. COMMON STOCK Industrial Machinery/Components Industrials
2085    CODI 5/18/2006 43 D/B/A COMPASS DIVERSIFIED HOLDINGS SHARES OF BENEFICIAL INTEREST Home Furnishings Consumer Discretionary
2086    CODI.A 7/3/2017 1.78 COMPASS DIVERSIFIED HOLDINGS 7.250% SERIES A PREFERRED SHARES REPRESENTING BENEFICIAL INTEREST IN COMPASS DIVERSIFIED HOLDINGS
2087    CODI.B 3/16/2018 1.83 COMPASS DIVERSIFIED HOLDINGS 7.875% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE PREFERRED SHARES REPRESENTING BENEFICIAL INTERESTS IN COMPASS DIVERSIFIED HOLDINGS
2088    CODI.C 11/22/2019 1.58 COMPASS DIVERSIFIED HOLDINGS 7.875% SERIES C CUMULATIVE PREFERRED SHARES
2089    CODX 7/12/2017 15 CO-DIAGNOSTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
2090    COE 6/10/2016 4.52 51TALK ONLINE EDUCATION GROUP AMERICAN DEPOSITARY SHARES EACH REPRESENTING 60 CLASS A ORDINARY SHARES Other Consumer Services Real Estate
2091    COEP 12/17/2020 2.19 COEPTIS THERAPEUTICS HOLDINGS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2092    COEPW 12/17/2020 0.54 COEPTIS THERAPEUTICS HOLDINGS INC. WARRANTS Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2093    COF 1/2/1998 128 CAPITAL ONE FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
2094    COF.I 9/16/2019 8.62 CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES I OF THE ISSUER
2095    COF.J 2/5/2020 7.43 CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON- CUMULATIVE PERPETUAL PREFERRED STOCK SERIES J
2096    COF.K 9/21/2020 1.26 CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES K
2097    COF.L 5/6/2021 3.38 CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES L
2098    COF.N 8/2/2021 2.17 CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES N
2099    COFS 5/16/2007 1.55 CHOICEONE FINANCIAL SERVICES INC. COMMON STOCK Major Banks Finance
2100    COGT 3/29/2018 17 COGENT BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2101    COHN 9/6/2017 2.75 COHEN & COMPANY INC. Investment Bankers/Brokers/Service Finance
2102    COHR 1/2/1998 69 COHERENT CORP. COMMON STOCK Electronic Components Technology
2103    COHU 1/2/1998 55 COHU INC. COMMON STOCK Electrical Products Industrials
2104    COIN 4/14/2021 29 COINBASE GLOBAL INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
2105    COKE 1/2/1998 17 COCA-COLA CONSOLIDATED INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
2106    COLAU 1/23/2025 0.01 COLUMBUS ACQUISITION CORP UNIT
2107    COLB 1/2/1998 65 COLUMBIA BANKING SYSTEM INC. COMMON STOCK Savings Institutions Finance
2108    COLD 1/19/2018 31 AMERICOLD REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2109    COLL 5/7/2015 26 COLLEGIUM PHARMACEUTICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2110    COLM 3/27/1998 74 COLUMBIA SPORTSWEAR COMPANY COMMON STOCK Apparel Consumer Discretionary
2111    COM 3/30/2017 2.9 DIREXION AUSPICE BROAD COMMODITY STRATEGY ETF Exchange Traded Fund Financial
2112    COMB 7/14/2017 2.92 GRANITESHARES BLOOMBERG COMMODITY BROAD STRATEGY NO K-1 ETF Exchange Traded Fund Financial
2113    COMM 10/25/2013 47 COMMSCOPE HOLDING COMPANY INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
2114    COMP 4/1/2021 16 COMPASS INC. CLASS A COMMON STOCK EDP Services Technology
2115    COMS 8/15/2008 20
2116    COMSP 10/27/2021 0.07
2117    COMT 10/16/2014 13 ISHARES GSCI COMMODITY DYNAMIC ROLL STRATEGY ETF Exchange Traded Fund Financial
2118    CON 7/25/2024 1.94 CONCENTRA GROUP HOLDINGS PARENT INC. COMMON STOCK Medical Specialities Health Care
2119    CONI 9/4/2024 0.95 GRANITESHARES 1X SHORT COIN DAILY ETF Exchange Traded Fund Financial
2120    CONL 8/10/2022 11 GRANITESHARES 2X LONG COIN DAILY ETF Exchange Traded Fund Financial
2121    CONY 8/15/2023 8.91 TIDAL ETF TRUST II YIELDMAX COIN OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
2122    COO 1/2/1998 83 THE COOPER COMPANIES INC. COMMON STOCK Ophthalmic Goods Health Care
2123    COOK 7/29/2021 9.78 TRAEGER INC. COMMON STOCK Consumer Electronics/Appliances Consumer Discretionary
2124    COOP 3/28/2012 31 MR. COOPER GROUP INC. COMMON STOCK Finance: Consumer Services Finance
2125    COOT 3/22/2024 0.33 AUSTRALIAN OILSEEDS HOLDINGS LIMITED ORDINARY SHARES Packaged Foods Consumer Staples
2126    COOTW 3/22/2024 0.1 AUSTRALIAN OILSEEDS HOLDINGS LIMITED WARRANT Packaged Foods Consumer Staples
2127    COP 9/3/2002 116 CONOCOPHILLIPS COMMON STOCK Integrated oil Companies Energy
2128    COPJ 2/2/2023 0.32 SPROTT JUNIOR COPPER MINERS ETF Exchange Traded Fund Financial
2129    COPP 3/6/2024 0.39 SPROTT COPPER MINERS ETF Exchange Traded Fund Financial
2130    COPX 4/20/2010 23 GLOBAL X COPPER MINERS ETF Exchange Traded Fund Financial
2131    COR 9/23/2010 44 CENCORA INC. COMMON STOCK Other Pharmaceuticals Health Care
2132    CORN 6/9/2010 19 TEUCRIUM CORN FUND ETV Exchange Traded Fund Financial
2133    CORO 12/4/2024 0.01 ISHARES INTERNATIONAL COUNTRY ROTATION ACTIVE ETF Exchange Traded Fund Financial
2134    CORP 9/21/2010 9.39 PIMCO INVESTMENT GRADE CORPORATE BOND INDEX EXCHANGE-TRADED FU Exchange Traded Fund Financial
2135    CORT 4/14/2004 47 CORCEPT THERAPEUTICS INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2136    CORZ 4/8/2021 12 CORE SCIENTIFIC INC. COMMON STOCK Finance: Consumer Services Finance
2137    CORZW 4/8/2021 2.84 CORE SCIENTIFIC INC. TRANCHE 1 WARRANTS Finance: Consumer Services Finance
2138    CORZZ 1/24/2024 1.45 CORE SCIENTIFIC INC. TRANCHE 2 WARRANTS Finance: Consumer Services Finance
2139    COSM 7/23/2010 7.82 COSMOS HEALTH INC. COMMON STOCK Other Pharmaceuticals Health Care
2140    COST 1/2/1998 134 COSTCO WHOLESALE CORPORATION COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
2141    COTY 6/13/2013 53 COTY INC. CLASS A COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
2142    COUR 3/31/2021 16 COURSERA INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2143    COWG 12/30/2022 1.73 PACER US LARGE CAP CASH COWS GROWTH LEADERS ETF Exchange Traded Fund Financial
2144    COWS 9/13/2023 0.17 AMPLIFY CASH FLOW DIVIDEND LEADERS ETF Exchange Traded Fund Financial
2145    COWZ 12/22/2016 18 PACER US CASH COWS 100 ETF Exchange Traded Fund Financial
2146    COYA 12/29/2022 1.32 COYA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2147    CP 1/2/1998 100 CANADIAN PACIFIC KANSAS CITY LIMITED COMMON SHARES Railroads Industrials
2148    CPA 12/15/2005 65 COPA HOLDINGS S.A. CLASS A COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
2149    CPAC 2/22/2012 2.98 CEMENTOS PACASMAYO S.A.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING FIVE COMMON SHARES) Building Materials Industrials
2150    CPAI 11/29/2023 0.11 NORTHERN LIGHTS FUND TRUST III COUNTERPOINT QUANTITATIVE EQUIT Exchange Traded Fund Financial
2151    CPAY 5/17/2007 52 CORPAY INC. COMMON STOCK Business Services Consumer Discretionary
2152    CPB 1/2/1998 123 THE CAMPBELL'S COMPANY COMMON STOCK Packaged Foods Consumer Staples
2153    CPBI 10/20/2023 0.2 CENTRAL PLAINS BANCSHARES INC. COMMON STOCK Savings Institutions Finance
2154    CPER 11/15/2011 7.57 UNITED STATES COPPER INDEX FUND ETV Exchange Traded Fund Financial
2155    CPF 12/31/2002 49 CENTRAL PACIFIC FINANCIAL CORP NEW Major Banks Finance
2156    CPHC 9/8/2008 1.19 CANTERBURY PARK HOLDING CORPORATION 'NEW' COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
2157    CPHI 5/4/2006 16 CHINA PHARMA HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2158    CPII 6/29/2022 0.03 TIDAL ETF TRUST IONIC INFLATION PROTECTION ETF Exchange Traded Fund Financial
2159    CPIX 8/11/2009 8.07 CUMBERLAND PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2160    CPK 1/2/1998 22 CHESAPEAKE UTILITIES CORPORATION COMMON STOCK Oil & Gas Production Utilities
2161    CPLB 6/29/2021 0.17 NYLI MACKAY CORE PLUS BOND ETF Exchange Traded Fund Financial
2162    CPLS 7/2/2024 0.04 AB CORE PLUS BOND ETF Exchange Traded Fund Financial
2163    CPNG 3/11/2021 22 COUPANG INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
2164    CPNJ 6/3/2024 0.09 CALAMOS ETF TRUST CALAMOS NASDAQ - 100 STRUCTURED ALT PROTECTI Exchange Traded Fund Financial
2165    CPNQ 12/2/2024 0.04 CALAMOS ETF TRUST CALAMOS NASDAQ-100 STRUCTURED ALT PROTECTION Exchange Traded Fund Financial
2166    CPNS 9/3/2024 0.05 CALAMOS ETF TRUST CALAMOS NASDAQ-100 STRUCTURED ALT PROTECTION Exchange Traded Fund Financial
2167    CPOP 6/30/2021 3.84 POP CULTURE GROUP CO. LTD CLASS A ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
2168    CPRI 12/15/2011 59 CAPRI HOLDINGS LIMITED ORDINARY SHARES Apparel Consumer Discretionary
2169    CPRJ 7/1/2024 0.07 CALAMOS ETF TRUST CALAMOS RUSSELL 2000 STRUCTURED ALT PROTECTI Exchange Traded Fund Financial
2170    CPRO 10/1/2024 0.06 CALAMOS ETF TRUST CALAMOS RUSSELL 2000 STRUCTURED ALT PROTECTI Exchange Traded Fund Financial
2171    CPRT 1/2/1998 89 COPART INC. (DE) COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
2172    CPRX 11/15/2006 43 CATALYST PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2173    CPS 10/17/2013 20 COOPER-STANDARD HOLDINGS INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
2174    CPSA 8/1/2024 0.07 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2175    CPSD 12/2/2024 0.06 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2176    CPSH 5/16/2007 6.51 CPS TECHNOLOGIES CORP. COMMON STOCK Building Materials Consumer Discretionary
2177    CPSJ 7/1/2024 0.06 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2178    CPSM 5/1/2024 0.2 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2179    CPSN 11/1/2024 0.03 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2180    CPSO 10/1/2024 0.03 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2181    CPSR 8/24/2020 0.67
2182    CPSS 1/2/1998 15 CONSUMER PORTFOLIO SERVICES INC. COMMON STOCK Finance: Consumer Services Finance
2183    CPST 6/30/2000 55 CALAMOS ETF TRUST CALAMOS S&P 500 STRUCTURED ALT PROTECTION ET Exchange Traded Fund Financial
2184    CPT 1/2/1998 93 CAMDEN PROPERTY TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
2185    CPZ 11/26/2019 4.52 CALAMOS LONG/SHORT EQUITY & DYNAMIC INCOME TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
2186    CQP 3/21/2007 42 CHENIERE ENERGY PARTNERS LP COMMON UNITS Oil/Gas Transmission Utilities
2187    CQQQ 1/22/2010 19 INVESCO CHINA TECHNOLOGY ETF Exchange Traded Fund Financial
2188    CR 3/29/2023 4.28 CRANE COMPANY COMMON STOCK Metal Fabrications Industrials
2189    CRAI 4/24/1998 28 CRA INTERNATIONAL INC. COMMON STOCK Other Consumer Services Consumer Discretionary
2190    CRAK 8/20/2015 2.08 VANECK OIL REFINERS ETF Exchange Traded Fund Financial
2191    CRBD 12/6/2024 0.3 COREBRIDGE FINANCIAL INC. 6.375% JUNIOR SUBORDINATED NOTES DUE 2064 Life Insurance Finance
2192    CRBG 9/16/2022 12 COREBRIDGE FINANCIAL INC. COMMON STOCK Life Insurance Finance
2193    CRBN 12/11/2014 2.73 ISHARES MSCI ACWI LOW CARBON TARGET ETF Exchange Traded Fund Financial
2194    CRBP 4/16/2015 28 CORBUS PHARMACEUTICALS HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2195    CRBU 7/23/2021 13 CARIBOU BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2196    CRC 10/28/2020 16 CALIFORNIA RESOURCES CORPORATION COMMON STOCK Oil & Gas Production Energy
2197    CRCT 3/26/2021 11 CRICUT INC. CLASS A COMMON STOCK Industrial Machinery/Components Technology
2198    CRD.A 1/2/1998 12 CRAWFORD & COMPANY
2199    CRD.B 1/2/1998 18 CRAWFORD & COMPANY
2200    CRDF 3/2/2010 27 CARDIFF ONCOLOGY INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2201    CRDL 8/10/2021 5.18 CARDIOL THERAPEUTICS INC. CLASS A COMMON SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2202    CRDO 1/27/2022 13 CREDO TECHNOLOGY GROUP HOLDING LTD ORDINARY SHARES Semiconductors Technology
2203    CRDT 6/27/2023 0.26 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY OPPORTUNISTIC INCOME E Exchange Traded Fund Financial
2204    CRED 5/5/2023 0.02 COLUMBIA ETF TRUST I COLUMBIA RESEARCH ENHANCED REAL ESTATE ET Exchange Traded Fund Financial
2205    CREG 3/8/2007 9.98 SMART POWERR CORP. COMMON STOCK Business Services Consumer Discretionary
2206    CRESW 5/29/2008 0.63 CRESUD S.A.C.I.F. Y A. WARRANT Real Estate Finance
2207    CRESY 1/2/1998 36 CRESUD S.A.C.I.F. Y A. AMERICAN DEPOSITARY SHARES Real Estate Finance
2208    CREV 11/3/2023 0.52 CARBON REVOLUTION PUBLIC LIMITED ORDINARY SHARES Auto Parts:O.E.M. Consumer Discretionary
2209    CREVW 11/3/2023 0.16 CARBON REVOLUTION PUBLIC LIMITED COMPANY WARRANT Auto Parts:O.E.M. Consumer Discretionary
2210    CREX 11/15/2018 5.42 CREATIVE REALITIES INC. COMMON STOCK EDP Services Technology
2211    CRF 2/21/2003 30 CORNERSTONE TOTAL RETURN FUND INC. (THE) COMMON STOCK Finance/Investors Services Finance
2212    CRGO 1/26/2023 0.96 FREIGHTOS LIMITED ORDINARY SHARES Oil Refining/Marketing Consumer Discretionary
2213    CRGOW 1/30/2023 0.15 FREIGHTOS LIMITED WARRANTS Oil Refining/Marketing Consumer Discretionary
2214    CRGX 11/10/2023 2.61 CARGO THERAPEUTICS INC. COMMON STOCK
2215    CRGY 12/8/2021 13 CRESCENT ENERGY COMPANY CLASS A COMMON STOCK Oil & Gas Production Energy
2216    CRH 3/8/2004 61 CRH PLC ORDINARY SHARES Building Materials Industrials
2217    CRI 10/28/2003 84 CARTER'S INC. COMMON STOCK Apparel Consumer Discretionary
2218    CRIS 8/1/2000 51 CURIS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2219    CRIT 3/30/2022 0.18 EXCHANGE TRADED CONCEPTS TRUST OPTICA RARE EARTHS & CRITICAL M Exchange Traded Fund Financial
2220    CRK 1/2/1998 90 COMSTOCK RESOURCES INC. COMMON STOCK Oil & Gas Production Energy
2221    CRKN 1/26/2021 12
2222    CRL 6/23/2000 82 CHARLES RIVER LABORATORIES INTERNATIONAL INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
2223    CRM 6/23/2004 106 SALESFORCE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2224    CRMD 5/13/2010 26 CORMEDIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2225    CRML 2/28/2024 0.72 CRITICAL METALS CORP. ORDINARY SHARES Metal Mining Basic Materials
2226    CRMLW 2/28/2024 0.13 CRITICAL METALS CORP. WARRANTS Metal Mining Basic Materials
2227    CRMT 5/10/2002 28 AMERICA'S CAR-MART INC COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
2228    CRNC 9/16/2019 19 CERENCE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2229    CRNT 9/6/2000 45 CERAGON NETWORKS LTD. ORDINARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
2230    CRNX 7/18/2018 14 CRINETICS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2231    CRON 11/4/2009 32 CRONOS GROUP INC. COMMON SHARE Medicinal Chemicals and Botanical Products Health Care
2232    CROX 2/8/2006 81 CROCS INC. COMMON STOCK Shoe Manufacturing Consumer Discretionary
2233    CRPT 9/21/2021 2.6 FIRST TRUST SKYBRIDGE CRYPTO INDUSTRY AND DIGITAL ECONOMY ETF Exchange Traded Fund Financial
2234    CRS 1/2/1998 85 CARPENTER TECHNOLOGY CORPORATION COMMON STOCK Steel/Iron Ore Industrials
2235    CRSH 5/2/2024 1.15 TIDAL TRUST II YIELDMAX SHORT TSLA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
2236    CRSP 10/19/2016 34 CRISPR THERAPEUTICS AG COMMON SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2237    CRSR 9/23/2020 17 CORSAIR GAMING INC. COMMON STOCK Computer peripheral equipment Technology
2238    CRT 1/2/1998 13 CROSS TIMBERS ROYALTY TRUST COMMON STOCK Oil & Gas Production Energy
2239    CRTC 11/16/2023 0.11 DBX ETF TRUST XTRACKERS US NATIONAL CRITICAL TECHNOLOGIES ETF Exchange Traded Fund Financial
2240    CRTD 9/11/2020 5.83
2241    CRTDW 9/11/2020 0.32
2242    CRTO 10/30/2013 34 CRITEO S.A. AMERICAN DEPOSITARY SHARES Advertising Consumer Discretionary
2243    CRUS 1/2/1998 100 CIRRUS LOGIC INC. COMMON STOCK Semiconductors Technology
2244    CRUZ 6/4/2021 1.65 DEFIANCE HOTEL AIRLINE AND CRUISE ETF Exchange Traded Fund Financial
2245    CRVL 1/2/1998 21 CORVEL CORP. COMMON STOCK Specialty Insurers Finance
2246    CRVO 7/28/2008 14 CERVOMED INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2247    CRVS 3/23/2016 14 CORVUS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2248    CRWD 7/20/2012 32 CROWDSTRIKE HOLDINGS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2249    CRWL 11/12/2024 0.44 GRANITESHARES 2X LONG CRWD DAILY ETF Exchange Traded Fund Financial
2250    CRWS 3/13/2007 4.7 CROWN CRAFTS INC COMMON STOCK Textiles Consumer Discretionary
2251    CSA 7/8/2015 0.45 VICTORYSHARES US SMALL CAP VOLATILITY WTD ETF Exchange Traded Fund Financial
2252    CSAI 1/30/2025 0.36 CLOUDASTRUCTURE INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
2253    CSAN 3/8/2021 12 COSAN S.A. ADS Retail-Auto Dealers and Gas Stations Consumer Discretionary
2254    CSB 7/29/2015 2.64 VICTORYSHARES US SMALL CAP HIGH DIV VOLATILITY WTD ETF Exchange Traded Fund Financial
2255    CSBR 5/16/2007 3.92 CHAMPIONS ONCOLOGY INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2256    CSCI 5/16/2007 31 COSCIENS BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2257    CSCO 1/2/1998 165 CISCO SYSTEMS INC. COMMON STOCK (DE) Computer Communications Equipment Telecommunications
2258    CSD 12/15/2006 6.69 INVESCO S&P SPIN-OFF ETF Exchange Traded Fund Financial
2259    CSF 8/1/2014 1.57 VICTORYSHARES US DISCOVERY ENHANCED VOLATILITY WTD ETF Exchange Traded Fund Financial
2260    CSGP 8/2/1999 58 COSTAR GROUP INC. COMMON STOCK Business Services Consumer Discretionary
2261    CSGS 1/2/1998 78 CSG SYSTEMS INTERNATIONAL INC. COMMON STOCK EDP Services Technology
2262    CSHI 8/30/2022 1.64 NEOS ENHANCED INCOME 1-3 MONTH T-BILL ETF Exchange Traded Fund Financial
2263    CSHP 8/1/2024 0.01 ISHARES ENHANCED SHORT-TERM BOND ACTIVE ETF Exchange Traded Fund Financial
2264    CSIQ 11/9/2006 75 CANADIAN SOLAR INC. COMMON SHARES (ON) Semiconductors Technology
2265    CSL 1/2/1998 81 CARLISLE COMPANIES INCORPORATED COMMON STOCK Specialty Chemicals Industrials
2266    CSLR 7/18/2023 2.43 COMPLETE SOLARIA INC. COMMON STOCK Semiconductors Technology
2267    CSLRW 7/18/2023 0.15 COMPLETE SOLARIA INC. WARRANTS Semiconductors Technology
2268    CSM 7/14/2009 6.34 PROSHARES LARGE CAP CORE PLUS Exchange Traded Fund Financial
2269    CSMD 8/22/2023 0.24 PROFESSIONALLY MANAGED PORTFOLIOS CONGRESS SMID GROWTH ETF Exchange Traded Fund Financial
2270    CSPI 4/21/2006 3.81 CSP INC. COMMON STOCK EDP Services Technology
2271    CSQ 4/1/2004 53 CALAMOS STRATEGIC TOTAL RETURN COMMON STOCK Finance Companies Finance
2272    CSR 10/29/2007 44 D/B/A CENTERSPACE COMMON STOCK Real Estate Investment Trusts Real Estate
2273    CSRE 9/12/2011 0.75
2274    CSTE 3/22/2012 23 CAESARSTONE LTD. ORDINARY SHARES Building Materials Industrials
2275    CSTL 7/25/2019 13 CASTLE BIOSCIENCES INC. COMMON STOCK Medical Specialities Health Care
2276    CSTM 5/23/2013 43 CONSTELLIUM SE ORDINARY SHARES (FRANCE) Metal Fabrications Industrials
2277    CSV 5/8/1998 28 CARRIAGE SERVICES INC. COMMON STOCK Other Consumer Services Consumer Discretionary
2278    CSWC 1/2/1998 22 CAPITAL SOUTHWEST CORPORATION COMMON STOCK Textiles Consumer Discretionary
2279    CSWCZ 6/15/2023 0.28 CAPITAL SOUTHWEST CORPORATION 7.75% NOTES DUE 2028 Finance Companies Finance
2280    CSWI 9/30/2015 9.67 CSW INDUSTRIALS INC. COMMON STOCK Home Furnishings Industrials
2281    CSX 1/2/1998 128 CSX CORPORATION COMMON STOCK Railroads Industrials
2282    CTA 3/8/2022 3.25 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY MANAGED FUTURES STRATE Exchange Traded Fund Financial
2283    CTA.A 5/16/2007 0.48 EIDP INC. PREFERRED STOCK $3.50 SERIES
2284    CTA.B 5/17/2007 0.91 EIDP INC. PREFERRED STOCK $4.50 SERIES
2285    CTAS 1/2/1998 108 CINTAS CORPORATION COMMON STOCK Apparel Consumer Discretionary
2286    CTBB 8/23/2016 10 QWEST CORPORATION 6.5% NOTES DUE 2056 Telecommunications Equipment Telecommunications
2287    CTBI 1/2/1998 22 COMMUNITY TRUST BANCORP INC. COMMON STOCK Major Banks Finance
2288    CTCX 9/23/2021 1.43
2289    CTCXW 9/20/2021 0.14
2290    CTDD 4/28/2017 6.91 QWEST CORPORATION 6.75% NOTES DUE 2057 Telecommunications Equipment Telecommunications
2291    CTEC 10/29/2020 2.77 GLOBAL X CLEANTECH ETF Exchange Traded Fund Financial
2292    CTEV 10/19/2009 0.05 CLARITEV CORPORATION CLASS A COMMON STOCK Business Services Consumer Discretionary
2293    CTEX 9/30/2021 0.12 PROSHARES S&P KENSHO CLEANTECH ETF Exchange Traded Fund Financial
2294    CTGO 12/20/2010 1.68 CONTANGO ORE INC. COMMON STOCK Precious Metals Basic Materials
2295    CTHR 1/2/1998 16 CHARLES & COLVARD LTD COMMON STOCK Consumer Specialties Consumer Discretionary
2296    CTKB 7/23/2021 11 CYTEK BIOSCIENCES INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
2297    CTLP 5/16/2007 29 CANTALOUPE INC. COMMON STOCK Office Equipment/Supplies/Services Miscellaneous
2298    CTM 10/13/2022 3.98 CASTELLUM INC. COMMON STOCK Professional Services Consumer Discretionary
2299    CTMX 10/8/2015 24 CYTOMX THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2300    CTNM 4/5/2024 0.7 CONTINEUM THERAPEUTICS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2301    CTNT 8/1/2023 3.21 CHEETAH NET SUPPLY CHAIN SERVICE INC. CLASS A COMMON STOCK Motor Vehicles Consumer Discretionary
2302    CTO 1/5/1998 16 CTO REALTY GROWTH INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2303    CTO.A 7/8/2021 0.36 CTO REALTY GROWTH INC. 6.375% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
2304    CTOR 12/8/2022 0.75 CITIUS ONCOLOGY INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2305    CTOS 10/6/2017 11 CUSTOM TRUCK ONE SOURCE INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
2306    CTRA 8/18/2016 27 COTERRA ENERGY INC. COMMON STOCK Oil & Gas Production Energy
2307    CTRE 5/29/2014 39 CARETRUST REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2308    CTRI 4/18/2024 2.24 CENTURI HOLDINGS INC. COMMON STOCK Oil & Gas Production Utilities
2309    CTRM 2/11/2019 19 CASTOR MARITIME INC. COMMON SHARES Marine Transportation Consumer Discretionary
2310    CTRN 5/18/2005 39 CITI TRENDS INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
2311    CTS 1/2/1998 54 CTS CORPORATION COMMON STOCK Electrical Products Technology
2312    CTSH 6/19/1998 114 COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION CLASS A COMMON STOCK EDP Services Technology
2313    CTSO 12/23/2014 15 CYTOSORBENTS CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
2314    CTV 9/30/2014 10
2315    CTVA 5/24/2019 28 CORTEVA INC. COMMON STOCK Farming/Seeds/Milling Consumer Staples
2316    CTXR 4/19/2016 20 CITIUS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2317    CUB 1/2/1998 43 LIONHEART HOLDINGS CLASS A ORDINARY SHARES Industrial Machinery/Components Industrials
2318    CUBA 8/26/2002 5.97 HERZFELD CARIBBEAN BASIN FUND INC. (THE) COMMON STOCK Investment Managers Finance
2319    CUBB 12/23/2019 0.51 CUSTOMERS BANCORP INC 5.375% SUBORDINATED NOTES DUE 2034 Major Banks Finance
2320    CUBE 5/1/2007 78 CUBESMART COMMON SHARES Real Estate Investment Trusts Real Estate
2321    CUBI 4/11/2012 27 CUSTOMERS BANCORP INC COMMON STOCK Major Banks Finance
2322    CUBI.E 4/29/2016 0.9 CUSTOMERS BANCORP INC FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E
2323    CUBI.F 9/21/2016 1.35 CUSTOMERS BANCORP INC FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES F
2324    CUBWU 6/18/2024 0.03 LIONHEART HOLDINGS UNIT Blank Checks Finance
2325    CUBWW 8/9/2024 0.02 LIONHEART HOLDINGS WARRANT
2326    CUE 1/2/2018 13 CUE BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2327    CUEN 2/2/2021 2.83
2328    CUK 4/21/2003 61 CARNIVAL PLC ADS ADS Marine Transportation Consumer Discretionary
2329    CULL 10/9/2009 0.22
2330    CULP 5/16/2007 12 CULP INC. COMMON STOCK Textiles Consumer Discretionary
2331    CURB 9/26/2024 1.34 CURBLINE PROPERTIES CORP. COMMON STOCK Real Estate Finance
2332    CURE 6/15/2011 20 DIREXION DAILY HEALTHCARE BULL 3X SHARES Exchange Traded Fund Financial
2333    CURI 1/8/2020 10 CURIOSITYSTREAM INC. CLASS A COMMON STOCK Movies/Entertainment Consumer Discretionary
2334    CURIW 1/7/2020 0.76 CURIOSITYSTREAM INC. WARRANT Movies/Entertainment Consumer Discretionary
2335    CURR 9/3/2024 0.68 CURRENC GROUP INC. ORDINARY SHARES Business Services Consumer Discretionary
2336    CURV 7/1/2021 7.27 TORRID HOLDINGS INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
2337    CUT 11/9/2007 8.5 INVESCO MSCI GLOBAL TIMBER ETF Exchange Traded Fund Financial
2338    CUTR 3/31/2004 38 CUTERA INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2339    CUZ 1/2/1998 92 COUSINS PROPERTIES INCORPORATED COMMON STOCK Real Estate Investment Trusts Real Estate
2340    CVAC 11/28/2008 15 CUREVAC N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
2341    CVAR 12/23/2021 0.04 ETF OPPORTUNITIES TRUST CULTIVAR ETF Exchange Traded Fund Financial
2342    CVBF 6/12/2001 79 CVB FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
2343    CVCO 7/1/2003 18 CAVCO INDUSTRIES INC. COMMON STOCK WHEN ISSUED Homebuilding Consumer Discretionary
2344    CVE 12/9/2009 74 CENOVUS ENERGY INC COMMON STOCK Oil & Gas Production Energy
2345    CVEO 6/2/2014 26 CIVEO CORPORATION (CANADA) COMMON SHARES Hotels/Resorts Consumer Discretionary
2346    CVGI 8/9/2004 40 COMMERCIAL VEHICLE GROUP INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
2347    CVGW 7/23/2002 31 CALAVO GROWERS INC. COMMON STOCK Specialty Foods Consumer Discretionary
2348    CVI 10/23/2007 71 CVR ENERGY INC. COMMON STOCK Integrated oil Companies Energy
2349    CVIE 2/1/2023 0.23 MORGAN STANLEY ETF TRUST CALVERT INTERNATIONAL RESPONSIBLE IND Exchange Traded Fund Financial
2350    CVKD 1/20/2023 1.72 CADRENAL THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2351    CVLC 2/1/2023 0.24 MORGAN STANLEY ETF TRUST CALVERT US LARGE-CAP CORE RESPONSIBLE Exchange Traded Fund Financial
2352    CVLG 5/16/2007 24 COVENANT LOGISTICS GROUP INC. CLASS A COMMON STOCK Trucking Freight/Courier Services Industrials
2353    CVLT 9/22/2006 58 COMMVAULT SYSTEMS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2354    CVM 2/7/2000 40 CEL-SCI CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2355    CVMC 2/1/2023 0.07 MORGAN STANLEY ETF TRUST CALVERT US MID-CAP CORE RESPONSIBLE I Exchange Traded Fund Financial
2356    CVNA 4/28/2017 39 CARVANA CO. CLASS A COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
2357    CVR 1/2/1998 1.58 CHICAGO RIVET & MACHINE CO. COMMON STOCK Industrial Machinery/Components Industrials
2358    CVRD 8/22/2023 0.02 MADISON ETFS TRUST MADISON COVERED CALL ETF Exchange Traded Fund Financial
2359    CVRT 10/4/2023 0.11 CALAMOS ETF TRUST CALAMOS CONVERTIBLE EQUITY ALTERNATIVE ETF Exchange Traded Fund Financial
2360    CVRX 8/1/2007 5.3 CVRX INC. COMMON STOCK Medical/Dental Instruments Health Care
2361    CVS 1/2/1998 133 CVS HEALTH CORPORATION COMMON STOCK Retail-Drug Stores and Proprietary Stores Consumer Staples
2362    CVSB 2/1/2023 0.24 MORGAN STANLEY ETF TRUST CALVERT ULTRA-SHORT INVESTMENT GRADE Exchange Traded Fund Financial
2363    CVSE 2/1/2023 0.03 MORGAN STANLEY ETF TRUST CALVERT US SELECT EQUITY ETF Exchange Traded Fund Financial
2364    CVU 9/5/2000 8.65 CPI AEROSTRUCTURES INC. COMMON STOCK Military/Government/Technical Industrials
2365    CVV 6/4/2001 7.66 CVD EQUIPMENT CORPORATION COMMON STOCK Industrial Machinery/Components Technology
2366    CVX 10/10/2001 124 CHEVRON CORPORATION COMMON STOCK Integrated oil Companies Energy
2367    CVY 9/21/2006 17 INVESCO ZACKS MULTI-ASSET INCOME ETF Exchange Traded Fund Financial
2368    CW 1/2/1998 61 CURTISS-WRIGHT CORPORATION COMMON STOCK Industrial Machinery/Components Technology
2369    CWAN 9/24/2021 12 CLEARWATER ANALYTICS HOLDINGS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2370    CWB 4/16/2009 49 SPDR BLOOMBERG CONVERTIBLE SECURITIES ETF Exchange Traded Fund Financial
2371    CWBC 2/27/2004 1.91 COMMUNITY WEST BANCSHARES COMMON STOCK Major Banks Finance
2372    CWCO 3/8/1999 28 CONSOLIDATED WATER CO. LTD. ORDINARY SHARES Water Supply Utilities
2373    CWD 5/17/2023 0.66 CALIBERCOS INC. CLASS A COMMON STOCK Real Estate Finance
2374    CWEB 11/10/2016 22 DIREXION DAILY CSI CHINA INTERNET INDEX BULL 2X SHARES Exchange Traded Fund Financial
2375    CWEN 9/17/2018 26 CLEARWAY ENERGY INC. CLASS C COMMON STOCK Electric Utilities: Central Utilities
2376    CWEN.A 9/17/2018 16
2377    CWH 10/7/2016 36 CAMPING WORLD HOLDINGS INC. CLASS A COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
2378    CWI 1/17/2007 27 SPDR MSCI ACWI EX-US ETF Exchange Traded Fund Financial
2379    CWK 8/2/2018 25 CUSHMAN & WAKEFIELD PLC ORDINARY SHARES Real Estate Finance
2380    CWS 9/21/2016 1.03 ADVISORSHARES FOCUSED EQUITY ETF Exchange Traded Fund Financial
2381    CWST 1/2/1998 46 CASELLA WASTE SYSTEMS INC. CLASS A COMMON STOCK Environmental Services Utilities
2382    CWT 1/2/1998 56 CALIFORNIA WATER SERVICE GROUP COMMON STOCK Water Supply Utilities
2383    CX 9/15/1999 109 CEMEX S.A.B. DE C.V. SPONSORED ADR Building Materials Industrials
2384    CXAI 2/4/2021 6.5 CXAPP INC. CLASS A COMMON STOCK EDP Services Technology
2385    CXAIW 2/4/2021 1.12 CXAPP INC. WARRANT EDP Services Technology
2386    CXDO 3/27/2018 3.45 CREXENDO INC. COMMON STOCK Telecommunications Equipment Telecommunications
2387    CXE 1/2/1998 20 MFS HIGH INCOME MUNICIPAL TRUST COMMON STOCK Investment Managers Finance
2388    CXH 1/2/1998 6.93 MFS INVESTMENT GRADE MUNICIPAL TRUST COMMON STOCK Investment Managers Finance
2389    CXM 8/1/2007 20 SPRINKLR INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2390    CXSE 9/20/2012 6.68 WISDOMTREE CHINA EX-STATE-OWNED ENTERPRISES FUND Exchange Traded Fund Financial
2391    CXT 4/4/2023 5.11 CRANE NXT CO. COMMON STOCK Metal Fabrications Industrials
2392    CXW 10/2/2000 86 CORECIVIC INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2393    CYAN 1/2/1998 5.09
2394    CYBN 8/5/2021 14 CYBIN INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
2395    CYBR 9/24/2014 39 CYBERARK SOFTWARE LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
2396    CYCC 3/28/2006 24 CYCLACEL PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2397    CYCCP 7/5/2006 0.36 CYCLACEL PHARMACEUTICALS INC. 6% CONVERTIBLE PREFERRED STOCK Biotechnology: Pharmaceutical Preparations Health Care
2398    CYCN 3/18/2019 7.53 CYCLERION THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2399    CYCU 2/18/2025 0.58 CYCURION INC. COMMON STOCK EDP Services Technology
2400    CYCUW 2/18/2025 0.02 CYCURION INC. WARRANT EDP Services Technology
2401    CYD 1/2/1998 37 CHINA YUCHAI INTERNATIONAL LIMITED COMMON STOCK Industrial Machinery/Components Industrials
2402    CYH 6/9/2000 93 COMMUNITY HEALTH SYSTEMS INC. COMMON STOCK Hospital/Nursing Management Health Care
2403    CYN 10/20/2021 9.42 CYNGN INC. COMMON STOCK EDP Services Technology
2404    CYRX 5/16/2007 23 CRYOPORT INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2405    CYTH 5/18/2007 4.3 CYCLO THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2406    CYTHW 12/9/2020 0.18 CYCLO THERAPEUTICS INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2407    CYTK 4/30/2004 54 CYTOKINETICS INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2408    CZA 4/3/2007 3.35 INVESCO ZACKS MID-CAP ETF Exchange Traded Fund Financial
2409    CZAR 3/13/2024 0.04 THEMES NATURAL MONOPOLY ETF Exchange Traded Fund Financial
2410    CZFS 5/24/2007 0.76 CITIZENS FINANCIAL SERVICES INC. COMMON STOCK Major Banks Finance
2411    CZNC 1/13/2005 8.65 CITIZENS & NORTHERN CORP COMMON STOCK Major Banks Finance
2412    CZR 2/8/2012 54 CAESARS ENTERTAINMENT INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
2413    CZWI 11/10/2006 2.22 CITIZENS COMMUNITY BANCORP INC. COMMON STOCK Savings Institutions Finance
2414    D 1/2/1998 125 DOMINION ENERGY INC. COMMON STOCK Electric Utilities: Central Utilities
2415    DAC 10/16/2006 24 DANAOS CORPORATION COMMON STOCK Marine Transportation Consumer Discretionary
2416    DADA 6/5/2020 19 DADA NEXUS LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Programming Data Processing Technology
2417    DAIO 1/2/1998 7.04 DATA I/O CORPORATION COMMON STOCK Electrical Products Industrials
2418    DAKT 1/2/1998 55 DAKTRONICS INC. COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
2419    DAL 5/3/2007 98 DELTA AIR LINES INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
2420    DALI 5/15/2018 0.83 FIRST TRUST DORSEY WRIGHT DALI 1 ETF Exchange Traded Fund Financial
2421    DALN 6/8/2021 1.32 DALLASNEWS CORPORATION SERIES A COMMON STOCK Newspapers/Magazines Consumer Discretionary
2422    DAN 2/1/2008 79 DANA INCORPORATED COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
2423    DAO 10/25/2019 11 YOUDAO INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Other Consumer Services Real Estate
2424    DAPP 4/15/2021 6.48 VANECK DIGITAL TRANSFORMATION ETF Exchange Traded Fund Financial
2425    DAPR 4/19/2021 1.06 FT VEST U.S. EQUITY DEEP BUFFER ETF - APRIL Exchange Traded Fund Financial
2426    DAR 1/2/1998 77 DARLING INGREDIENTS INC. COMMON STOCK Packaged Foods Consumer Staples
2427    DARE 4/10/2014 17 DARE BIOSCIENCE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2428    DARP 12/17/2021 0.07 GRIZZLE GROWTH ETF Exchange Traded Fund Financial
2429    DASH 12/9/2020 21 DOORDASH INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
2430    DAT 9/30/2021 0.18 PROSHARES BIG DATA REFINERS ETF Exchange Traded Fund Financial
2431    DATS 8/13/2021 6.74 DATCHAT INC. COMMON STOCK Telecommunications Equipment Telecommunications
2432    DATSW 8/13/2021 0.39 DATCHAT INC. SERIES A WARRANT Telecommunications Equipment Telecommunications
2433    DAUG 11/7/2019 1.51 FT VEST U.S. EQUITY DEEP BUFFER ETF - AUGUST Exchange Traded Fund Financial
2434    DAVA 7/27/2018 14 ENDAVA PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE CLASS A ORDINARY SHARE) EDP Services Technology
2435    DAVE 1/6/2022 7.15 DAVE INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
2436    DAVEW 1/6/2022 0.63 DAVE INC. WARRANTS Finance: Consumer Services Finance
2437    DAWN 5/18/2007 11 DAY ONE BIOPHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2438    DAX 10/23/2014 1.92 GLOBAL X DAX GERMANY ETF Exchange Traded Fund Financial
2439    DAY 4/26/2018 27 DAYFORCE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2440    DB 10/3/2001 93 DEUTSCHE BANK AG COMMON STOCK Major Banks Finance
2441    DBA 1/5/2007 63 INVESCO DB AGRICULTURE FUND Exchange Traded Fund Financial
2442    DBAW 1/27/2014 2.53 XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF Exchange Traded Fund Financial
2443    DBB 1/5/2007 27 INVESCO DB BASE METALS FUND Exchange Traded Fund Financial
2444    DBC 2/6/2006 79 INVESCO DB COMMODITY INDEX TRACKING FUND Exchange Traded Fund Financial
2445    DBD 1/2/1998 89 DIEBOLD NIXDORF INCORPORATED COMMON STOCK Office Equipment/Supplies/Services Miscellaneous
2446    DBE 1/5/2007 14 INVESCO DB ENERGY FUND Exchange Traded Fund Financial
2447    DBEF 6/9/2011 41 XTRACKERS MSCI EAFE HEDGED EQUITY ETF Exchange Traded Fund Financial
2448    DBEM 6/9/2011 4.39 XTRACKERS MSCI EMERGING MARKETS HEDGED EQUITY ETF Exchange Traded Fund Financial
2449    DBEU 10/1/2013 21 XTRACKERS MSCI EUROPE HEDGED EQUITY ETF Exchange Traded Fund Financial
2450    DBEZ 12/15/2014 1.45 XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF Exchange Traded Fund Financial
2451    DBGI 5/14/2021 9.7
2452    DBI 4/30/2007 79 DESIGNER BRANDS INC. CLASS A COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
2453    DBJP 6/9/2011 15 XTRACKERS MSCI JAPAN HEDGED EQUITY ETF Exchange Traded Fund Financial
2454    DBL 1/27/2012 13 DOUBLELINE OPPORTUNISTIC CREDIT FUND COMMON SHARES OF BENEFICIAL INTEREST
2455    DBMF 5/8/2019 6.36 IMGP DBI MANAGED FUTURES STRATEGY ETF Exchange Traded Fund Financial
2456    DBND 4/8/2022 1 DOUBLELINE OPPORTUNISTIC CORE BOND ETF Exchange Traded Fund Financial
2457    DBO 1/5/2007 50 INVESCO DB OIL FUND Exchange Traded Fund Financial
2458    DBP 1/5/2007 10 INVESCO DB PRECIOUS METALS FUND Exchange Traded Fund Financial
2459    DBRG 6/27/2014 50 DIGITALBRIDGE GROUP INC. Real Estate Investment Trusts Real Estate
2460    DBRG.H 1/11/2017 2.51 DIGITALBRIDGE GROUP INC. 7.125% SERIES H
2461    DBRG.I 6/7/2017 3.47 DIGITALBRIDGE GROUP INC. 7.15% SERIES I
2462    DBRG.J 9/27/2017 3.19 DIGITALBRIDGE GROUP INC. 7.125% SERIES J
2463    DBVT 10/22/2014 15 DBV TECHNOLOGIES S.A. AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2464    DBX 5/21/2007 33 DROPBOX INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2465    DC 4/5/2022 4.1 DAKOTA GOLD CORP. COMMON STOCK Metal Mining Basic Materials
2466    DCBO 12/3/2020 4.89 DOCEBO INC. COMMON SHARES Computer Software: Prepackaged Software Technology
2467    DCGO 12/17/2020 11 DOCGO INC. COMMON STOCK Medical/Nursing Services Health Care
2468    DCI 1/2/1998 87 DONALDSON COMPANY INC. COMMON STOCK Pollution Control Equipment Industrials
2469    DCMT 2/5/2024 0.08 DOUBLELINE ETF TRUST DOUBLELINE COMMODITY STRATEGY ETF Exchange Traded Fund Financial
2470    DCO 1/2/1998 27 DUCOMMUN INCORPORATED COMMON STOCK Military/Government/Technical Industrials
2471    DCOM 1/12/1999 53 DIME COMMUNITY BANCSHARES INC. COMMON STOCK Major Banks Finance
2472    DCOMG 7/2/2024 0.1 DIME COMMUNITY BANCSHARES INC. 9.000% FIXED-TO-FLOATING RATE SUBORDINATED NOTES DUE 2034 Major Banks Finance
2473    DCOMP 1/30/2020 1.25 DIME COMMUNITY BANCSHARES INC. FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
2474    DCOR 9/13/2023 0.99 DIMENSIONAL ETF TRUST DIMENSIONAL US CORE EQUITY 1 ETF Exchange Traded Fund Financial
2475    DCRE 4/4/2023 0.4 DOUBLELINE ETF TRUST DOUBLELINE COMMERCIAL REAL ESTATE ETF Exchange Traded Fund Financial
2476    DCTH 5/2/2002 65 DELCATH SYSTEMS INC. COMMON STOCK Medical/Dental Instruments Health Care
2477    DD 5/24/2019 28 DUPONT DE NEMOURS INC. COMMON STOCK Major Chemicals Industrials
2478    DDC 11/19/2007 30 DDC ENTERPRISE LIMITED CLASS A ORDINARY SHARES Packaged Foods Consumer Staples
2479    DDD 7/21/2003 71 3D SYSTEMS CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
2480    DDEC 12/21/2020 1.03 FT VEST U.S. EQUITY DEEP BUFFER ETF - DECEMBER Exchange Traded Fund Financial
2481    DDI 10/13/2006 1.7 DOUBLEDOWN INTERACTIVE CO. LTD. AMERICAN DEPOSITORY SHARES EDP Services Technology
2482    DDIV 3/11/2014 1.35 FIRST TRUST DORSEY WRIGHT MOMENTUM & DIVIDEND ETF Exchange Traded Fund Financial
2483    DDL 6/29/2021 9.2 DINGDONG (CAYMAN) LIMITED AMERICAN DEPOSITARY SHARES (EACH TWO REPRESENTING THREE ORDINARY SHARES) Catalog/Specialty Distribution Consumer Discretionary
2484    DDLS 4/26/2016 1.91 WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUI Exchange Traded Fund Financial
2485    DDM 6/21/2006 68 PROSHARES ULTRA DOW30 Exchange Traded Fund Financial
2486    DDOG 9/19/2019 28 DATADOG INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2487    DDS 1/2/1998 96 DILLARD'S INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
2488    DDT 10/14/1998 6.69 DILLARD'S CAPITAL TRUST I Department/Specialty Retail Stores Consumer Discretionary
2489    DDWM 2/4/2016 3.32 WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND Exchange Traded Fund Financial
2490    DE 1/2/1998 128 DEERE & COMPANY COMMON STOCK Industrial Machinery/Components Industrials
2491    DEA 2/6/2015 37 EASTERLY GOVERNMENT PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2492    DEC 12/19/2023 2.74 DIVERSIFIED ENERGY COMPANY PLC ORDINARY SHARES
2493    DECA 6/7/2022 0.35 DENALI CAPITAL ACQUISITION CORP. CLASS A ORDINARY SHARES Blank Checks Finance
2494    DECAU 4/7/2022 0.04
2495    DECAW 5/31/2022 0.03 DENALI CAPITAL ACQUISITION CORP. WARRANT Blank Checks Finance
2496    DECK 1/2/1998 87 DECKERS OUTDOOR CORPORATION COMMON STOCK Shoe Manufacturing Consumer Discretionary
2497    DECO 9/10/2024 0.02 SPDR GALAXY DIGITAL ASSET ECOSYSTEM ETF Exchange Traded Fund Financial
2498    DECP 6/3/2024 0.02 PGIM S&P 500 BUFFER 12 ETF - DECEMBER Exchange Traded Fund Financial
2499    DECT 12/1/2022 0.25 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 DEC E Exchange Traded Fund Financial
2500    DECW 12/1/2022 0.54 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 DEC E Exchange Traded Fund Financial
2501    DECZ 12/1/2020 0.23 TRUESHARES STRUCTURED OUTCOME (DECEMBER) ETF Exchange Traded Fund Financial
2502    DEED 4/30/2020 1.67 FIRST TRUST TCW SECURITIZED PLUS ETF Exchange Traded Fund Financial
2503    DEEF 2/2/2016 0.81 XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF Exchange Traded Fund Financial
2504    DEEP 9/23/2014 4 ACQUIRERS SMALL AND MICRO DEEP VALUE ETF Exchange Traded Fund Financial
2505    DEFI 9/16/2022 0.11 TIDAL COMMODITIES TRUST I HASHDEX BITCOIN ETF Exchange Traded Fund Financial
2506    DEHP 4/28/2022 1.15 DIMENSIONAL ETF TRUST DIMENSIONAL EMERGING MARKETS HIGH PROFIT Exchange Traded Fund Financial
2507    DEI 10/25/2006 82 DOUGLAS EMMETT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2508    DELL 12/26/2018 33 DELL TECHNOLOGIES INC. CLASS C COMMON STOCK Computer Manufacturing Technology
2509    DEM 7/13/2007 45 WISDOMTREE EMERGING MARKETS HIGH DIVIDEND FUND Exchange Traded Fund Financial
2510    DEMZ 11/4/2020 0.27 DEMOCRATIC LARGE CAP CORE ETF Exchange Traded Fund Financial
2511    DENN 5/10/2005 61 DENNY'S CORPORATION COMMON STOCK Restaurants Consumer Discretionary
2512    DEO 1/2/1998 99 DIAGEO PLC COMMON STOCK Beverages (Production/Distribution) Consumer Staples
2513    DERM 10/3/2014 16 JOURNEY MEDICAL CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2514    DES 6/16/2006 29 WISDOMTREE U.S. SMALLCAP DIVIDEND FUND Exchange Traded Fund Financial
2515    DESK 3/22/2024 0.02 VANECK ETF TRUST VANECK OFFICE AND COMMERCIAL REIT ETF Exchange Traded Fund Financial
2516    DESP 9/20/2017 19 DESPEGAR.COM CORP. ORDINARY SHARES Transportation Services Consumer Discretionary
2517    DEUS 12/18/2015 2.14 XTRACKERS RUSSELL US MULTIFACTOR ETF Exchange Traded Fund Financial
2518    DEVS 11/7/2024 0.86 DEVVSTREAM CORP. COMMON STOCK Finance/Investors Services Finance
2519    DEW 6/16/2006 3.32 WISDOMTREE GLOBAL HIGH DIVIDEND FUND Exchange Traded Fund Financial
2520    DEXC 11/14/2024 0.1 DIMENSIONAL ETF TRUST DIMENSIONAL EMERGING MARKETS EX CHINA CO Exchange Traded Fund Financial
2521    DFAC 6/14/2021 14 DIMENSIONAL ETF TRUST DIMENSIONAL U.S. CORE EQUITY 2 ETF Exchange Traded Fund Financial
2522    DFAE 12/3/2020 12 DIMENSIONAL EMERGING CORE EQUITY MARKET ETF Exchange Traded Fund Financial
2523    DFAI 11/19/2020 13 DIMENSIONAL INTERNATIONAL CORE EQUITY MARKET ETF Exchange Traded Fund Financial
2524    DFAR 2/24/2022 4.42 DIMENSIONAL ETF TRUST DIMENSIONAL US REAL ESTATE ETF Exchange Traded Fund Financial
2525    DFAS 6/14/2021 8.2 DIMENSIONAL U.S. SMALL CAP ETF Exchange Traded Fund Financial
2526    DFAT 6/14/2021 8.39 DIMENSIONAL U.S. TARGETED VALUE ETF Exchange Traded Fund Financial
2527    DFAU 11/19/2020 11 DIMENSIONAL US CORE EQUITY MARKET ETF Exchange Traded Fund Financial
2528    DFAW 9/27/2023 0.8 DIMENSIONAL ETF TRUST DIMENSIONAL WORLD EQUITY ETF Exchange Traded Fund Financial
2529    DFAX 9/13/2021 11 DIMENSIONAL WORLD EX U.S. CORE EQUITY 2 ETF Exchange Traded Fund Financial
2530    DFCA 6/27/2023 0.34 DIMENSIONAL ETF TRUST DIMENSIONAL CALIFORNIA MUNICIPAL BOND ET Exchange Traded Fund Financial
2531    DFCF 11/16/2021 7.65 DIMENSIONAL ETF TRUST DIMENSIONAL CORE FIXED INCOME ETF Exchange Traded Fund Financial
2532    DFE 9/21/2006 14 WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND Exchange Traded Fund Financial
2533    DFEB 2/24/2020 1.73 FT VEST U.S. EQUITY DEEP BUFFER ETF - FEBRUARY Exchange Traded Fund Financial
2534    DFEM 4/27/2022 8.2 DIMENSIONAL ETF TRUST DIMENSIONAL EMERGING MARKETS CORE EQUITY Exchange Traded Fund Financial
2535    DFEN 5/3/2017 24 DIREXION DAILY AEROSPACE & DEFENSE BULL 3X SHARES Exchange Traded Fund Financial
2536    DFEV 4/27/2022 3.16 DIMENSIONAL ETF TRUST DIMENSIONAL EMERGING MARKETS VALUE ETF Exchange Traded Fund Financial
2537    DFGP 11/10/2023 1.06 DIMENSIONAL GLOBAL CORE PLUS FIXED INCOME ETF Exchange Traded Fund Financial
2538    DFGR 12/7/2022 4.29 DIMENSIONAL ETF TRUST DIMENSIONAL GLOBAL REAL ESTATE ETF Exchange Traded Fund Financial
2539    DFGX 11/8/2023 0.75 DIMENSIONAL GLOBAL EX US CORE FIXED INCOME ETF Exchange Traded Fund Financial
2540    DFH 1/21/2021 9.91 DREAM FINDERS HOMES INC. CLASS A COMMON STOCK Homebuilding Consumer Discretionary
2541    DFIC 3/24/2022 9.91 DIMENSIONAL ETF TRUST DIMENSIONAL INTERNATIONAL CORE EQUITY 2 Exchange Traded Fund Financial
2542    DFIN 9/26/2016 18 DONNELLEY FINANCIAL SOLUTIONS INC. COMMON STOCK Other Consumer Services Consumer Discretionary
2543    DFIP 11/16/2021 2.37 DIMENSIONAL ETF TRUST DIMENSIONAL INFLATION-PROTECTED SECURITI Exchange Traded Fund Financial
2544    DFIS 3/24/2022 4.54 DIMENSIONAL ETF TRUST DIMENSIONAL INTERNATIONAL SMALL CAP ETF Exchange Traded Fund Financial
2545    DFIV 9/13/2021 11 DIMENSIONAL INTERNATIONAL VALUE ETF Exchange Traded Fund Financial
2546    DFJ 6/16/2006 9.86 WISDOMTREE JAPAN SMALLCAP FUND Exchange Traded Fund Financial
2547    DFLI 8/24/2021 5.39 DRAGONFLY ENERGY HOLDINGS CORP. COMMON STOCK (NV) Industrial Machinery/Components Miscellaneous
2548    DFLIW 8/24/2021 0.34 DRAGONFLY ENERGY HOLDINGS CORP. WARRANT Industrial Machinery/Components Miscellaneous
2549    DFLV 12/7/2022 4.15 DIMENSIONAL ETF TRUST DIMENSIONAL US LARGE CAP VALUE ETF Exchange Traded Fund Financial
2550    DFND 1/20/2016 0.6 SIREN DIVCON DIVIDEND DEFENDER ETF Exchange Traded Fund Financial
2551    DFNL 1/12/2017 1.98 DAVIS FUNDAMENTAL ETF TRUST DAVIS SELECT FINANCIAL ETF Exchange Traded Fund Financial
2552    DFNM 11/16/2021 2.43 DIMENSIONAL ETF TRUST DIMENSIONAL NATIONAL MUNICIPAL BOND ETF Exchange Traded Fund Financial
2553    DFP 5/24/2013 13 FLAHERTY & CRUMRINE DYNAMIC PREFERRED AND INCOME FUND INC. COMMON STOCK Investment Managers Finance
2554    DFPH 6/4/2020 0.29
2555    DFS 7/2/2007 87 DISCOVER FINANCIAL SERVICES COMMON STOCK Finance: Consumer Services Finance
2556    DFSB 11/16/2022 0.59 DIMENSIONAL ETF TRUST DIMENSIONAL GLOBAL SUSTAINABILITY FIXED Exchange Traded Fund Financial
2557    DFSD 11/16/2021 5.35 DIMENSIONAL ETF TRUST DIMENSIONAL SHORT-DURATION FIXED INCOME Exchange Traded Fund Financial
2558    DFSE 11/2/2022 0.84 DIMENSIONAL ETF TRUST DIMENSIONAL EMERGING MARKETS SUSTAINABIL Exchange Traded Fund Financial
2559    DFSI 11/2/2022 1.19 DIMENSIONAL ETF TRUST DIMENSIONAL INTERNATIONAL SUSTAINABILITY Exchange Traded Fund Financial
2560    DFSU 11/2/2022 1.54 DIMENSIONAL ETF TRUST DIMENSIONAL US SUSTAINABILITY CORE 1 ETF Exchange Traded Fund Financial
2561    DFSV 2/24/2022 7.41 DIMENSIONAL ETF TRUST DIMENSIONAL US SMALL CAP VALUE ETF Exchange Traded Fund Financial
2562    DFUS 6/14/2021 7.1 DIMENSIONAL U.S. EQUITY MARKET ETF Exchange Traded Fund Financial
2563    DFUV 5/9/2022 6.13 DIMENSIONAL ETF TRUST DIMENSIONAL US MARKETWIDE VALUE ETF Exchange Traded Fund Financial
2564    DFVE 2/1/2024 0.04 DOUBLELINE ETF TRUST DOUBLELINE FORTUNE 500 EQUAL WEIGHT ETF Exchange Traded Fund Financial
2565    DFVX 11/2/2023 0.24 DIMENSIONAL ETF TRUST DIMENSIONAL US LARGE CAP VECTOR ETF Exchange Traded Fund Financial
2566    DG 11/13/2009 74 DOLLAR GENERAL CORPORATION COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
2567    DGCB 11/15/2023 0.65 DIMENSIONAL GLOBAL CREDIT ETF Exchange Traded Fund Financial
2568    DGHI 11/15/2021 2.89 DIGI POWER X INC. SUBORDINATE VOTING SHARES Finance: Consumer Services Finance
2569    DGICA 7/3/2003 15 DONEGAL GROUP INC. CLASS A COMMON STOCK Property-Casualty Insurers Finance
2570    DGICB 4/20/2001 0.52 DONEGAL GROUP INC. CLASS B COMMON STOCK Property-Casualty Insurers Finance
2571    DGII 1/2/1998 42 DIGI INTERNATIONAL INC. COMMON STOCK Computer Communications Equipment Telecommunications
2572    DGIN 2/17/2022 0.22 VANECK ETF TRUST VANECK DIGITAL INDIA ETF Exchange Traded Fund Financial
2573    DGLY 5/16/2007 20 DIGITAL ALLY INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
2574    DGNX 1/22/2025 0.28 DIGINEX LIMITED ORDINARY SHARES EDP Services Technology
2575    DGP 2/28/2008 26 NO NAME Exchange Traded Fund Financial
2576    DGRE 8/1/2013 2.69 WISDOMTREE EMERGING MARKETS QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
2577    DGRO 6/12/2014 38 ISHARES CORE DIVIDEND GROWTH ETF Exchange Traded Fund Financial
2578    DGRS 7/25/2013 3.17 WISDOMTREE U.S. SMALLCAP QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
2579    DGRW 5/22/2013 27 WISDOMTREE U.S. QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
2580    DGS 10/30/2007 31 WISDOMTREE EMERGING MARKET SMALLCAP FUND Exchange Traded Fund Financial
2581    DGT 2/4/2002 3.28 SPDR GLOBAL DOW ETF (BASED ON THE GLOBAL DOW) Exchange Traded Fund Financial
2582    DGX 1/2/1998 111 QUEST DIAGNOSTICS INCORPORATED COMMON STOCK Medical Specialities Health Care
2583    DGZ 2/29/2008 6.61 NO NAME Exchange Traded Fund Financial
2584    DH 9/15/2021 11 DEFINITIVE HEALTHCARE CORP. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2585    DHAI 2/9/2024 1.07 DIH HOLDINGS US INC. CLASS A COMMON STOCK Medical/Dental Instruments Health Care
2586    DHAIW 2/9/2024 0.14 DIH HOLDING US INC. WARRANTS Medical/Dental Instruments Health Care
2587    DHC 4/30/2007 82 DIVERSIFIED HEALTHCARE TRUST COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
2588    DHCNI 7/23/2012 6.98 DIVERSIFIED HEALTHCARE TRUST 5.625% SENIOR NOTES DUE 2042 Real Estate Investment Trusts Real Estate
2589    DHCNL 7/1/2016 3.15 DIVERSIFIED HEALTHCARE TRUST 6.25% SENIOR NOTES DUE 2046 Real Estate Investment Trusts Real Estate
2590    DHDG 11/3/2016 0.17
2591    DHF 4/27/1998 44 BNY MELLON HIGH YIELD STRATEGIES FUND COMMON STOCK Finance Companies Finance
2592    DHI 1/2/1998 120 D.R. HORTON INC. COMMON STOCK Homebuilding Consumer Discretionary
2593    DHIL 8/29/2002 4.96 DIAMOND HILL INVESTMENT GROUP INC. CLASS A COMMON STOCK Investment Managers Finance
2594    DHR 1/2/1998 122 DANAHER CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
2595    DHS 6/16/2006 15 WISDOMTREE U.S. HIGH DIVIDEND FUND Exchange Traded Fund Financial
2596    DHT 10/13/2005 69 DHT HOLDINGS INC. Marine Transportation Consumer Discretionary
2597    DHX 7/26/2007 36 DHI GROUP INC. COMMON STOCK Business Services Consumer Discretionary
2598    DHY 5/11/2006 37 CREDIT SUISSE HIGH YIELD BOND FUND COMMON STOCK Finance/Investors Services Finance
2599    DIA 1/20/1998 144 SPDR DOW JONES INDUSTRIAL AVERAGE ETF Exchange Traded Fund Financial
2600    DIAL 10/13/2017 6.98 COLUMBIA DIVERSIFIED FIXED INCOME ALLOCATION ETF Exchange Traded Fund Financial
2601    DIAX 12/22/2014 13 NUVEEN DOW 30SM DYNAMIC OVERWRITE FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
2602    DIBS 6/10/2021 5.66 1STDIBS.COM INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
2603    DIEM 6/3/2016 0.77 FRANKLIN EMERGING MARKET CORE DIVIDEND TILT INDEX ETF Exchange Traded Fund Financial
2604    DIG 2/1/2007 45 PROSHARES ULTRA ENERGY Exchange Traded Fund Financial
2605    DIHP 3/24/2022 6.86 DIMENSIONAL ETF TRUST DIMENSIONAL INTERNATIONAL HIGH PROFITABI Exchange Traded Fund Financial
2606    DIM 6/16/2006 4.85 WISDOMTREE INTERNATIONAL MIDCAP DIVIDEND FUND Exchange Traded Fund Financial
2607    DIN 6/2/2008 50 DINE BRANDS GLOBAL INC. COMMON STOCK Restaurants Consumer Discretionary
2608    DINO 4/27/2007 85 HF SINCLAIR CORPORATION COMMON STOCK Natural Gas Distribution Energy
2609    DINT 3/5/2018 1.6 DAVIS FUNDAMENTAL ETF TRUST DAVIS SELECT INTERNATIONAL ETF Exchange Traded Fund Financial
2610    DIOD 6/19/2000 62 DIODES INCORPORATED COMMON STOCK Semiconductors Technology
2611    DIPS 7/24/2024 0.54 TIDAL TRUST II YIELDMAX SHORT NVDA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
2612    DIS 1/2/1998 147 WALT DISNEY COMPANY (THE) COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
2613    DISO 8/25/2023 0.45 TIDAL ETF TRUST II YIELDMAX DIS OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
2614    DIST 3/30/2023 0.07
2615    DISTR 3/30/2023 0.03 DISTOKEN ACQUISITION CORPORATION RIGHT Blank Checks Finance
2616    DISTW 3/30/2023 0.04 DISTOKEN ACQUISITION CORPORATION WARRANT Blank Checks Finance
2617    DISV 3/24/2022 5.57 DIMENSIONAL ETF TRUST DIMENSIONAL INTERNATIONAL SMALL CAP VALU Exchange Traded Fund Financial
2618    DIT 1/3/2000 1.94 AMCON DISTRIBUTING COMPANY COMMON STOCK Food Distributors Consumer Discretionary
2619    DIV 3/12/2013 18 GLOBAL X SUPER DIVIDEND ETF Exchange Traded Fund Financial
2620    DIVB 11/9/2017 3.68 ISHARES CORE DIVIDEND ETF Exchange Traded Fund Financial
2621    DIVD 9/30/2022 0.09 ALTRIUS GLOBAL DIVIDEND ETF Exchange Traded Fund Financial
2622    DIVG 12/7/2023 0.02 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO S&P 500 HIGH DIV Exchange Traded Fund Financial
2623    DIVI 6/7/2016 3.45 FRANKLIN INTERNATIONAL CORE DIVIDEND TILT INDEX ETF Exchange Traded Fund Financial
2624    DIVL 8/15/2023 0.05 MADISON ETFS TRUST MADISON DIVIDEND VALUE ETF Exchange Traded Fund Financial
2625    DIVO 12/15/2016 12 AMPLIFY CWP ENHANCED DIVIDEND INCOME ETF Exchange Traded Fund Financial
2626    DIVP 3/7/2024 0.05 THE ADVISORS INNER CIRCLE FUND II CULLEN ENHANCED EQUITY INCOM Exchange Traded Fund Financial
2627    DIVS 4/1/2021 0.25 SMARTETFS DIVIDEND BUILDER ETF Exchange Traded Fund Financial
2628    DIVY 12/18/2014 1.23 SOUND EQUITY DIVIDEND INCOME ETF Exchange Traded Fund Financial
2629    DIVZ 1/28/2021 0.91 OPAL DIVIDEND INCOME ETF Exchange Traded Fund Financial
2630    DJAN 1/19/2021 0.91 FT VEST U.S. EQUITY DEEP BUFFER ETF - JANUARY Exchange Traded Fund Financial
2631    DJCO 10/8/2007 1.1 DAILY JOURNAL CORP. (S.C.) COMMON STOCK Newspapers/Magazines Consumer Discretionary
2632    DJD 12/18/2015 3.21 INVESCO DOW JONES INDUSTRIAL AVERAGE DIVIDEND ETF Exchange Traded Fund Financial
2633    DJIA 2/24/2022 1.58 GLOBAL X FUNDS GLOBAL X DOW 30 COVERED CALL ETF Exchange Traded Fund Financial
2634    DJP 10/30/2006 38 NO NAME Exchange Traded Fund Financial
2635    DJT 9/30/2021 18 TRUMP MEDIA & TECHNOLOGY GROUP CORP. COMMON STOCK Computer Software: Programming Data Processing Technology
2636    DJTWW 9/30/2021 5.65 TRUMP MEDIA & TECHNOLOGY GROUP CORP. WARRANTS Computer Software: Programming Data Processing Technology
2637    DJUL 7/20/2020 0.97 FT VEST U.S. EQUITY DEEP BUFFER ETF - JULY Exchange Traded Fund Financial
2638    DJUN 6/22/2020 0.74 FT VEST U.S. EQUITY DEEP BUFFER ETF - JUNE Exchange Traded Fund Financial
2639    DK 5/4/2006 76 DELEK US HOLDINGS INC. COMMON STOCK Integrated oil Companies Energy
2640    DKL 11/2/2012 13 DELEK LOGISTICS PARTNERS L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Energy
2641    DKNG 7/25/2019 32 DRAFTKINGS INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
2642    DKS 10/16/2002 102 DICK'S SPORTING GOODS INC COMMON STOCK Other Specialty Stores Consumer Discretionary
2643    DLB 2/17/2005 72 DOLBY LABORATORIES COMMON STOCK Multi-Sector Companies Miscellaneous
2644    DLHC 2/16/1999 5.99 DLH HOLDINGS CORP. Professional Services Consumer Discretionary
2645    DLN 6/16/2006 24 WISDOMTREE U.S. LARGECAP DIVIDEND FUND Exchange Traded Fund Financial
2646    DLNG 11/13/2013 12 DYNAGAS LNG PARTNERS LP COMMON UNITS Marine Transportation Consumer Discretionary
2647    DLNG.A 7/27/2015 1.96 DYNAGAS LNG PARTNERS LP 9.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED UNITS
2648    DLNG.B 10/26/2018 1.3 DYNAGAS LNG PARTNERS LP 8.75% SERIES B FIXED TO FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS LIQUIDATION PREFERENCE $25.00 PER UNI
2649    DLO 6/3/2021 15 DLOCAL LIMITED CLASS A COMMON SHARES Business Services Consumer Discretionary
2650    DLPN 12/21/2017 6.04 DOLPHIN ENTERTAINMENT INC. COMMON STOCK Other Consumer Services Consumer Discretionary
2651    DLR 10/29/2004 91 DIGITAL REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2652    DLR.J 8/15/2017 2.37 DIGITAL REALTY TRUST INC. 5.250% SERIES J CUMULATIVE REDEEMABLE PREFERRED STOCK
2653    DLR.K 3/18/2019 2.19 DIGITAL REALTY TRUST INC. 5.850% SERIES K CUMULATIVE REDEEMABLE PREFERRED STOCK PAR VALUE $0.01 PER SHARE
2654    DLR.L 10/14/2019 2.52 DIGITAL REALTY TRUST INC. 5.200% SERIES L CUMULATIVE REDEEMABLE PREFERRED STOCK
2655    DLS 6/16/2006 19 WISDOMTREE INTERNATIONAL SMALLCAP FUND Exchange Traded Fund Financial
2656    DLTH 11/20/2015 18 DULUTH HOLDINGS INC. CLASS B COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
2657    DLTR 1/2/1998 112 DOLLAR TREE INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
2658    DLX 1/2/1998 88 DELUXE CORPORATION COMMON STOCK Publishing Consumer Discretionary
2659    DLY 2/26/2020 8.79 DOUBLELINE YIELD OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
2660    DM 12/11/2020 18 DESKTOP METAL INC. CLASS A COMMON STOCK Industrial Machinery/Components Technology
2661    DMA 1/13/2022 0.9 DESTRA MULTI-ALTERNATIVE FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
2662    DMAA 2/25/2025 0.01 DRUGS MADE IN AMERICA ACQUISITION CORP. ORDINARY SHARES
2663    DMAAR 2/25/2025 0.01 DRUGS MADE IN AMERICA ACQUISITION CORP. RIGHTS Blank Checks Finance
2664    DMAAU 1/28/2025 0.03 DRUGS MADE IN AMERICA ACQUISITION CORP. UNITS
2665    DMAC 6/1/2009 4.61 DIAMEDICA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2666    DMAR 3/22/2021 0.84 FT VEST U.S. EQUITY DEEP BUFFER ETF - MARCH Exchange Traded Fund Financial
2667    DMAT 1/27/2022 0.23 GLOBAL X DISRUPTIVE MATERIALS ETF Exchange Traded Fund Financial
2668    DMAY 5/18/2020 0.79 FT VEST U.S. EQUITY DEEP BUFFER ETF - MAY Exchange Traded Fund Financial
2669    DMB 4/26/2013 11 BNY MELLON MUNICIPAL BOND INFRASTRUCTURE FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
2670    DMBS 4/6/2023 0.53 DOUBLELINE ETF TRUST DOUBLELINE MORTGAGE ETF Exchange Traded Fund Financial
2671    DMCY 4/1/2021 0.1 DEMOCRACY INTERNATIONAL FUND Exchange Traded Fund Financial
2672    DMF 1/2/1998 14 BNY MELLON MUNICIPAL INCOME INC. COMMON STOCK Finance/Investors Services Finance
2673    DMLP 2/3/2003 21 DORCHESTER MINERALS L.P. COMMON UNITS REPRESENTING LIMITED PARTNERSHIP INTERESTS Oil & Gas Production Energy
2674    DMN 11/18/2024 0.81 DAMON INC. COMMON STOCK EDP Services Technology
2675    DMO 2/24/2010 12 WESTERN ASSET MORTGAGE OPPORTUNITY FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
2676    DMRC 6/10/2005 23 DIGIMARC CORPORATION COMMON STOCK EDP Services Technology
2677    DMX 12/3/2024 0.01 DOUBLELINE ETF TRUST DOUBLELINE MULTI-SECTOR INCOME ETF Exchange Traded Fund Financial
2678    DMXF 6/18/2020 2.08 ISHARES ESG ADVANCED MSCI EAFE ETF Exchange Traded Fund Financial
2679    DMYY 12/7/2022 0.1 DMY SQUARED TECHNOLOGY GROUP INC. CLASS A COMMON STOCK Blank Checks Finance
2680    DNA 9/17/2021 18 GINKGO BIOWORKS HOLDINGS INC. CLASS A COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2681    DNB 7/1/2020 22 DUN & BRADSTREET HOLDINGS INC. COMMON STOCK Finance: Consumer Services Finance
2682    DNL 6/16/2006 5.95 WISDOMTREE GLOBAL EX-US QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
2683    DNLI 12/8/2017 23 DENALI THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2684    DNMR 5/28/2020 16
2685    DNN 4/19/2007 50 DENISON MINES CORP ORDINARY SHARES (CANADA) Other Metals and Minerals Basic Materials
2686    DNOV 11/18/2019 1.43 FT VEST U.S. EQUITY DEEP BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
2687    DNOW 6/2/2014 42 DNOW INC. COMMON STOCK Metal Fabrications Industrials
2688    DNP 1/2/1998 60 DNP SELECT INCOME FUND INC. COMMON STOCK Investment Managers Finance
2689    DNTH 6/21/2018 10 DIANTHUS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2690    DNUT 7/1/2021 17 KRISPY KREME INC. COMMON STOCK Food Chains Consumer Staples
2691    DOC 4/30/2007 89 HEALTHPEAK PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2692    DOCN 3/24/2021 17 DIGITALOCEAN HOLDINGS INC. COMMON STOCK Computer Software: Programming Data Processing Technology
2693    DOCS 6/24/2021 16 DOXIMITY INC. CLASS A COMMON STOCK EDP Services Technology
2694    DOCT 10/19/2020 0.75 FT VEST U.S. EQUITY DEEP BUFFER ETF - OCTOBER Exchange Traded Fund Financial
2695    DOCU 4/27/2018 34 DOCUSIGN INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2696    DOG 6/21/2006 58 PROSHARES SHORT DOW30 Exchange Traded Fund Financial
2697    DOGZ 12/20/2017 5.82 DOGNESS (INTERNATIONAL) CORPORATION CLASS A COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
2698    DOL 6/16/2006 7.95 WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND FUND Exchange Traded Fund Financial
2699    DOLE 7/30/2021 12 DOLE PLC ORDINARY SHARES Farming/Seeds/Milling Consumer Staples
2700    DOMH 5/16/2007 21 DOMINARI HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2701    DOMO 6/29/2018 20 DOMO INC. CLASS B COMMON STOCK Computer Software: Prepackaged Software Technology
2702    DON 6/16/2006 29 WISDOMTREE U.S. MIDCAP DIVIDEND FUND Exchange Traded Fund Financial
2703    DOOO 3/2/2015 10 BRP INC. (RECREATIONAL PRODUCTS) COMMON SUBORDINATE VOTING SHARES Industrial Specialties Consumer Discretionary
2704    DORM 5/26/2006 30 DORMAN PRODUCTS INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
2705    DOUG 12/30/2021 9.68 DOUGLAS ELLIMAN INC. COMMON STOCK Real Estate Finance
2706    DOV 1/2/1998 118 DOVER CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
2707    DOW 3/20/2019 30 DOW INC. COMMON STOCK Major Chemicals Industrials
2708    DOX 6/19/1998 104 AMDOCS LIMITED ORDINARY SHARES EDP Services Technology
2709    DOYU 7/17/2019 21 DOUYU INTERNATIONAL HOLDINGS LIMITED ADS Computer Software: Programming Data Processing Technology
2710    DPG 8/1/2011 21 DUFF & PHELPS UTILITY AND INFRASTRUCTURE FUND INC. Trusts Except Educational Religious and Charitable Finance
2711    DPRO 7/30/2021 6.14 DRAGANFLY INC. COMMON SHARES Aerospace Industrials
2712    DPST 8/20/2015 23 DIREXION DAILY REGIONAL BANKS BULL 3X SHARES Exchange Traded Fund Financial
2713    DPZ 7/13/2004 83 DOMINO'S PIZZA INC COMMON STOCK Food Distributors Consumer Discretionary
2714    DQ 10/7/2010 36 DAQO NEW ENERGY CORP. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FIVE ORDINARY SHARES Semiconductors Technology
2715    DRAI 7/11/2024 0.03 EA SERIES TRUST DRACO EVOLUTION AI ETF Exchange Traded Fund Financial
2716    DRCT 2/11/2022 3.99 DIRECT DIGITAL HOLDINGS INC. CLASS A COMMON STOCK Advertising Consumer Discretionary
2717    DRD 8/20/2007 35 DRDGOLD LIMITED AMERICAN DEPOSITARY SHARES Precious Metals Basic Materials
2718    DRDB 2/3/2025 0.01 ROMAN DBDR ACQUISITION CORP. II ORDINARY SHARES
2719    DRDBU 12/13/2024 0.04 ROMAN DBDR ACQUISITION CORP. II UNIT
2720    DRDBW 2/3/2025 0.01 ROMAN DBDR ACQUISITION CORP. II WARRANTS
2721    DRH 5/26/2005 85 DIAMONDROCK HOSPITALITY COMPANY COMMON STOCK Real Estate Investment Trusts Real Estate
2722    DRH.A 9/3/2020 0.72 DIAMONDROCK HOSPITALITY COMPANY 8.250% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
2723    DRI 1/2/1998 119 DARDEN RESTAURANTS INC. COMMON STOCK Restaurants Consumer Discretionary
2724    DRIO 4/9/2013 9.87 DARIOHEALTH CORP. COMMON STOCK Medical/Dental Instruments Health Care
2725    DRIP 5/29/2015 43 DIREXION DAILY S&P OIL & GAS EXP. & PROD. BEAR 2X SHARES Exchange Traded Fund Financial
2726    DRIV 4/17/2018 12 GLOBAL X AUTONOMOUS & ELECTRIC VEHICLES ETF Exchange Traded Fund Financial
2727    DRLL 8/9/2022 2.73 EA SERIES TRUST STRIVE U.S. ENERGY ETF Exchange Traded Fund Financial
2728    DRMA 8/13/2021 4.27 DERMATA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2729    DRMAW 8/13/2021 0.16 DERMATA THERAPEUTICS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
2730    DRN 7/16/2009 45 DIREXION DAILY REAL ESTATE BULL 3X SHARES Exchange Traded Fund Financial
2731    DRRX 9/28/2000 49 DURECT CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2732    DRS 11/29/2022 8.24 LEONARDO DRS INC. COMMON STOCK Industrial Machinery/Components Industrials
2733    DRSK 8/9/2018 3.65 APTUS DEFINED RISK ETF Exchange Traded Fund Financial
2734    DRTS 3/8/2022 1.87 ALPHA TAU MEDICAL LTD. ORDINARY SHARES Medical/Dental Instruments Health Care
2735    DRTSW 3/8/2022 0.48 ALPHA TAU MEDICAL LTD. WARRANT Medical/Dental Instruments Health Care
2736    DRUG 11/8/2021 3.01 BRIGHT MINDS BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2737    DRUP 10/7/2019 1.08 GRANITESHARES NASDAQ SELECT DISRUPTORS ETF Exchange Traded Fund Financial
2738    DRV 7/16/2009 34 DIREXION DAILY REAL ESTATE BEAR 3X SHARES Exchange Traded Fund Financial
2739    DRVN 6/2/2015 14 DRIVEN BRANDS HOLDINGS INC. COMMON STOCK Automotive Aftermarket Consumer Discretionary
2740    DSAQ 11/12/2021 0.12
2741    DSCF 9/21/2021 0.14 DISCIPLINE FUND ETF Exchange Traded Fund Financial
2742    DSEP 9/21/2020 0.68 FT VEST U.S. EQUITY DEEP BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
2743    DSGN 3/26/2021 7.13 DESIGN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2744    DSGR 5/16/2007 8.25 DISTRIBUTION SOLUTIONS GROUP INC. COMMON STOCK Industrial Specialties Consumer Discretionary
2745    DSGX 2/8/1999 24 DESCARTES SYSTEMS GROUP INC. (THE) COMMON STOCK Computer Software: Prepackaged Software Technology
2746    DSI 11/17/2006 16 ISHARES ESG MSCI KLD 400 ETF Exchange Traded Fund Financial
2747    DSL 4/26/2013 34 DOUBLELINE INCOME SOLUTIONS FUND COMMON SHARES OF BENEFICIAL INTERESTS Trusts Except Educational Religious and Charitable Finance
2748    DSM 1/2/1998 26 BNY MELLON STRATEGIC MUNICIPAL BOND FUND INC. COMMON STOCK Investment Managers Finance
2749    DSMC 10/6/2022 0.32 ETF SERIES SOLUTIONS DISTILLATE SMALL/MID CASH FLOW ETF Exchange Traded Fund Financial
2750    DSP 2/10/2021 6.19 VIANT TECHNOLOGY INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
2751    DSS 5/16/2007 23 DSS INC. COMMON STOCK Containers/Packaging Consumer Discretionary
2752    DSTL 10/24/2018 4.37 DISTILLATE U.S. FUNDAMENTAL STABILITY & VALUE ETF Exchange Traded Fund Financial
2753    DSTX 12/15/2020 0.22 DISTILLATE INTERNATIONAL FUNDAMENTAL STABILITY & VALUE ETF Exchange Traded Fund Financial
2754    DSU 3/30/1998 50 BLACKROCK DEBT STRATEGIES FUND INC. COMMON STOCK Finance Companies Finance
2755    DSWL 4/15/1999 5.95 DESWELL INDUSTRIES INC. COMMON SHARES Plastic Products Industrials
2756    DSX 3/23/2005 69 DIANA SHIPPING INC. COMMON STOCK Marine Transportation Consumer Discretionary
2757    DSX.B 2/21/2014 1.44 DIANA SHIPPING INC. PERPETUAL PREFERRED SHARES SERIES B (MARSHALL ISLANDS)
2758    DSY 6/7/2024 0.72 BIG TREE CLOUD HOLDINGS LIMITED ORDINARY SHARES Containers/Packaging Consumer Discretionary
2759    DSYWW 6/7/2024 0.2 BIG TREE CLOUD HOLDINGS LIMITED WARRANTS Containers/Packaging Consumer Discretionary
2760    DT 4/30/2007 38 DYNATRACE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2761    DTAN 9/10/2024 0.01 EA SERIES TRUST SPARKLINE INTERNATIONAL INTANGIBLE VALUE ETF Exchange Traded Fund Financial
2762    DTB 10/7/2020 1.78 DTE ENERGY COMPANY 2020 SERIES G 4.375% JUNIOR SUBORDINATED DEBENTURES DUE 2080 Electric Utilities: Central Utilities
2763    DTC 10/28/2021 8.69 SOLO BRANDS INC. CLASS A COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
2764    DTCK 9/19/2023 1.13 DAVIS COMMODITIES LIMITED ORDINARY SHARES Farming/Seeds/Milling Industrials
2765    DTCR 11/2/2020 2.04 GLOBAL X DATA CENTER & DIGITAL INFRASTRUCTURE ETF Exchange Traded Fund Financial
2766    DTD 6/16/2006 8.36 WISDOMTREE U.S. TOTAL DIVIDEND FUND Exchange Traded Fund Financial
2767    DTE 1/2/1998 117 DTE ENERGY COMPANY COMMON STOCK Electric Utilities: Central Utilities
2768    DTEC 12/29/2017 2.05 ALPS ETF TRUST ALPS DISRUPTIVE TECHNOLOGIES ETF Exchange Traded Fund Financial
2769    DTF 1/2/1998 6.12 DTF TAX-FREE INCOME 2028 TERM FUND INC. COMMON STOCK Investment Managers Finance
2770    DTG 1/2/1998 34 DTE ENERGY COMPANY 2021 SERIES E 4.375% JUNIOR SUBORDINATED DEBENTURES Electric Utilities: Central Utilities
2771    DTH 6/16/2006 8.08 WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND Exchange Traded Fund Financial
2772    DTI 12/29/2021 0.94 DRILLING TOOLS INTERNATIONAL CORPORATION COMMON STOCK Metal Fabrications Industrials
2773    DTIL 3/28/2019 15 PRECISION BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2774    DTM 7/1/2021 14 DT MIDSTREAM INC. COMMON STOCK Natural Gas Distribution Utilities
2775    DTRE 8/30/2007 2.6 FIRST TRUST ALERIAN DISRUPTIVE TECHNOLOGY REAL ESTATE ETF Exchange Traded Fund Financial
2776    DTSQ 9/16/2024 0.02 DT CLOUD STAR ACQUISITION CORPORATION ORDINARY SHARES
2777    DTSQR 9/16/2024 0.01 DT CLOUD STAR ACQUISITION CORPORATION RIGHT
2778    DTSS 12/19/2018 5.04 DATASEA INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2779    DTST 5/14/2021 3.36 DATA STORAGE CORPORATION COMMON STOCK EDP Services Technology
2780    DTSTW 5/14/2021 0.21 DATA STORAGE CORPORATION WARRANT EDP Services Technology
2781    DTW 3/26/2018 3.5 DTE ENERGY COMPANY 2017 SERIES E 5.25% JUNIOR SUBORDINATED DEBENTURES DUE 2077 Electric Utilities: Central Utilities
2782    DUBS 6/14/2023 0.29 ETF SERIES SOLUTIONS APTUS LARGE CAP ENHANCED YIELD ETF Exchange Traded Fund Financial
2783    DUG 2/1/2007 52 PROSHARES ULTRASHORT ENERGY Exchange Traded Fund Financial
2784    DUHP 2/24/2022 8.11 DIMENSIONAL ETF TRUST DIMENSIONAL US HIGH PROFITABILITY ETF Exchange Traded Fund Financial
2785    DUK 1/2/1998 129 DUKE ENERGY CORPORATION (HOLDING COMPANY) COMMON STOCK Power Generation Utilities
2786    DUK.A 4/2/2019 6.53 DUKE ENERGY CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
2787    DUKB 10/18/2018 4.22 DUKE ENERGY CORPORATION 5.625% JUNIOR SUBORDINATED DEBENTURES DUE 2078 Power Generation Utilities
2788    DUKH 7/11/2024 0.03 OCEAN PARK HIGH INCOME ETF Exchange Traded Fund Financial
2789    DUKQ 7/11/2024 0.05 NORTHERN LIGHTS FUND TRUST OCEAN PARK DOMESTIC ETF Exchange Traded Fund Financial
2790    DUKX 7/11/2024 0.02 OCEAN PARK INTERNATIONAL ETF Exchange Traded Fund Financial
2791    DUKZ 7/11/2024 0.04 NORTHERN LIGHTS FUND TRUST OCEAN PARK DIVERSIFIED INCOME ETF Exchange Traded Fund Financial
2792    DULL 9/12/2016 0.33 BANK OF MONTREAL MICROSECTORS GOLD -3X INVERSE LEVERAGED ETNS Exchange Traded Fund Financial
2793    DUO 11/1/2019 8.58 FANGDD NETWORK GROUP LTD. CLASS A ORDINARY SHARES Real Estate Finance
2794    DUOL 7/28/2021 12 DUOLINGO INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
2795    DUOT 8/13/2008 1.95 DUOS TECHNOLOGIES GROUP INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2796    DURA 10/31/2018 0.99 VANECK DURABLE HIGH DIVIDEND ETF Exchange Traded Fund Financial
2797    DUSA 1/12/2017 2.43 DAVIS FUNDAMENTAL ETF TRUST DAVIS SELECT U.S. EQUITY ETF Exchange Traded Fund Financial
2798    DUSB 9/27/2023 1.01 DIMENSIONAL ETF TRUST DIMENSIONAL ULTRASHORT FIXED INCOME ETF Exchange Traded Fund Financial
2799    DUSL 5/3/2017 3.87 DIREXION DAILY INDUSTRIALS BULL 3X SHARES Exchange Traded Fund Financial
2800    DUST 12/8/2010 81 DIREXION DAILY GOLD MINERS INDEX BEAR 2X SHARES Exchange Traded Fund Financial
2801    DV 1/2/1998 76 DOUBLEVERIFY HOLDINGS INC. COMMON STOCK Computer Software: Programming Data Processing Technology
2802    DVA 10/9/2000 92 DAVITA INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
2803    DVAL 10/31/2022 0.25 BRANDYWINEGLOBAL-DYNAMIC US LARGE CAP VALUE ETF Exchange Traded Fund Financial
2804    DVAX 2/19/2004 63 DYNAVAX TECHNOLOGIES CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2805    DVDN 11/2/2023 0.01 ETF OPPORTUNITIES TRUST KINGSBARN DIVIDEND OPPORTUNITY ETF Exchange Traded Fund Financial
2806    DVLT 7/27/2018 13 DATAVAULT AI INC. COMMON STOCK Semiconductors Technology
2807    DVLU 10/18/2018 0.52 FIRST TRUST DORSEY WRIGHT MOMENTUM & VALUE ETF Exchange Traded Fund Financial
2808    DVN 10/12/2004 104 DEVON ENERGY CORPORATION COMMON STOCK Oil & Gas Production Energy
2809    DVND 8/5/2022 0.02 TOUCHSTONE ETF TRUST TOUCHSTONE DIVIDEND SELECT ETF Exchange Traded Fund Financial
2810    DVOL 10/18/2018 1.31 FIRST TRUST DORSEY WRIGHT MOMENTUM & LOW VOLATILITY ETF Exchange Traded Fund Financial
2811    DVY 11/7/2003 89 ISHARES SELECT DIVIDEND ETF Exchange Traded Fund Financial
2812    DVYA 2/24/2012 1.7 ISHARES ASIA / PACIFIC DIVIDEND 30 INDEX FUND EXCHANGE TRADED Exchange Traded Fund Financial
2813    DVYE 2/24/2012 15 ISHARES EMERGING MARKETS DIVIDEND INDEX FUND EXCHANGE TRADED F Exchange Traded Fund Financial
2814    DWAS 7/19/2012 9.08 INVESCO DORSEY WRIGHT SMALLCAP MOMENTUM ETF Exchange Traded Fund Financial
2815    DWAT 10/1/2014 0.28 ARROW INVESTMENTS TRUST ARROW DWA TACTICAL ETF Exchange Traded Fund Financial
2816    DWAW 12/27/2019 0.46 ADVISORSHARES DORSEY WRIGHT FSM ALL CAP WORLD ETF Exchange Traded Fund Financial
2817    DWCR 12/29/2017 0.07 ARROW INVESTMENTS TRUST ARROW DWA COUNTRY ROTATION ETF Exchange Traded Fund Financial
2818    DWLD 1/12/2017 3.02 DAVIS FUNDAMENTAL ETF TRUST DAVIS SELECT WORLDWIDE ETF Exchange Traded Fund Financial
2819    DWM 6/16/2006 13 WISDOMTREE INTERNATIONAL EQUITY FUND Exchange Traded Fund Financial
2820    DWMF 8/10/2018 0.7 WISDOMTREE INTERNATIONAL MULTIFACTOR FUND Exchange Traded Fund Financial
2821    DWSH 7/11/2018 3.54 ADVISORSHARES DORSEY WRIGHT SHORT ETF Exchange Traded Fund Financial
2822    DWSN 1/2/1998 28 DAWSON GEOPHYSICAL COMPANY COMMON STOCK Oil & Gas Production Energy
2823    DWTX 12/17/2020 5.26 DOGWOOD THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2824    DWUS 12/27/2019 0.27 ADVISORSHARES DORSEY WRIGHT FSM US CORE ETF Exchange Traded Fund Financial
2825    DWX 2/20/2008 22 SPDR S&P INTERNATIONAL DIVIDEND ETF Exchange Traded Fund Financial
2826    DX 1/2/1998 53 DYNEX CAPITAL INC. COMMON STOCK Real Estate Investment Trusts Real Estate
2827    DX.C 2/25/2020 1.12 DYNEX CAPITAL INC. 6.900% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
2828    DXC 3/16/2017 34 DXC TECHNOLOGY COMPANY COMMON STOCK EDP Services Technology
2829    DXCM 4/14/2005 71 DEXCOM INC. COMMON STOCK Medical/Dental Instruments Health Care
2830    DXD 7/13/2006 78 PROSHARES ULTRASHORT DOW30 Exchange Traded Fund Financial
2831    DXF 11/23/2010 8.16 EASON TECHNOLOGY LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING SIXTY-THOUSAND (60000) ORDINARY SHARES) Finance: Consumer Services Finance
2832    DXIV 9/12/2024 0.06 DIMENSIONAL ETF TRUST DIMENSIONAL INTERNATIONAL VECTOR EQUITY Exchange Traded Fund Financial
2833    DXJ 6/16/2006 54 WISDOMTREE JAPAN HEDGED EQUITY FUND Exchange Traded Fund Financial
2834    DXJS 6/28/2013 3.69 WISDOMTREE JAPAN HEDGED SMALLCAP EQUITY FUND Exchange Traded Fund Financial
2835    DXLG 8/12/2002 42 DESTINATION XL GROUP INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
2836    DXPE 2/5/2002 33 DXP ENTERPRISES INC. COMMON STOCK Industrial Machinery/Components Industrials
2837    DXR 1/2/1998 2.95 DAXOR CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
2838    DXST 1/22/2025 0.2 DECENT HOLDING INC ORDINARY SHARES Miscellaneous Industrials
2839    DXUV 9/12/2024 0.09 DIMENSIONAL ETF TRUST DIMENSIONAL US VECTOR EQUITY ETF Exchange Traded Fund Financial
2840    DXYN 1/2/1998 12
2841    DXYZ 3/26/2024 3.85 DESTINY TECH100 INC. COMMON STOCK
2842    DY 1/2/1998 78 DYCOM INDUSTRIES INC. COMMON STOCK Water Sewer Pipeline Comm & Power Line Construction Industrials
2843    DYAI 1/16/2008 6.94 DYADIC INTERNATIONAL INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2844    DYCQ 4/12/2024 0.05 DT CLOUD ACQUISITION CORPORATION ORDINARY SHARES
2845    DYCQR 4/12/2024 0.01
2846    DYCQU 2/21/2024 0.02
2847    DYFI 1/10/2024 0.08 IDX DYNAMIC FIXED INCOME ETF Exchange Traded Fund Financial
2848    DYLD 6/29/2021 0.76 LEADERSHARES DYNAMIC YIELD ETF Exchange Traded Fund Financial
2849    DYLG 12/7/2023 0.01 GLOBAL X FUNDS GLOBAL X DOW 30 COVERED CALL & GROWTH ETF Exchange Traded Fund Financial
2850    DYN 10/3/2012 33 DYNE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2851    DYNF 3/21/2019 5.21 ISHARES U.S. EQUITY FACTOR ROTATION ACTIVE ETF Exchange Traded Fund Financial
2852    DYNI 11/14/2023 0.1 IDX DYNAMIC INNOVATION ETF Exchange Traded Fund Financial
2853    DYNT 1/2/1998 7.59
2854    DYNX 12/9/2024 0.03 DYNAMIX CORPORATION CLASS A ORDINARY SHARES
2855    DYNXU 11/21/2024 0.03 DYNAMIX CORPORATION UNIT
2856    DYNXW 12/9/2024 0.01 DYNAMIX CORPORATION WARRANT
2857    DYSL 5/31/2005 1.8
2858    DYTA 3/30/2023 0.33 SGI DYNAMIC TACTICAL ETF Exchange Traded Fund Financial
2859    DZSI 4/30/2007 18
2860    DZZ 2/28/2008 19 NO NAME Exchange Traded Fund Financial
2861    E 1/2/1998 79 ENI S.P.A. COMMON STOCK Oil & Gas Production Energy
2862    EA 1/2/1998 133 ELECTRONIC ARTS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
2863    EAD 2/26/2003 43 ALLSPRING INCOME OPPORTUNITIES FUND COMMON SHARES Finance/Investors Services Finance
2864    EAF 4/19/2018 29 GRAFTECH INTERNATIONAL LTD. COMMON STOCK Industrial Machinery/Components Energy
2865    EAFG 3/22/2024 0.01 PACER FUNDS TRUST PACER DEVELOPED MARKETS CASH COWS GROWTH LEA Exchange Traded Fund Financial
2866    EAGG 10/23/2018 9.03 ISHARES ESG AWARE U.S. AGGREGATE BOND ETF Exchange Traded Fund Financial
2867    EAGL 3/25/2024 0.2 THE 2023 ETF SERIES TRUST EAGLE CAPITAL SELECT EQUITY ETF Exchange Traded Fund Financial
2868    EAI 8/17/2016 3.93 ENTERGY ARKANSAS LLC FIRST MORTGAGE BONDS 4.875% SERIES DUE SEPTEMBER 1 2066 Electric Utilities: Central Utilities
2869    EALT 10/2/2023 0.28 INNOVATOR ETFS TRUST INNOVATOR U.S. EQUITY 5 TO 15 BUFFER ETF Exchange Traded Fund Financial
2870    EAOA 6/18/2020 0.19 ISHARES ESG AWARE 80/20 AGGRESSIVE ALLOCATION ETF Exchange Traded Fund Financial
2871    EAOK 6/18/2020 0.12 ISHARES ESG AWARE 30/70 CONSERVATIVE ALLOCATION ETF Exchange Traded Fund Financial
2872    EAOM 6/18/2020 0.13 ISHARES ESG AWARE 40/60 MODERATE ALLOCATION ETF Exchange Traded Fund Financial
2873    EAOR 6/18/2020 0.19 ISHARES ESG AWARE 60/40 BALANCED ALLOCATION ETF Exchange Traded Fund Financial
2874    EAPR 4/1/2021 0.44 INNOVATOR EMERGING MARKETS POWER BUFFER ETF APRIL Exchange Traded Fund Financial
2875    EARN 5/1/2013 17 ELLINGTON CREDIT COMPANY COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
2876    EASG 11/8/2018 0.5 XTRACKERS MSCI EAFE SELECTION EQUITY ETF Exchange Traded Fund Financial
2877    EAT 1/2/1998 104 BRINKER INTERNATIONAL INC. COMMON STOCK Restaurants Consumer Discretionary
2878    EATV 12/29/2021 0.18 VEGTECH FOOD INNOVATION & CLIMATE ETF Exchange Traded Fund Financial
2879    EATZ 4/21/2021 0.24 ADVISORSHARES RESTAURANT ETF Exchange Traded Fund Financial
2880    EB 9/20/2018 23 EVENTBRITE INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
2881    EBAY 9/24/1998 142 EBAY INC. COMMON STOCK Business Services Consumer Discretionary
2882    EBC 10/15/2020 18 EASTERN BANKSHARES INC. COMMON STOCK Savings Institutions Finance
2883    EBET 4/15/2021 6.12
2884    EBF 1/2/1998 44 ENNIS INC. COMMON STOCK Office Equipment/Supplies/Services Consumer Discretionary
2885    EBIT 7/11/2024 0.03 HARBOR ETF TRUST HARBOR ALPHAEDGE SMALL CAP EARNERS ETF Exchange Traded Fund Financial
2886    EBIZ 11/30/2018 2.2 GLOBAL X E-COMMERCE ETF Exchange Traded Fund Financial
2887    EBMT 11/30/2009 2.43 EAGLE BANCORP MONTANA INC. COMMON STOCK Major Banks Finance
2888    EBND 2/24/2011 18 SPDR BLOOMBERG EMERGING MARKETS LOCAL BOND ETF Exchange Traded Fund Financial
2889    EBON 6/26/2020 12 EBANG INTERNATIONAL HOLDINGS INC. CLASS A ORDINARY SHARES Semiconductors Technology
2890    EBR 10/13/2016 29 CENTRAIS ELECTRICAS BRASILEIRAS S A AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) Electric Utilities: Central Utilities
2891    EBR.B 10/13/2016 5.2
2892    EBS 11/15/2006 56 EMERGENT BIOSOLUTIONS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
2893    EBTC 6/1/2006 4.11 ENTERPRISE BANCORP INC COMMON STOCK Major Banks Finance
2894    EBUF 7/1/2024 0.04 SHL TELEMEDICINE LTD INNOVATOR EMERGING MARKETS 10 BUFFER ETF Exchange Traded Fund Financial
2895    EC 9/18/2008 62 ECOPETROL S.A. AMERICAN DEPOSITARY SHARES Oil & Gas Production Energy
2896    ECAT 9/28/2021 8.27 BLACKROCK ESG CAPITAL ALLOCATION TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
2897    ECBK 7/28/2022 0.54 ECB BANCORP INC. COMMON STOCK Banks Finance
2898    ECC 10/8/2014 17 EAGLE POINT CREDIT COMPANY INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
2899    ECC.D 12/1/2021 0.71 EAGLE POINT CREDIT COMPANY INC. 6.75% SERIES D PREFERRED STOCK
2900    ECCC 6/18/2021 0.55 EAGLE POINT CREDIT COMPANY INC. 6.50% SERIES C TERM PREFERRED STOCK DUE 2031 Trusts Except Educational Religious and Charitable Finance
2901    ECCF 1/29/2024 0.23 EAGLE POINT CREDIT COMPANY INC. 8.00% SERIES F TERM PREFERRED STOCK DUE 2029
2902    ECCU 12/19/2024 0.09 EAGLE POINT CREDIT COMPANY INC. 7.75% NOTES DUE 2030
2903    ECCV 1/26/2022 0.3 EAGLE POINT CREDIT COMPANY INC. 5.375% NOTES DUE 2029 Trusts Except Educational Religious and Charitable Finance
2904    ECCW 3/29/2021 0.32 EAGLE POINT CREDIT COMPANY INC. 6.75% NOTES DUE 2031 Trusts Except Educational Religious and Charitable Finance
2905    ECCX 2/15/2022 0.29 EAGLE POINT CREDIT COMPANY INC. 6.6875% NOTES DUE 2028 Trusts Except Educational Religious and Charitable Finance
2906    ECDA 12/8/2022 0.78 ECD AUTOMOTIVE DESIGN INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
2907    ECDAW 12/13/2022 0.07
2908    ECF 1/2/1998 13 ELLSWORTH GROWTH AND INCOME FUND LTD. Finance/Investors Services Finance
2909    ECF.A 9/20/2017 0.5 ELLSWORTH GROWTH AND INCOME FUND LTD. 5.25% SERIES A CUMULATIVE PREFERRED SHARES (LIQUIDATION PREFERENCE $25.00 PER SHARE)
2910    ECG 10/28/2024 1.16 EVERUS CONSTRUCTION GROUP INC. COMMON STOCK Homebuilding Consumer Discretionary
2911    ECH 11/20/2007 40 ISHARES INC. ISHARES MSCI CHILE ETF Exchange Traded Fund Financial
2912    ECL 1/2/1998 115 ECOLAB INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
2913    ECLN 8/21/2019 0.47 FIRST TRUST EIP CARBON IMPACT ETF Exchange Traded Fund Financial
2914    ECLP 8/7/1998 33
2915    ECML 5/23/2023 0.03 EA SERIES TRUST EUCLIDEAN FUNDAMENTAL VALUE ETF Exchange Traded Fund Financial
2916    ECNS 9/29/2010 3.29 ISHARES MSCI CHINA SMALL-CAP ETF Exchange Traded Fund Financial
2917    ECO 12/20/2023 1.7 OKEANIS ECO TANKERS CORP. COMMON STOCK Marine Transportation Consumer Discretionary
2918    ECON 9/14/2010 16 COLUMBIA RESEARCH ENHANCED EMERGING ECONOMIES ETF Exchange Traded Fund Financial
2919    ECOR 6/22/2018 10 ELECTROCORE INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2920    ECOW 5/6/2019 0.96 PACER EMERGING MARKETS CASH COWS 100 ETF Exchange Traded Fund Financial
2921    ECPG 7/22/2003 46 ENCORE CAPITAL GROUP INC COMMON STOCK Finance Companies Finance
2922    ECVT 9/29/2017 18 ECOVYST INC. COMMON STOCK Major Chemicals Industrials
2923    ECX 12/21/2022 2.51 ECARX HOLDINGS INC. CLASS A ORDINARY SHARES EDP Services Technology
2924    ECXWW 12/21/2022 0.16 ECARX HOLDINGS INC. WARRANTS EDP Services Technology
2925    ED 1/2/1998 121 CONSOLIDATED EDISON INC. COMMON STOCK Power Generation Utilities
2926    EDAP 12/4/2001 14 EDAP TMS S.A. AMERICAN DEPOSITARY SHARES Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
2927    EDBL 5/5/2022 5.03 EDIBLE GARDEN AG INCORPORATED COMMON STOCK Farming/Seeds/Milling Consumer Staples
2928    EDBLW 5/5/2022 0.19 EDIBLE GARDEN AG INCORPORATED WARRANT Farming/Seeds/Milling Consumer Staples
2929    EDC 12/30/2008 52 DIREXION EMERGING MARKETS BULL 3X SHARES Exchange Traded Fund Financial
2930    EDD 4/24/2007 38 MORGAN STANLEY EMERGING MARKETS DOMESTIC DEBT FUND INC. COMMON STOCK Finance Companies Finance
2931    EDEN 1/26/2012 3.43 ISHARES INC ISHARES MSCI DENMARK ETF Exchange Traded Fund Financial
2932    EDF 12/27/2010 16 VIRTUS STONE HARBOR EMERGING MARKETS INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
2933    EDGE 10/1/2015 4.41
2934    EDGF 10/4/2024 0.06 THE ADVISORS INNER CIRCLE FUND II 3EDGE DYNAMIC FIXED INCOME E Exchange Traded Fund Financial
2935    EDGH 10/3/2024 0.07 THE ADVISORS INNER CIRCLE FUND II 3EDGE DYNAMIC HARD ASSETS ET Exchange Traded Fund Financial
2936    EDGI 10/3/2024 0.04 THE ADVISORS INNER CIRCLE FUND II 3EDGE DYNAMIC INTERNATIONAL Exchange Traded Fund Financial
2937    EDGU 10/3/2024 0.06 THE ADVISORS INNER CIRCLE FUND II 3EDGE DYNAMIC US EQUITY ETF Exchange Traded Fund Financial
2938    EDIT 1/20/2016 37 EDITAS MEDICINE INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
2939    EDIV 2/24/2011 13 SPDR S&P EMERGING MARKETS DIVIDEND ETF Exchange Traded Fund Financial
2940    EDN 4/26/2007 13 EMPRESA DISTRIBUIDORA Y COMERCIALIZADORA NORTE S.A. (EDENOR) AMERICAN DEPOSITARY SHARES Electric Utilities: Central Utilities
2941    EDOC 7/30/2020 3.58 GLOBAL X TELEMEDICINE & DIGITAL HEALTH ETF Exchange Traded Fund Financial
2942    EDOG 3/28/2014 1.52 ALPS EMERGING SECTOR DIVIDEND DOGS ETF Exchange Traded Fund Financial
2943    EDOW 8/9/2017 2.14 FIRST TRUST DOW 30 EQUAL WEIGHT ETF Exchange Traded Fund Financial
2944    EDR 4/29/2021 16 ENDEAVOR GROUP HOLDINGS INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
2945    EDRY 5/31/2018 2.66 EURODRY LTD. COMMON SHARES Marine Transportation Consumer Discretionary
2946    EDSA 8/3/2010 9.02 EDESA BIOTECH INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
2947    EDTK 7/23/2020 2.58 SKILLFUL CRAFTSMAN EDUCATION TECHNOLOGY LIMITED ORDINARY SHARE Other Consumer Services Real Estate
2948    EDU 9/15/2006 84 NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INC. SPONSORED ADR REPRESENTING 10 ORDINARY SHARE (CAYMAN ISLANDS) Other Consumer Services Real Estate
2949    EDUC 1/2/1998 4.35 EDUCATIONAL DEVELOPMENT CORPORATION COMMON STOCK Consumer Specialties Consumer Discretionary
2950    EDV 1/29/2008 24 VANGUARD EXTENDED DURATION TREASURY ETF Exchange Traded Fund Financial
2951    EDZ 12/30/2008 57 DIREXION EMERGING MARKETS BEAR 3X SHARES Exchange Traded Fund Financial
2952    EE 4/13/2022 7.58 EXCELERATE ENERGY INC. CLASS A COMMON STOCK Oil/Gas Transmission Utilities
2953    EEA 10/31/2005 4.39 THE EUROPEAN EQUITY FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
2954    EEFT 1/2/1998 68 EURONET WORLDWIDE INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
2955    EEIQ 3/25/2021 1.89 EPICQUEST EDUCATION GROUP INTERNATIONAL LIMITED COMMON STOCK Other Consumer Services Real Estate
2956    EELV 1/13/2012 11 INVESCO S&P EMERGING MARKETS LOW VOLATILITY ETF Exchange Traded Fund Financial
2957    EEM 4/14/2003 116 ISHARES MSCI EMERGING INDEX FUND Exchange Traded Fund Financial
2958    EEMA 2/9/2012 7.33 ISHARES MSCI EMERGING MARKETS ASIA ETF Exchange Traded Fund Financial
2959    EEMO 2/24/2012 1.33 INVESCO S&P EMERGING MARKETS MOMENTUM ETF Exchange Traded Fund Financial
2960    EEMS 8/18/2011 5.72 ISHARES MSCI EMERGING MARKETS SMALL CAP ETF Exchange Traded Fund Financial
2961    EEMV 10/20/2011 38 ISHARES MSCI EMERGING MARKETS MIN VOL FACTOR ETF Exchange Traded Fund Financial
2962    EEMX 11/15/2016 0.86 SPDR MSCI EMERGING MARKETS FUEL RESERVES FREE ETF Exchange Traded Fund Financial
2963    EES 2/23/2007 9.82 WISDOMTREE U.S. SMALLCAP FUND Exchange Traded Fund Financial
2964    EET 6/4/2009 4.24 PROSHARES ULTRA MSCI EMERGING MARKETS Exchange Traded Fund Financial
2965    EETH 10/2/2023 1.8 PROSHARES ETHER ETF Exchange Traded Fund Financial
2966    EEV 11/1/2007 29 PROSHARES ULTRASHORT MSCI EMERGING MARKETS Exchange Traded Fund Financial
2967    EEX 4/28/2017 12 EMERALD HOLDING INC. COMMON STOCK Business Services Consumer Discretionary
2968    EFA 8/27/2001 108 ISHARES MSCI EAFE ETF Exchange Traded Fund Financial
2969    EFAA 7/17/2024 0.03 INVESCO ACTIVELY MANAGED EXCHANGE-TRADED FUND TRUS INVESCO MSC Exchange Traded Fund Financial
2970    EFAD 8/21/2014 2.59 PROSHARES TRUST PROSHARES MSCI EAFE DIVIDEND GROWERS ETF Exchange Traded Fund Financial
2971    EFAS 1/11/2017 0.52 GLOBAL X MSCI SUPERDIVIDEND EAFE ETF Exchange Traded Fund Financial
2972    EFAV 10/20/2011 41 ISHARES MSCI EAFE MIN VOL FACTOR ETF Exchange Traded Fund Financial
2973    EFAX 11/3/2016 1.15 SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF Exchange Traded Fund Financial
2974    EFC 10/8/2010 34 ELLINGTON FINANCIAL INC. COMMON STOCK Real Estate Finance
2975    EFC.A 10/24/2019 1.03 ELLINGTON FINANCIAL INC. 6.750% SERIES A FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
2976    EFC.B 12/16/2021 0.34 ELLINGTON FINANCIAL INC. 6.250% SERIES B FIXED-RATE RESET CUMULATIVE REDEEMABLE PREFERRED STOCK
2977    EFC.C 2/9/2023 0.23 ELLINGTON FINANCIAL INC. 8.625% SERIES C FIXED-RATE RESET CUMULATIVE REDEEMABLE PREFERRED STOCK
2978    EFC.D 12/15/2023 0.03 ELLINGTON FINANCIAL INC. 7.00% SERIES D CUMULATIVE PERPETUAL REDEEMABLE PREFERRED STOCK
2979    EFFE 10/23/2014 0.14
2980    EFG 8/5/2005 41 ISHARES MSCI EAFE GROWTH ETF Exchange Traded Fund Financial
2981    EFIV 7/29/2020 1.97 SPDR S&P 500 ESG ETF Exchange Traded Fund Financial
2982    EFIX 2/18/2021 0.31 FIRST TRUST EXCHANGE-TRADED FUND VIII FIRST TRUST TCW EMERGING Exchange Traded Fund Financial
2983    EFNL 1/26/2012 2.19 ISHARES INC ISHARES MSCI FINLAND ETF Exchange Traded Fund Financial
2984    EFO 6/4/2009 1.1 PROSHARES ULTRA MSCI EAFE Exchange Traded Fund Financial
2985    EFOI 5/9/2007 13 ENERGY FOCUS INC. COMMON STOCK Building Products Consumer Discretionary
2986    EFR 11/25/2003 30 EATON VANCE SENIOR FLOATING-RATE FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
2987    EFRA 11/3/2022 0.05 ISHARES ENVIRONMENTAL INFRASTRUCTURE AND INDUSTRIALS ETF Exchange Traded Fund Financial
2988    EFSC 2/8/2005 23 ENTERPRISE FINANCIAL SERVICES CORPORATION COMMON STOCK Major Banks Finance
2989    EFSCP 11/18/2021 0.34 ENTERPRISE FINANCIAL SERVICES CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5% FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
2990    EFSH 8/3/2022 5.35 1847 HOLDINGS LLC COMMON SHARES Professional Services Consumer Discretionary
2991    EFSI 5/21/2007 0.39 EAGLE FINANCIAL SERVICES INC COMMON STOCK Major Banks Finance
2992    EFT 7/26/2004 31 EATON VANCE FLOATING RATE INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
2993    EFTR 3/1/2021 4.57
2994    EFTRW 3/1/2021 0.44
2995    EFU 10/25/2007 7.74 PROSHARES ULTRASHORT MSCI EAFE Exchange Traded Fund Financial
2996    EFV 8/5/2005 53 ISHARES MSCI EAFE VALUE ETF Exchange Traded Fund Financial
2997    EFX 1/2/1998 108 EQUIFAX INC. COMMON STOCK Finance: Consumer Services Finance
2998    EFXT 10/13/2022 2.99 ENERFLEX LTD COMMON SHARES Industrial Machinery/Components Industrials
2999    EFZ 10/25/2007 10 PROSHARES SHORT MSCI EAFE Exchange Traded Fund Financial
3000    EG 4/27/2007 61 EVEREST GROUP LTD. COMMON STOCK Property-Casualty Insurers Finance
3001    EGAN 5/16/2007 16 EGAIN CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
3002    EGBN 2/23/2006 27 EAGLE BANCORP INC. COMMON STOCK Major Banks Finance
3003    EGF 10/27/2005 6.9 BLACKROCK ENHANCED GOVERNMENT FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
3004    EGHT 7/19/2001 64
3005    EGO 1/23/2003 90
3006    EGP 1/2/1998 60
3007    EGRX 2/12/2014 21
3008    EGUS 2/8/2023 0.03 ISHARES TRUST ISHARES ESG AWARE MSCI USA GROWTH ETF Exchange Traded Fund Financial
3009    EGY 7/21/2004 65 VAALCO ENERGY INC. COMMON STOCK Oil & Gas Production Energy
3010    EH 12/12/2019 18 EHANG HOLDINGS LIMITED ADS Aerospace Industrials
3011    EHAB 6/23/2022 7.75 ENHABIT INC. COMMON STOCK Medical/Nursing Services Health Care
3012    EHC 5/7/2007 72 ENCOMPASS HEALTH CORPORATION COMMON STOCK Hospital/Nursing Management Health Care
3013    EHGO 7/2/2024 0.42 ESHALLGO INC. CLASS A ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
3014    EHI 7/29/2003 26 WESTERN ASSET GLOBAL HIGH INCOME FUND INC COMMON STOCK Investment Managers Finance
3015    EHLS 4/2/2024 0.06 EVEN HERD LONG SHORT ETF Exchange Traded Fund Financial
3016    EHTH 10/20/2006 47 EHEALTH INC. COMMON STOCK Specialty Insurers Finance
3017    EIC 7/24/2019 3.54 EAGLE POINT INCOME COMPANY INC. COMMON STOCK Finance/Investors Services Finance
3018    EICA 10/27/2021 0.23 EAGLE POINT INCOME COMPANY INC. 5.00% SERIES A TERM PREFERRED STOCK DUE 2026 Finance/Investors Services Finance
3019    EICB 8/1/2023 0.22 EAGLE POINT INCOME COMPANY INC. 7.75% SERIES B TERM PREFERRED STOCK DUE 2028
3020    EICC 4/11/2024 0.29 EAGLE POINT INCOME COMPANY INC. 8.00% SERIES C TERM PREFERRED STOCK DUE 2029
3021    EIDO 5/7/2010 48 ISHARES MSCI INDONESIA ETF Exchange Traded Fund Financial
3022    EIG 1/31/2007 41 EMPLOYERS HOLDINGS INC COMMON STOCK Property-Casualty Insurers Finance
3023    EIIA 10/18/2024 0.09 EAGLE POINT INSTITUTIONAL INCOME FUND 8.125% SERIES A TERM PREFERRED SHARES DUE 2029
3024    EIM 8/28/2002 30 EATON VANCE MUNICIPAL BOND FUND COMMON SHARES OF BENEFICIAL INTEREST $.01 PAR VALUE Finance/Investors Services Finance
3025    EINC 3/14/2012 5.97 VANECK ENERGY INCOME ETF Exchange Traded Fund Financial
3026    EIPI 5/6/2024 1.13 FIRST TRUST EXCHANGE-TRADED FUND VIII FT ENERGY INCOME PARTNER Exchange Traded Fund Financial
3027    EIPX 11/3/2022 0.76 FIRST TRUST EXCHANGE-TRADED FUND IV FT ENERGY INCOME PARTNERS Exchange Traded Fund Financial
3028    EIRL 5/11/2010 4.24 ISHARES TRUST ISHARES MSCI IRELAND ETF Exchange Traded Fund Financial
3029    EIS 3/28/2008 7.74 ISHARES INC ISHARES MSCI ISRAEL ETF Exchange Traded Fund Financial
3030    EIX 1/2/1998 121 EDISON INTERNATIONAL COMMON STOCK Electric Utilities: Central Utilities
3031    EJAN 1/2/2020 1.05 INNOVATOR EMERGING MARKETS POWER BUFFER ETF JANUARY Exchange Traded Fund Financial
3032    EJH 5/14/2021 12 E-HOME HOUSEHOLD SERVICE HOLDINGS LIMITED ORDINARY SHARES Other Consumer Services Consumer Discretionary
3033    EJUL 7/1/2019 0.85 INNOVATOR EMERGING MARKETS POWER BUFFER ETF JULY Exchange Traded Fund Financial
3034    EKG 8/26/2008 0.1 FIRST TRUST NASDAQ LUX DIGITAL HEALTH SOLUTIONS ETF Exchange Traded Fund Financial
3035    EKSO 1/17/2014 15 EKSO BIONICS HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Industrials
3036    EL 1/2/1998 120 ESTEE LAUDER COMPANIES INC. (THE) COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
3037    ELA 11/24/2010 5.4 ENVELA CORPORATION COMMON STOCK Consumer Specialties Consumer Discretionary
3038    ELAB 11/21/2023 3.51 PMGC HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3039    ELAN 9/20/2018 29 ELANCO ANIMAL HEALTH INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3040    ELBM 4/27/2022 2.38 ELECTRA BATTERY MATERIALS CORPORATION COMMON STOCK Industrial Machinery/Components Miscellaneous
3041    ELC 1/7/2022 1.09 ENTERGY LOUISIANA INC. COLLATERAL TRUST MORTGAGE BONDS 4.875 % SERIES DUE SEPTEMBER 1 2066 Electric Utilities: Central Utilities
3042    ELCV 10/1/2024 0.13 STRATEGY SHARES EVENTIDE HIGH DIVIDEND ETF Exchange Traded Fund Financial
3043    ELD 8/9/2010 14 WISDOMTREE EMERGING MARKETS LOCAL DEBT FUND Exchange Traded Fund Financial
3044    ELDN 9/17/2014 9.82 ELEDON PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3045    ELEV 2/25/2011 6.15 ELEVATION ONCOLOGY INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3046    ELF 9/22/2016 32 E.L.F. BEAUTY INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
3047    ELLO 10/27/2008 0.76 ELLOMAY CAPITAL LTD ORDINARY SHARES (ISRAEL) Electric Utilities: Central Utilities
3048    ELMD 8/13/2010 5.97 ELECTROMED INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
3049    ELME 5/3/2007 68 ELME COMMUNITIES COMMON STOCK Real Estate Investment Trusts Real Estate
3050    ELON 7/28/1998 39
3051    ELOX 11/21/2012 7.32
3052    ELP 6/3/1998 79 COMPANHIA PARANAENSE DE ENERGIA (COPEL) AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE UNIT CONSISTING ONE COMMON SHARE AND FOUR NON-VOTING CLASS B PREFERRED SHARES) Electric Utilities: Central Utilities
3053    ELPC 12/29/2023 0.31 COMPANHIA PARANAENSE DE ENERGIA (COPEL) AMERICAN DEPOSITARY SHARES (EACH REPRESENTING FOUR (4) COMMON SHARES) Electric Utilities: Central Utilities
3054    ELPW 11/22/2024 0.33 ELONG POWER HOLDING LIMITED CLASS A ORDINARY SHARES
3055    ELQD 11/10/2021 0.02 ISHARES ESG ADVANCED INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
3056    ELS 11/23/2004 72 EQUITY LIFESTYLE PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3057    ELSE 1/2/1998 2.6 ELECTRO-SENSORS INC. COMMON STOCK Industrial Machinery/Components Industrials
3058    ELTK 4/30/1999 7.29 ELTEK LTD. ORDINARY SHARES Electrical Products Technology
3059    ELTX 2/5/2021 3.03 ELICIO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3060    ELUT 10/8/2020 1.62 ELUTIA INC. CLASS A COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3061    ELV 10/30/2001 67 ELEVANCE HEALTH INC. COMMON STOCK Medical Specialities Health Care
3062    ELVA 7/6/2023 0.75 ELECTROVAYA INC. COMMON SHARES
3063    ELVN 3/12/2020 6.18 ENLIVEN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3064    ELWS 7/25/2023 1.6 EARLYWORKS CO. LTD. AMERICAN DEPOSITARY SHARES EDP Services Technology
3065    ELYS 5/23/2007 6.06
3066    EM 4/1/2021 2.98 SMART SHARE GLOBAL LIMITED AMERICAN DEPOSITARY SHARES Other Consumer Services Consumer Discretionary
3067    EMB 12/19/2007 64 ISHARES J.P. MORGAN USD EMERGING MARKETS BOND ETF Exchange Traded Fund Financial
3068    EMBC 3/22/2022 9.46 EMBECTA CORP. COMMON STOCK Medical/Dental Instruments Health Care
3069    EMBD 6/3/2020 1.91 GLOBAL X EMERGING MARKETS BOND ETF Exchange Traded Fund Financial
3070    EMC 5/16/2023 0.87 GLOBAL X FUNDS GLOBAL X EMERGING MARKETS GREAT CONSUMER ETF Exchange Traded Fund Financial
3071    EMCB 3/8/2012 1.66 WISDOMTREE EMERGING MARKETS CORPORATE BOND FUND Exchange Traded Fund Financial
3072    EMCC 10/8/2024 0.01
3073    EMCG 9/27/2013 0.59 EMBRACE CHANGE ACQUISITION CORP ORDINARY SHARES Blank Checks Finance
3074    EMCGR 9/30/2022 0.05
3075    EMCGW 9/30/2022 0.05
3076    EMCR 10/16/2012 0.72 XTRACKERS EMERGING MARKETS CARBON REDUCTION AND CLIMATE IMPROV Exchange Traded Fund Financial
3077    EMCS 12/6/2018 0.35 XTRACKERS MSCI EMERGING MARKETS CLIMATE SELECTION ETF Exchange Traded Fund Financial
3078    EMD 12/4/2003 29 WESTERN ASSET EMERGING MARKETS DEBT FUND INC COMMON STOCK Finance/Investors Services Finance
3079    EMDM 9/28/2023 0.04 FIRST TRUST EXCHANGE-TRADED FUND II FIRST TRUST BLOOMBERG EMER Exchange Traded Fund Financial
3080    EMDV 1/27/2016 0.59 PROSHARES MSCI EMERGING MARKETS DIVIDEND GROWERS ETF Exchange Traded Fund Financial
3081    EME 11/16/2000 71 EMCOR GROUP INC. COMMON STOCK Engineering & Construction Industrials
3082    EMEQ 9/5/2024 0.02 MACQUARIE FOCUSED EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
3083    EMF 1/2/1998 20 TEMPLETON EMERGING MARKETS FUND COMMON STOCK Finance/Investors Services Finance
3084    EMGF 12/18/2015 6.78 ISHARES EMERGING MARKETS EQUITY FACTOR ETF Exchange Traded Fund Financial
3085    EMHC 4/7/2021 0.65 SPDR BLOOMBERG EMERGING MARKETS USD BOND ETF Exchange Traded Fund Financial
3086    EMHY 4/3/2012 9.42 ISHARES J.P. MORGAN EM HIGH YIELD BOND ETF Exchange Traded Fund Financial
3087    EMIF 6/19/2009 2.65 ISHARES EMERGING MARKETS INFRASTRUCTURE ETF Exchange Traded Fund Financial
3088    EMKR 1/2/1998 55
3089    EML 1/2/1998 5.47 EASTERN COMPANY (THE) COMMON STOCK Industrial Machinery/Components Consumer Discretionary
3090    EMLC 7/23/2010 47 VANECK J. P. MORGAN EM LOCAL CURRENCY BOND ET Exchange Traded Fund Financial
3091    EMLP 6/21/2012 34 FIRST TRUST NORTH AMERICAN ENERGY INFRASTRUCTURE FUND Exchange Traded Fund Financial
3092    EMM 5/16/2023 0.11 GLOBAL X FUNDS GLOBAL X EMERGING MARKETS EX-CHINA ETF Exchange Traded Fund Financial
3093    EMMA 7/14/2017 1.86
3094    EMMF 8/10/2018 0.45 WISDOMTREE EMERGING MARKETS MULTIFACTOR FUND Exchange Traded Fund Financial
3095    EMMS 1/2/1998 34
3096    EMN 1/2/1998 114 EASTMAN CHEMICAL COMPANY COMMON STOCK Major Chemicals Industrials
3097    EMNT 12/12/2019 0.74 PIMCO ENHANCED SHORT MATURITY ACTIVE ESG EXCHANGE-TRADED FUND Exchange Traded Fund Financial
3098    EMO 6/14/2011 19 CLEARBRIDGE ENERGY MIDSTREAM OPPORTUNITY FUND INC. COMMON STOCK Investment Managers Finance
3099    EMOT 7/18/2024 0.03 FIRST TRUST EXCHANGE-TRADED FUND VI FIRST TRUST S&P 500 ECONOM Exchange Traded Fund Financial
3100    EMP 9/16/2016 2.83 ENTERGY MISSISSIPPI LLC FIRST MORTGAGE BONDS 4.90% SERIES DUE OCTOBER 1 2066 Electric Utilities: Central Utilities
3101    EMQQ 11/17/2014 14 EMQQ THE EMERGING MARKETS INTERNET ETF Exchange Traded Fund Financial
3102    EMR 1/2/1998 129 EMERSON ELECTRIC COMPANY COMMON STOCK Consumer Electronics/Appliances Technology
3103    EMSF 9/22/2023 0.07 MATTHEWS INTERNATIONAL FUNDS MATTHEWS EMERGING MARKETS SUSTAIN Exchange Traded Fund Financial
3104    EMTL 4/26/2016 1.2 SPDR DOUBLELINE EMERGING MARKETS FIXED INCOME ETF Exchange Traded Fund Financial
3105    EMTY 11/16/2017 2.01 PROSHARES DECLINE OF THE RETAIL STORE ETF Exchange Traded Fund Financial
3106    EMX 10/27/2008 8.95 EMX ROYALTY CORPORATION COMMON SHARES (CANADA) Metal Mining Basic Materials
3107    EMXC 7/26/2017 14 ISHARES MSCI EMERGING MARKETS EX CHINA ETF Exchange Traded Fund Financial
3108    EMXF 10/13/2020 0.46 ISHARES ESG ADVANCED MSCI EM ETF Exchange Traded Fund Financial
3109    ENB 10/30/2001 87 ENBRIDGE INC COMMON STOCK Natural Gas Distribution Energy
3110    ENFN 10/21/2021 8.04 ENFUSION INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
3111    ENFR 11/1/2013 3.48 ALERIAN ENERGY INFRASTRUCTURE ETF Exchange Traded Fund Financial
3112    ENFY 3/9/2009 14 ENLIGHTIFY INC. COMMON STOCK Agricultural Chemicals Industrials
3113    ENGN 2/22/2012 1.22 ENGENE HOLDINGS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3114    ENGNW 11/1/2023 0.11 ENGENE HOLDINGS INC. WARRANTS Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3115    ENIC 4/21/2016 25 ENEL CHILE S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 50 SHARES OF COMMON STOCK) Electric Utilities: Central Utilities
3116    ENJ 12/5/2012 0.79 ENTERGY NEW ORLEANS LLC FIRST MORTGAGE BONDS 5.0% SERIES DUE DECEMBER 1 2052 Power Generation Utilities
3117    ENLT 2/10/2023 1.3 ENLIGHT RENEWABLE ENERGY LTD. ORDINARY SHARES Electric Utilities: Central Utilities
3118    ENLV 11/5/2009 6.95 ENLIVEX THERAPEUTICS LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
3119    ENO 3/24/2016 2.03 ENTERGY NEW ORLEANS LLC FIRST MORTGAGE BONDS 5.50% SERIES DUE APRIL 1 2066 Power Generation Utilities
3120    ENOR 1/24/2012 2.92 ISHARES INC ISHARES MSCI NORWAY ETF Exchange Traded Fund Financial
3121    ENOV 5/8/2008 58 ENOVIS CORPORATION COMMON STOCK Industrial Specialties Health Care
3122    ENPH 3/30/2012 52 ENPHASE ENERGY INC. COMMON STOCK Semiconductors Technology
3123    ENR 7/1/2015 37 ENERGIZER HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
3124    ENS 8/2/2004 62 ENERSYS COMMON STOCK Industrial Machinery/Components Technology
3125    ENSC 7/2/2021 8.01 ENSYSCE BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3126    ENSG 11/9/2007 39 THE ENSIGN GROUP INC. COMMON STOCK Hospital/Nursing Management Health Care
3127    ENSV 5/16/2007 16
3128    ENTA 3/21/2013 26 ENANTA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3129    ENTG 7/11/2000 96 ENTEGRIS INC. COMMON STOCK Plastic Products Industrials
3130    ENTO 10/11/2016 12 ENTERO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3131    ENTX 6/28/2018 4.38 ENTERA BIO LTD. ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3132    ENVA 11/13/2014 25 ENOVA INTERNATIONAL INC. COMMON STOCK Finance: Consumer Services Finance
3133    ENVB 11/22/2016 16 ENVERIC BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3134    ENVX 1/5/2021 19 ENOVIX CORPORATION COMMON STOCK Industrial Machinery/Components Miscellaneous
3135    ENX 8/28/2002 11 EATON VANCE NEW YORK MUNICIPAL BOND FUND COMMON SHARES OF BENEFICIAL INTEREST $.01 PAR VALUE Finance/Investors Services Finance
3136    ENZ 12/16/1999 53 ENZO BIOCHEM INC. COMMON STOCK ($0.01 PAR VALUE) Medical Specialities Health Care
3137    ENZL 9/2/2010 7.43 ISHARES MSCI NEW ZEALAND ETF Exchange Traded Fund Financial
3138    EOCT 10/1/2021 0.27 INNOVATOR EMERGING MARKETS POWER BUFFER ETF - OCTOBER Exchange Traded Fund Financial
3139    EOD 3/28/2007 31 ALLSPRING GLOBAL DIVIDEND OPPORTUNITY FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
3140    EOG 1/2/1998 122 EOG RESOURCES INC. COMMON STOCK Oil & Gas Production Energy
3141    EOI 10/27/2004 28 EATON VANCE ENHANCE EQUITY INCOME FUND EATON VANCE ENHANCED EQUITY INCOME FUND SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
3142    EOLS 2/8/2018 20 EVOLUS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3143    EONR 4/6/2022 2.22 EON RESOURCES INC. CLASS A COMMON STOCK Oil & Gas Production Energy
3144    EOS 1/27/2005 33 EATON VANCE ENHANCE EQUITY INCOME FUND II COMMON STOCK Trusts Except Educational Religious and Charitable Finance
3145    EOSE 6/3/2020 19 EOS ENERGY ENTERPRISES INC. CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
3146    EOSEW 6/3/2020 1.52 EOS ENERGY ENTERPRISES INC. WARRANT Industrial Machinery/Components Miscellaneous
3147    EOT 5/27/2009 11 EATON VANCE MUNICIPAL INCOME TRUST EATON VANCE NATIONAL MUNICIPAL OPPORTUNITIES TRUST Investment Bankers/Brokers/Service Finance
3148    EP 12/31/2001 50 EMPIRE PETROLEUM CORPORATION COMMON STOCK Oil & Gas Production Energy
3149    EP.C 5/16/2007 2.26 EL PASO CORPORATION PREFERRED STOCK
3150    EPAC 5/3/2007 62 ENERPAC TOOL GROUP CORP. COMMON STOCK Industrial Machinery/Components Technology
3151    EPAM 2/8/2012 40 EPAM SYSTEMS INC. COMMON STOCK EDP Services Technology
3152    EPC 4/4/2000 90 EDGEWELL PERSONAL CARE COMPANY COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
3153    EPD 7/28/1998 108 ENTERPRISE PRODUCTS PARTNERS L.P. COMMON STOCK Natural Gas Distribution Utilities
3154    EPHE 9/29/2010 27 ISHARES MSCI PHILIPPINES ETF Exchange Traded Fund Financial
3155    EPI 2/26/2008 69 WISDOMTREE INDIA EARNINGS FUND Exchange Traded Fund Financial
3156    EPIX 3/13/2015 7.34 ESSA PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3157    EPM 7/17/2006 27 EVOLUTION PETROLEUM CORPORATION INC. COMMON STOCK Oil & Gas Production Energy
3158    EPOL 5/26/2010 29 ISHARES TRUST ISHARES MSCI POLAND ETF Exchange Traded Fund Financial
3159    EPOW 2/9/2021 1.74 SUNRISE NEW ENERGY CO. LTD CLASS A ORDINARY SHARES Business Services Consumer Discretionary
3160    EPP 2/16/2007 61 ISHARES MSCI PACIFIC EX-JAPAN INDEX FUND Exchange Traded Fund Financial
3161    EPR 1/2/1998 80 EPR PROPERTIES COMMON STOCK Real Estate Investment Trusts Real Estate
3162    EPR.C 5/17/2007 2.3 EPR PROPERTIES 5.75% SERIES C CUMULATIVE CONVERTIBLE PREFERRED SHARES
3163    EPR.E 4/7/2008 1.79 EPR PROPERTIES SERIES E CUMULATIVE CONV PFD SHS SER E
3164    EPR.G 12/8/2017 2.05 EPR PROPERTIES 5.750% SERIES G CUMULATIVE REDEEMABLE PREFERRED SHARES
3165    EPRF 5/24/2016 2.44 INNOVATOR S&P INVESTMENT GRADE PREFERRED ETF Exchange Traded Fund Financial
3166    EPRT 6/21/2018 27 ESSENTIAL PROPERTIES REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3167    EPRX 4/5/2024 0.15 EUPRAXIA PHARMACEUTICALS INC. COMMON STOCK Pharmaceuticals and Biotechnology Health Care
3168    EPS 2/23/2007 5.57 WISDOMTREE U.S. LARGECAP FUND Exchange Traded Fund Financial
3169    EPSN 10/28/2008 4 EPSILON ENERGY LTD. COMMON SHARE Oil & Gas Production Energy
3170    EPU 6/22/2009 17 ISHARES MSCI PERU AND GLOBAL EXPOSURE ETF Exchange Traded Fund Financial
3171    EPV 6/19/2009 17 PROSHARES ULTRASHORT FTSE EUROPE ETF Exchange Traded Fund Financial
3172    EPWK 2/6/2025 0.1 EPWK HOLDINGS LTD. CLASS A ORDINARY SHARES
3173    EQ 10/12/2018 6.06 EQUILLIUM INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3174    EQAL 12/29/2014 4.96 INVESCO RUSSELL 1000 EQUAL WEIGHT ETF Exchange Traded Fund Financial
3175    EQBK 11/11/2015 7.15 EQUITY BANCSHARES INC. CLASS A COMMON STOCK Major Banks Finance
3176    EQC 1/2/1998 96 EQUITY COMMONWEALTH COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
3177    EQH 5/10/2018 33 EQUITABLE HOLDINGS INC. COMMON STOCK Specialty Insurers Finance
3178    EQH.A 12/2/2019 4.74 EQUITABLE HOLDINGS INC. DEPOSITARY SHARES
3179    EQH.C 1/13/2021 2.07 EQUITABLE HOLDINGS INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK SERIES C
3180    EQIN 7/21/2016 0.56 COLUMBIA U.S. EQUITY INCOME ETF Exchange Traded Fund Financial
3181    EQIX 8/11/2000 84 EQUINIX INC. COMMON STOCK REIT Real Estate Investment Trusts Real Estate
3182    EQL 7/7/2009 2.93 ALPS EQUAL SECTOR WEIGHT ETF Exchange Traded Fund Financial
3183    EQLS 6/14/2023 0.17 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY MARKET NEUTRAL EQUITY Exchange Traded Fund Financial
3184    EQLT 2/25/2014 0.17
3185    EQNR 4/30/2007 90 EQUINOR ASA Integrated oil Companies Energy
3186    EQR 1/2/1998 115 EQUITY RESIDENTIAL COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
3187    EQRR 7/25/2017 0.68 PROSHARES EQUITIES FOR RISING RATES ETF Exchange Traded Fund Financial
3188    EQS 5/20/1998 3.36 EQUUS TOTAL RETURN INC. COMMON STOCK Finance/Investors Services Finance
3189    EQT 1/2/1998 111 EQT CORPORATION COMMON STOCK Oil & Gas Production Energy
3190    EQTY 12/12/2022 0.71 VALUED ADVISERS TRUST KOVITZ CORE EQUITY ETF Exchange Traded Fund Financial
3191    EQV 9/27/2024 0.17 EQV VENTURES ACQUISITION CORP. CLASS A ORDINARY SHARES
3192    EQWL 5/16/2007 3.28 INVESCO S&P 100 EQUAL WEIGHT ETF Exchange Traded Fund Financial
3193    EQX 9/16/2019 21 EQUINOX GOLD CORP. COMMON SHARES Precious Metals Basic Materials
3194    ERAS 7/16/2021 11 ERASCA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3195    ERC 6/25/2003 31 ALLSPRING MULTI-SECTOR INCOME FUND COMMON STOCK Finance/Investors Services Finance
3196    ERET 11/18/2022 0.06 ISHARES ENVIRONMENTALLY AWARE REAL ESTATE ETF Exchange Traded Fund Financial
3197    ERH 4/28/2004 10 ALLSPRING UTILITIES AND HIGH INCOME FUND COMMON SHARES Finance/Investors Services Finance
3198    ERIC 8/24/2006 91 ERICSSON AMERICAN DEPOSITARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
3199    ERIE 1/2/1998 30 ERIE INDEMNITY COMPANY CLASS A COMMON STOCK Specialty Insurers Finance
3200    ERII 7/2/2008 41 ENERGY RECOVERY INC. COMMON STOCK Industrial Machinery/Components Technology
3201    ERJ 7/21/2000 92 EMBRAER S.A. COMMON STOCK Aerospace Industrials
3202    ERNA 3/26/2021 6.77 ETERNA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3203    ERNZ 5/1/2024 0.24 TRUESHARES ACTIVE YIELD ETF Exchange Traded Fund Financial
3204    ERO 12/27/2007 7.36 ERO COPPER CORP. COMMON SHARES Metal Mining Basic Materials
3205    ERTH 5/16/2007 6.07 INVESCO MSCI SUSTAINABLE FUTURE ETF Exchange Traded Fund Financial
3206    ERX 11/19/2008 77 DIREXION ENERGY BULL 2X SHARES Exchange Traded Fund Financial
3207    ERY 11/19/2008 68 DIREXION DAILY ENERGY BEAR 2X SHARES Exchange Traded Fund Financial
3208    ES 11/15/2007 77 EVERSOURCE ENERGY (D/B/A) COMMON STOCK Electric Utilities: Central Utilities
3209    ESAB 3/29/2022 6.89 ESAB CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
3210    ESBA 10/2/2013 1.85
3211    ESCA 1/2/1998 7.88 ESCALADE INCORPORATED COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
3212    ESE 1/2/1998 47 ESCO TECHNOLOGIES INC. COMMON STOCK Telecommunications Equipment Telecommunications
3213    ESEA 1/31/2007 18 EUROSEAS LTD. COMMON STOCK (MARSHALL ISLANDS) Marine Transportation Consumer Discretionary
3214    ESG 7/14/2016 0.73 FLEXSHARES STOXX US ESG SELECT INDEX FUND Exchange Traded Fund Financial
3215    ESGD 8/25/2016 18 ISHARES ESG AWARE MSCI EAFE ETF Exchange Traded Fund Financial
3216    ESGE 7/20/2016 23 ISHARES ESG AWARE MSCI EM ETF Exchange Traded Fund Financial
3217    ESGG 7/15/2016 0.48 FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND Exchange Traded Fund Financial
3218    ESGL 11/1/2016 0.99 ESGL HOLDINGS LIMITED ORDINARY SHARES Environmental Services Utilities
3219    ESGLW 8/4/2023 0.12
3220    ESGR 9/30/2002 13 ENSTAR GROUP LIMITED ORDINARY SHARES Property-Casualty Insurers Finance
3221    ESGRO 12/3/2018 1.59 ENSTAR GROUP LIMITED DEPOSITORY SHARES 7.00% PERPETUAL NON-CUMULATIVE PREFERENCE SHARES SERIES E Property-Casualty Insurers Finance
3222    ESGRP 7/13/2018 3.25 ENSTAR GROUP LIMITED DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF AN INTEREST IN PREFERENCE SHARES Property-Casualty Insurers Finance
3223    ESGU 12/6/2016 22 ISHARES ESG AWARE MSCI USA ETF Exchange Traded Fund Financial
3224    ESGV 9/20/2018 12 VANGUARD ESG U.S. STOCK ETF Exchange Traded Fund Financial
3225    ESHA 7/21/2023 0.05 ESH ACQUISITION CORP. CLASS A COMMON STOCK Blank Checks Finance
3226    ESHAR 7/21/2023 0.04
3227    ESI 10/22/2013 49 ELEMENT SOLUTIONS INC. COMMON STOCK Major Chemicals Industrials
3228    ESIX 1/11/2022 0.03 SSGA ACTIVE TRUST SPDR S&P SMALLCAP 600 ESG ETF Exchange Traded Fund Financial
3229    ESLA 9/14/2021 0.9 ESTRELLA IMMUNOPHARMA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3230    ESLAW 9/14/2021 0.11 ESTRELLA IMMUNOPHARMA INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3231    ESLT 2/14/2001 13 ELBIT SYSTEMS LTD. ORDINARY SHARES Military/Government/Technical Industrials
3232    ESML 5/15/2018 7.37 ISHARES ESG AWARE MSCI USA SMALL-CAP ETF Exchange Traded Fund Financial
3233    ESMV 11/4/2021 0.09 ISHARES ESG MSCI USA MIN VOL FACTOR ETF Exchange Traded Fund Financial
3234    ESNT 10/31/2013 41 ESSENT GROUP LTD. COMMON SHARES Property-Casualty Insurers Finance
3235    ESOA 11/16/2012 3.56 ENERGY SERVICES OF AMERICA CORPORATION COMMON STOCK Water Sewer Pipeline Comm & Power Line Construction Industrials
3236    ESP 1/6/1998 2.85 ESPEY MFG. & ELECTRONICS CORP. COMMON STOCK Industrial Machinery/Components Technology
3237    ESPO 10/17/2018 5.61 VANECK VIDEO GAMING AND ESPORTS ETF Exchange Traded Fund Financial
3238    ESPR 6/26/2013 40 ESPERION THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3239    ESQ 6/27/2017 3.23 ESQUIRE FINANCIAL HOLDINGS INC. COMMON STOCK Commercial Banks Finance
3240    ESRT 10/2/2013 49 EMPIRE STATE REALTY TRUST INC. CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
3241    ESS 1/2/1998 78 ESSEX PROPERTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3242    ESSA 4/4/2007 7.94 ESSA BANCORP INC. COMMON STOCK Banks Finance
3243    ESTA 7/19/2018 10 ESTABLISHMENT LABS HOLDINGS INC. COMMON SHARES Industrial Specialties Health Care
3244    ESTC 10/5/2018 27 ELASTIC N.V. ORDINARY SHARES Computer Software: Prepackaged Software Technology
3245    ET 3/22/2012 67 ENERGY TRANSFER LP COMMON UNITS Natural Gas Distribution Utilities
3246    ET.I 11/3/2023 0.88 ENERGY TRANSFER L.P. SERIES I FIXED RATE PERPETUAL PREFERRED UNITS
3247    ETB 4/27/2005 20 EATON VANCE TAX-MANAGED BUY-WRITE INCOME FUND EATON VANCE TAX-MANAGED BUY-WRITE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Bankers/Brokers/Service Finance
3248    ETD 11/27/2009 40 ETHAN ALLEN INTERIORS INC. COMMON STOCK Home Furnishings Consumer Discretionary
3249    ETEC 3/31/2023 0.04 ISHARES BREAKTHROUGH ENVIRONMENTAL SOLUTIONS ETF Exchange Traded Fund Financial
3250    ETG 1/29/2004 42 EATON VANCE TAX-ADVANTAGED GLOBAL DIVIDEND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
3251    ETH 7/23/2024 3.29 GRAYSCALE ETHEREUM MINI TRUST (ETH) COMMON UNITS OF FRACTIONAL Exchange Traded Fund Financial
3252    ETHA 7/23/2024 4.07 ISHARES ETHEREUM TRUST Exchange Traded Fund Financial
3253    ETHD 6/7/2024 1 PROSHARES TRUST PROSHARES ULTRASHORT ETHER ETF Exchange Traded Fund Financial
3254    ETHE 6/20/2019 21 GRAYSCALE ETHEREUM TRUST (ETH) COMMON UNITS OF FRACTIONAL UNDI Exchange Traded Fund Financial
3255    ETHO 11/19/2015 1.23 AMPLIFY ETF TRUST AMPLIFY ETHO CLIMATE LEADERSHIP U.S. ETF Exchange Traded Fund Financial
3256    ETHT 6/7/2024 2.33 PROSHARES TRUST PROSHARES ULTRA ETHER ETF Exchange Traded Fund Financial
3257    ETHU 6/4/2024 6.64 VOLATILITY SHARES TRUST 2X ETHER ETF Exchange Traded Fund Financial
3258    ETHV 7/23/2024 0.87 VANECK ETHEREUM ETF VANECK ETHEREUM ETF Exchange Traded Fund Financial
3259    ETHW 7/23/2024 1.5 BITWISE ETHEREUM ETF COMMON SHARES OF BENEFICIAL INTEREST Exchange Traded Fund Financial
3260    ETJ 7/27/2007 34 EATON VANCE RISK-MANAGED DIVERSIFIED EQUITY INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
3261    ETN 1/2/1998 119 EATON CORPORATION PLC ORDINARY SHARES Industrial Machinery/Components Technology
3262    ETNB 11/11/2019 13 89BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3263    ETO 5/26/2004 19 EATON VANCE TAX-ADVANTAGE GLOBAL DIVIDEND OPP COMMON STOCK Investment Managers Finance
3264    ETON 11/13/2018 7.46 ETON PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3265    ETR 1/2/1998 121 ENTERGY CORPORATION COMMON STOCK Electric Utilities: Central Utilities
3266    ETSY 4/16/2015 46 ETSY INC. COMMON STOCK Business Services Consumer Discretionary
3267    ETV 6/28/2005 38 EATON VANCE CORPORATION EATON VANCE TAX-MANAGED BUY-WRITE OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Bankers/Brokers/Service Finance
3268    ETW 11/21/2005 44 EATON VANCE CORPORATION EATON VANCE TAX-MANAGED GLOBAL BUY-WRITE OPPORTUNITES FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
3269    ETWO 6/15/2020 16 E2OPEN PARENT HOLDINGS INC.CLASS A COMMON STOCK EDP Services Technology
3270    ETX 3/26/2013 5.89 EATON VANCE MUNICIPAL INCOME 2028 TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
3271    ETY 11/28/2006 49 EATON VANCE TAX-MANAGED DIVERSIFIED EQUITY INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
3272    EU 5/22/2008 7.27 ENCORE ENERGY CORP. COMMON SHARES Other Metals and Minerals Basic Materials
3273    EUDA 12/14/2021 1.55 EUDA HEALTH HOLDINGS LIMITED ORDINARY SHARES Medical/Nursing Services Health Care
3274    EUDAW 12/14/2021 0.21 EUDA HEALTH HOLDINGS LIMITED WARRANT Medical/Nursing Services Health Care
3275    EUDG 5/7/2014 1.41 WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
3276    EUDV 9/11/2015 0.42 PROSHARES MSCI EUROPE DIVIDEND GROWERS ETF Exchange Traded Fund Financial
3277    EUFN 2/3/2010 37 ISHARES MSCI EUROPE FINANCIALS ETF Exchange Traded Fund Financial
3278    EUM 11/1/2007 24 PROSHARES SHORT MSCI EMERGING MARKETS Exchange Traded Fund Financial
3279    EUO 11/25/2008 32 PROSHARES ULTRASHORT EURO Exchange Traded Fund Financial
3280    EURK 9/12/2024 0.02 EUREKA ACQUISITION CORP CLASS A ORDINARY SHARE
3281    EURKR 9/12/2024 0.01 EUREKA ACQUISITION CORP RIGHT
3282    EURKU 7/2/2024 0.04 EUREKA ACQUISITION CORP UNIT
3283    EURL 1/22/2014 5.92 DIREXION DAILY FTSE EUROPE BULL 3X SHARES Exchange Traded Fund Financial
3284    EUSA 5/7/2010 3.82 ISHARES MSCI USA EQUAL WEIGHTED ETF Exchange Traded Fund Financial
3285    EUSB 7/2/2020 2.94 ISHARES ESG ADVANCED TOTAL USD BOND MARKET ETF Exchange Traded Fund Financial
3286    EUSC 3/4/2015 2.87 WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND Exchange Traded Fund Financial
3287    EV 12/21/2023 0.03 NEOS ETF TRUST MAST GLOBAL BATTERY RECYCLING & PRODUCTION ETF Exchange Traded Fund Financial
3288    EVAV 8/11/2022 0.72 DIREXION SHARES ETF TRUST DIREXION DAILY ELECTRIC AND AUTONOMO Exchange Traded Fund Financial
3289    EVAX 2/5/2021 3.26 EVAXION BIOTECH A/S AMERICAN DEPOSITARY SHARE Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3290    EVBN 5/8/2006 2.92 EVANS BANCORP INC. COMMON STOCK Major Banks Finance
3291    EVC 8/2/2000 62 ENTRAVISION COMMUNICATIONS CORPORATION COMMON STOCK Broadcasting Industrials
3292    EVCM 7/1/2021 6.4 EVERCOMMERCE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
3293    EVER 5/3/2012 33 EVERQUOTE INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
3294    EVEX 5/10/2022 2.95 EVE HOLDING INC. COMMON STOCK Aerospace Industrials
3295    EVF 10/28/1998 27 EATON VANCE SENIOR INCOME TRUST COMMON STOCK Investment Bankers/Brokers/Service Finance
3296    EVFM 11/20/2014 19
3297    EVG 2/24/2005 16 EATON VANCE SHORT DIVERSIFIED INCOME FUND EATON VANCE SHORT DURATION DIVERSIFIED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
3298    EVGN 11/21/2013 7.52 EVOGENE LTD ORDINARY SHARES Agricultural Chemicals Industrials
3299    EVGO 11/20/2020 20 EVGO INC. CLASS A COMMON STOCK EDP Services Technology
3300    EVGOW 11/20/2020 2.5 EVGO INC. WARRANTS EDP Services Technology
3301    EVGR 4/6/2022 0.07
3302    EVGRU 2/9/2022 0.02
3303    EVGRW 4/1/2022 0.07
3304    EVH 6/5/2015 35 EVOLENT HEALTH INC CLASS A COMMON STOCK Other Consumer Services Consumer Discretionary
3305    EVHY 7/12/2024 0.02 MORGAN STANLEY ETF TRUST EATON VANCE HIGH YIELD ETF Exchange Traded Fund Financial
3306    EVI 12/1/2009 4.73 EVI INDUSTRIES INC. COMMON STOCK Other Consumer Services Consumer Discretionary
3307    EVIM 9/17/2024 0.03 MORGAN STANLEY ETF TRUST EATON VANCE INTERMEDIATE MUNICIPAL IN Exchange Traded Fund Financial
3308    EVLN 2/8/2024 0.31 MORGAN STANLEY ETF TRUST EATON VANCE FLOATING-RATE ETF Exchange Traded Fund Financial
3309    EVLO 5/9/2018 7.78
3310    EVLV 5/1/2007 37 EVOLV TECHNOLOGIES HOLDINGS INC. CLASS A COMMON STOCK Computer peripheral equipment Technology
3311    EVLVW 9/22/2020 1.05 EVOLV TECHNOLOGIES HOLDINGS INC. WARRANT Computer peripheral equipment Technology
3312    EVM 8/28/2002 16 EATON VANCE CALIFORNIA MUNICIPAL BOND FUND COMMON SHARES OF BENEFICIAL INTEREST $.01 PAR VALUE Finance/Investors Services Finance
3313    EVMT 4/27/2022 0.17 INVESCO ELECTRIC VEHICLE METALS COMMODITY STRATEGY NO K-1 ETF Exchange Traded Fund Financial
3314    EVN 1/27/1999 18 EATON VANCE MUNICIPAL INCOME TRUST COMMON STOCK Investment Managers Finance
3315    EVNT 9/20/2021 0.06 ALTSHARES EVENT-DRIVEN ETF Exchange Traded Fund Financial
3316    EVO 1/28/1999 3.82 EVOTEC SE AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
3317    EVOK 9/25/2013 11 EVOKE PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3318    EVOL 5/12/1998 15
3319    EVR 8/14/2006 60 EVERCORE INC. CLASS A COMMON STOCK Investment Managers Finance
3320    EVRG 5/2/2007 81 EVERGY INC. COMMON STOCK Power Generation Utilities
3321    EVRI 5/8/2007 58 EVERI HOLDINGS INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
3322    EVSB 10/19/2023 0.09 MORGAN STANLEY ETF TRUST EATON VANCE ULTRA-SHORT INCOME ETF Exchange Traded Fund Financial
3323    EVSD 6/17/2024 0.15 EATON VANCE SHORT DURATION INCOME ETF Exchange Traded Fund Financial
3324    EVSM 3/26/2024 0.3 MORGAN STANLEY ETF TRUST EATON VANCE SHORT DURATION MUNICIPAL Exchange Traded Fund Financial
3325    EVT 9/26/2003 40 EATON VANCE TAX ADVANTAGED DIVIDEND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
3326    EVTC 4/12/2013 37 EVERTEC INC. COMMON STOCK EDP Services Technology
3327    EVTL 11/2/2020 6.98 VERTICAL AEROSPACE LTD. ORDINARY SHARES Aerospace Industrials
3328    EVTR 3/25/2024 1.01 MORGAN STANLEY ETF TRUST EATON VANCE TOTAL RETURN BOND ETF Exchange Traded Fund Financial
3329    EVTV 7/6/2022 1.13 ENVIROTECH VEHICLES INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
3330    EVUS 6/17/2008 1.32 ISHARES TRUST ISHARES ESG AWARE MSCI USA VALUE ETF Exchange Traded Fund Financial
3331    EVV 6/11/2003 55 EATON VANCE LIMITED DURATION INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
3332    EVX 10/16/2006 1.27 VANECK ENVIRONMENTAL SERVICES ETF Exchange Traded Fund Financial
3333    EW 4/3/2000 94 EDWARDS LIFESCIENCES CORPORATION COMMON STOCK Industrial Specialties Health Care
3334    EWA 1/2/1998 89 ISHARES MSCI AUSTRALIA INDEX FUND Exchange Traded Fund Financial
3335    EWBC 2/8/1999 96 EAST WEST BANCORP INC. COMMON STOCK Major Banks Finance
3336    EWC 1/2/1998 86 ISHARES MSCI CANADA INDEX FUND Exchange Traded Fund Financial
3337    EWCZ 8/5/2021 9.76 EUROPEAN WAX CENTER INC. CLASS A COMMON STOCK Other Consumer Services Consumer Discretionary
3338    EWD 11/30/2005 40 ISHARES INC ISHARES MSCI SWEDEN ETF Exchange Traded Fund Financial
3339    EWG 1/2/1998 87 ISHARES MSCI GERMANY INDEX FUND Exchange Traded Fund Financial
3340    EWH 11/30/2005 86 ISHARES MSCI HONG KONG INDEX FUND Exchange Traded Fund Financial
3341    EWI 11/30/2005 52 ISHARES INC ISHARES MSCI ITALY ETF Exchange Traded Fund Financial
3342    EWJ 1/2/1998 112 ISHARES MSCI JAPAN INDEX FUND Exchange Traded Fund Financial
3343    EWJV 3/7/2019 2.38 ISHARES MSCI JAPAN VALUE ETF Exchange Traded Fund Financial
3344    EWK 11/30/2005 14 ISHARES INC ISHARES MSCI BELGIUM ETF Exchange Traded Fund Financial
3345    EWL 11/30/2005 54 ISHARES INC ISHARES MSCI SWITZERLAND ETF Exchange Traded Fund Financial
3346    EWM 11/30/2005 64 ISHARES MSCI MALAYSIA INDEX FUND Exchange Traded Fund Financial
3347    EWN 11/30/2005 26 ISHARES MSCI NETHERLANDS INDEX FUND Exchange Traded Fund Financial
3348    EWO 1/2/1998 20 ISHARES INC ISHARES MSCI AUSTRIA ETF Exchange Traded Fund Financial
3349    EWP 11/30/2005 54 ISHARES INC ISHARES MSCI SPAIN ETF Exchange Traded Fund Financial
3350    EWQ 11/30/2005 53 ISHARES MSCI FRANCE INDEX FUND Exchange Traded Fund Financial
3351    EWS 11/30/2005 71 ISHARES INC ISHARES MSCI SINGAPORE ETF Exchange Traded Fund Financial
3352    EWT 11/30/2005 92 ISHARES INC ISHARES MSCI TAIWAN ETF Exchange Traded Fund Financial
3353    EWTX 3/26/2021 8.91 EDGEWISE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3354    EWU 11/30/2005 74 ISHARES MSCI UNITED KINGDOM ETF Exchange Traded Fund Financial
3355    EWUS 1/26/2012 1.91 ISHARES MSCI UNITED KINGDOM SMALL CAP ETF Exchange Traded Fund Financial
3356    EWV 11/8/2007 4.82 PROSHARES ULTRASHORT MSCI JAPAN Exchange Traded Fund Financial
3357    EWW 1/2/1998 93 ISHARES INC ISHARES MSCI MEXICO ETF Exchange Traded Fund Financial
3358    EWX 5/22/2008 16 SPDR S&P EMERGING MARKETS SMALL CAP ETF Exchange Traded Fund Financial
3359    EWY 11/30/2005 89 ISHARES INC ISHARES MSCI SOUTH KOREA ETF Exchange Traded Fund Financial
3360    EWZ 3/13/2007 99 ISHARES INC ISHARES MSCI BRAZIL ETF Exchange Traded Fund Financial
3361    EWZS 9/29/2010 8.81 ISHARES MSCI BRAZIL SMALL-CAP ETF Exchange Traded Fund Financial
3362    EXAS 2/1/2001 71 EXACT SCIENCES CORPORATION COMMON STOCK Medical Specialities Health Care
3363    EXC 10/23/2000 121 EXELON CORPORATION COMMON STOCK Power Generation Utilities
3364    EXE 2/10/2021 19 EXPAND ENERGY CORPORATION COMMON STOCK Oil & Gas Production Energy
3365    EXEEL 2/10/2021 0.43 EXPAND ENERGY CORPORATION CLASS C WARRANTS Oil & Gas Production Energy
3366    EXEEW 2/10/2021 0.25 EXPAND ENERGY CORPORATION CLASS A WARRANTS Oil & Gas Production Energy
3367    EXEEZ 2/10/2021 0.28 EXPAND ENERGY CORPORATION CLASS B WARRANTS Oil & Gas Production Energy
3368    EXEL 4/17/2000 90 EXELIXIS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3369    EXFY 11/10/2021 9.55 EXPENSIFY INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
3370    EXG 4/23/2007 64 EATON VANCE TAX-MANAGED GLOBAL DIVERSIFIED EQUITY INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
3371    EXI 9/27/2006 6.83 ISHARES GLOBAL INDUSTRIALS ETF Exchange Traded Fund Financial
3372    EXK 1/29/2007 61 ENDEAVOUR SILVER CORPORATION ORDINARY SHARES (CANADA) Precious Metals Basic Materials
3373    EXLS 10/20/2006 38 EXLSERVICE HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
3374    EXOD 9/14/2021 0.24 EXODUS MOVEMENT INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
3375    EXOZ 11/13/2024 0.12 EXOZYMES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3376    EXP 2/2/2004 79 EAGLE MATERIALS INC COMMON STOCK Building Materials Industrials
3377    EXPD 1/2/1998 112 EXPEDITORS INTERNATIONAL OF WASHINGTON INC. COMMON STOCK Oil Refining/Marketing Consumer Discretionary
3378    EXPE 8/9/2005 97 EXPEDIA GROUP INC. COMMON STOCK Transportation Services Consumer Discretionary
3379    EXPI 2/7/2018 26 EXP WORLD HOLDINGS INC. COMMON STOCK Real Estate Finance
3380    EXPO 3/9/1998 36 EXPONENT INC. COMMON STOCK Professional Services Consumer Discretionary
3381    EXR 8/16/2004 83 EXTRA SPACE STORAGE INC COMMON STOCK Real Estate Investment Trusts Real Estate
3382    EXTR 4/9/1999 93 EXTREME NETWORKS INC. COMMON STOCK Computer Communications Equipment Telecommunications
3383    EYE 1/2/1998 53 NATIONAL VISION HOLDINGS INC. COMMON STOCK Ophthalmic Goods Health Care
3384    EYEG 12/13/2023 0.03 AB CORPORATE BOND ETF Exchange Traded Fund Financial
3385    EYEN 1/25/2018 10 EYENOVIA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3386    EYLD 7/14/2016 2.42 CAMBRIA ETF TRUST CAMBRIA EMERGING SHAREHOLDER YIELD ETF Exchange Traded Fund Financial
3387    EYPT 5/16/2007 26 EYEPOINT PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
3388    EZA 2/7/2003 49 ISHARES MSCI SOUTH AFRICA INDEX FUND Exchange Traded Fund Financial
3389    EZBC 1/11/2024 2.44 FRANKLIN TEMPLETON DIGITAL HOLDINGS TRUST SHARES OF FRANKLIN B Exchange Traded Fund Financial
3390    EZET 7/23/2024 0.56 FRANKLIN ETHEREUM ETF FRANKLIN ETHEREUM ETF Exchange Traded Fund Financial
3391    EZFL 9/15/2021 2.23
3392    EZGO 1/26/2021 5.61 EZGO TECHNOLOGIES LTD. ORDINARY SHARES Motor Vehicles Consumer Discretionary
3393    EZJ 6/5/2009 2.26 PROSHARES ULTRA MSCI JAPAN Exchange Traded Fund Financial
3394    EZM 2/23/2007 10 WISDOMTREE U.S. MIDCAP FUND Exchange Traded Fund Financial
3395    EZPW 1/2/1998 63 EZCORP INC. CLASS A NON VOTING COMMON STOCK Other Specialty Stores Consumer Discretionary
3396    EZU 7/31/2000 71 ISHARES MSCI EUROZONE ETF Exchange Traded Fund Financial
3397    F 3/13/2007 122 FORD MOTOR COMPANY COMMON STOCK Auto Manufacturing Consumer Discretionary
3398    F.B 6/18/2019 4.61 FORD MOTOR COMPANY 6.20% NOTES DUE JUNE 1 2059
3399    F.C 12/23/2019 4.65 FORD MOTOR COMPANY 6% NOTES DUE DECEMBER 1 2059
3400    F.D 8/26/2022 2.29 FORD MOTOR COMPANY 6.500% NOTES DUE AUGUST 15 2062
3401    FA 6/23/2021 11 FIRST ADVANTAGE CORPORATION COMMON STOCK Business Services Consumer Discretionary
3402    FAAR 5/23/2016 2.28 FIRST TRUST ALTERNATIVE ABSOLUTE RETURN STRATEGY ETF Exchange Traded Fund Financial
3403    FAAS 9/14/2021 1.21 DIGIASIA CORP. ORDINARY SHARES Computer Software: Prepackaged Software Technology
3404    FAASW 9/7/2021 0.25 DIGIASIA CORP. WARRANT Computer Software: Prepackaged Software Technology
3405    FAB 5/11/2007 3.3 FIRST TRUST MULTI CAP VALUE ALPHADEX FUND Exchange Traded Fund Financial
3406    FACT 12/19/2008 3.26 FACT II ACQUISITION CORP. CLASS A ORDINARY SHARES
3407    FACTU 11/26/2024 0.02
3408    FACTW 12/20/2024 0.01
3409    FAD 5/11/2007 2.31 FIRST TRUST MULTI CAP GROWTH ALPHADEX FUND Exchange Traded Fund Financial
3410    FAF 5/28/2010 58 FIRST AMERICAN CORPORATION (NEW) COMMON STOCK Specialty Insurers Finance
3411    FAI 11/21/2024 0.02 FIRST TRUST EXCHANGE-TRADED FUND II FIRST TRUST BLOOMBERG ARTI Exchange Traded Fund Financial
3412    FALN 6/21/2016 17 ISHARES FALLEN ANGELS USD BOND ETF Exchange Traded Fund Financial
3413    FAMI 2/16/2018 17 FARMMI INC. ORDINARY SHARES Packaged Foods Consumer Staples
3414    FAN 6/27/2008 13 FIRST TRUST GLOBAL WIND ENERGY ETF Exchange Traded Fund Financial
3415    FANG 10/12/2012 58 DIAMONDBACK ENERGY INC. COMMON STOCK Oil & Gas Production Energy
3416    FAPR 4/19/2021 1.04 FT VEST U.S. EQUITY BUFFER ETF - APRIL Exchange Traded Fund Financial
3417    FARM 1/14/2004 18 FARMER BROTHERS COMPANY COMMON STOCK Packaged Foods Consumer Staples
3418    FARO 1/2/1998 42 FARO TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Industrials
3419    FAS 11/19/2008 92 DIREXION FINANCIAL BULL 3X SHARES Exchange Traded Fund Financial
3420    FAST 1/2/1998 118 FASTENAL COMPANY COMMON STOCK RETAIL: Building Materials Consumer Discretionary
3421    FAT 10/23/2017 2.74 FAT BRANDS INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
3422    FATBB 8/24/2021 0.41 FAT BRANDS INC. CLASS B COMMON STOCK Restaurants Consumer Discretionary
3423    FATBP 7/14/2020 1.38 FAT BRANDS INC. 8.25% SERIES B CUMULATIVE PREFERRED STOCK Restaurants Consumer Discretionary
3424    FATBW 7/14/2020 0.18 FAT BRANDS INC. WARRANT Restaurants Consumer Discretionary
3425    FATE 10/1/2013 33 FATE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3426    FAUG 11/7/2019 1.5 FT VEST U.S. EQUITY BUFFER ETF - AUGUST Exchange Traded Fund Financial
3427    FAX 1/2/1998 75 ABRDN ASIA-PACIFIC INCOME FUND INC. COMMON STOCK Investment Managers Finance
3428    FAZ 11/19/2008 94 DIREXION FINANCIAL BEAR 3X SHARES Exchange Traded Fund Financial
3429    FBCG 6/5/2020 8.71 FIDELITY BLUE CHIP GROWTH ETF Exchange Traded Fund Financial
3430    FBCV 6/5/2020 1.91 FIDELITY BLUE CHIP VALUE ETF Exchange Traded Fund Financial
3431    FBGL 2/6/2025 0.31 FBS GLOBAL LIMITED ORDINARY SHARES Miscellaneous manufacturing industries Consumer Discretionary
3432    FBIN 10/4/2011 60 FORTUNE BRANDS INNOVATIONS INC. COMMON STOCK Forest Products Basic Materials
3433    FBIO 11/17/2011 27 FORTRESS BIOTECH INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3434    FBIOP 11/14/2017 1.83 FORTRESS BIOTECH INC. 9.375% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Biotechnology: Pharmaceutical Preparations Health Care
3435    FBIZ 9/8/2006 4.8 FIRST BUSINESS FINANCIAL SERVICES INC. COMMON STOCK Major Banks Finance
3436    FBK 9/16/2016 13 FB FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
3437    FBL 12/13/2022 4.48 GRANITESHARES 2X LONG META DAILY ETF Exchange Traded Fund Financial
3438    FBLA 10/23/2024 0.51 FB BANCORP INC. COMMON STOCK Banks Finance
3439    FBLG 1/31/2024 1.6 FIBROBIOLOGICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3440    FBMS 5/30/2006 8.66 FIRST BANCSHARES INC. Major Banks Finance
3441    FBNC 1/2/1998 25 FIRST BANCORP COMMON STOCK Major Banks Finance
3442    FBND 10/9/2014 18 FIDELITY TOTAL BOND ETF Exchange Traded Fund Financial
3443    FBOT 6/12/2023 0.43 FIDELITY DISRUPTIVE AUTOMATION ETF Exchange Traded Fund Financial
3444    FBP 1/2/1998 85 FIRST BANCORP. NEW COMMON STOCK Major Banks Finance
3445    FBRT 10/19/2021 9.89 FRANKLIN BSP REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3446    FBRT.E 10/19/2021 1.11 FRANKLIN BSP REALTY TRUST INC. 7.50% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK
3447    FBRX 4/13/2017 12 FORTE BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3448    FBT 6/23/2006 25 FIRST TRUST AMEX BIOTECH INDEX FUND Exchange Traded Fund Financial
3449    FBTC 5/18/2007 7.13 FIDELITY WISE ORIGIN BITCOIN FUND COMMON SHARES OF BENEFICIAL Exchange Traded Fund Financial
3450    FBUF 4/11/2024 0.05 FIDELITY DYNAMIC BUFFERED EQUITY ETF Exchange Traded Fund Financial
3451    FBY 7/28/2023 2.23 TIDAL ETF TRUST II YIELDMAX META OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
3452    FBYD 10/6/2023 0.37 FALCON'S BEYOND GLOBAL INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
3453    FBYDW 10/6/2023 0.1 FALCON'S BEYOND GLOBAL INC. WARRANTS Services-Misc. Amusement & Recreation Consumer Discretionary
3454    FBZ 4/19/2011 1.83 FIRST TRUST BRAZIL ALPHADEX FUND Exchange Traded Fund Financial
3455    FC 1/2/1998 17 FRANKLIN COVEY COMPANY COMMON STOCK Other Consumer Services Consumer Discretionary
3456    FCA 4/21/2011 0.84 FIRST TRUST CHINA ALPHADEX FUND Exchange Traded Fund Financial
3457    FCAL 6/27/2017 1 FIRST TRUST CALIFORNIA MUNICIPAL HIGH INCOME ETF Exchange Traded Fund Financial
3458    FCAP 7/22/2003 0.93 FIRST CAPITAL INC. COMMON STOCK Savings Institutions Finance
3459    FCBC 3/1/2001 17 FIRST COMMUNITY BANKSHARES INC. (VA) COMMON STOCK Major Banks Finance
3460    FCCO 1/9/2006 3.16 FIRST COMMUNITY CORPORATION COMMON STOCK Major Banks Finance
3461    FCEF 9/29/2016 0.96 FIRST TRUST INCOME OPPORTUNITIES ETF Exchange Traded Fund Financial
3462    FCEL 6/7/2000 109 FUELCELL ENERGY INC. COMMON STOCK Industrial Machinery/Components Energy
3463    FCF 1/2/1998 75 FIRST COMMONWEALTH FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
3464    FCFS 1/22/1999 62 FIRSTCASH HOLDINGS INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
3465    FCFY 12/21/2023 0.01 FIRST TRUST EXCHANGE-TRADED FUND FIRST TRUST S&P 500 DIVERSIFI Exchange Traded Fund Financial
3466    FCG 5/11/2007 53 FIRST TRUST NATURAL GAS ETF Exchange Traded Fund Financial
3467    FCLD 10/7/2021 1.18 FIDELITY CLOUD COMPUTING ETF Exchange Traded Fund Financial
3468    FCN 8/16/2001 69 FTI CONSULTING INC. COMMON STOCK Professional Services Consumer Discretionary
3469    FCNCA 1/2/1998 15 FIRST CITIZENS BANCSHARES INC. CLASS A COMMON STOCK Major Banks Finance
3470    FCNCO 1/5/2022 1 FIRST CITIZENS BANCSHARES INC. 5.625% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES C Major Banks Finance
3471    FCNCP 3/13/2020 1.64 FIRST CITIZENS BANCSHARES INC. DEPOSITARY SHARES Major Banks Finance
3472    FCO 11/4/2004 11 ABRDN GLOBAL INCOME FUND INC. COMMON STOCK Investment Managers Finance
3473    FCOM 10/24/2013 11 FIDELITY MSCI COMMUNICATION SERVICES INDEX ETF Exchange Traded Fund Financial
3474    FCOR 10/9/2014 3.97 FIDELITY CORPORATE BOND ETF Exchange Traded Fund Financial
3475    FCPI 11/7/2019 2.52 FIDELITY STOCKS FOR INFLATION ETF Exchange Traded Fund Financial
3476    FCPT 11/10/2015 31 FOUR CORNERS PROPERTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3477    FCRX 5/27/2021 0.27 CRESCENT CAPITAL BDC INC. 5.00% NOTES DUE 2026 Finance: Consumer Services Finance
3478    FCSH 12/17/2021 0.03 FEDERATED HERMES ETF TRUST FEDERATED HERMES SHORT DURATION COR Exchange Traded Fund Financial
3479    FCT 5/26/2004 22 FIRST TRUST SENIOR FLOATING RATE INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
3480    FCTE 7/2/2024 0.67 SMI 3FOURTEEN FULL-CYCLE TREND ETF Exchange Traded Fund Financial
3481    FCTR 8/2/2018 2.31 FIRST TRUST LUNT U.S. FACTOR ROTATION ETF Exchange Traded Fund Financial
3482    FCUS 12/30/2022 0.1 TIDAL ETF TRUST II PINNACLE FOCUSED OPPORTUNITIES ETF Exchange Traded Fund Financial
3483    FCUV 7/21/2021 3.78 FOCUS UNIVERSAL INC. COMMON STOCK Industrial Machinery/Components Industrials
3484    FCVT 11/4/2015 3.75 FIRST TRUST SSI STRATEGIC CONVERTIBLE SECURITIES ETF Exchange Traded Fund Financial
3485    FCX 1/2/1998 140 FREEPORT-MCMORAN INC. COMMON STOCK Metal Mining Basic Materials
3486    FDAT 4/20/2023 0.24 TACTICAL ADVANTAGE ETF Exchange Traded Fund Financial
3487    FDBC 5/16/2007 1 FIDELITY D & D BANCORP INC. COMMON STOCK Major Banks Finance
3488    FDCE 10/26/2023 0.06 FOUNDATIONS DYNAMIC CORE ETF Exchange Traded Fund Financial
3489    FDCF 6/15/2023 0.21 FIDELITY DISRUPTIVE COMMUNICATIONS ETF Exchange Traded Fund Financial
3490    FDD 8/30/2007 12 FIRST TRUST DOW JONES STOXX SELECT DIVIDEND 30 INDEX FUND Exchange Traded Fund Financial
3491    FDEC 12/21/2020 1.32 FT VEST U.S. EQUITY BUFFER ETF - DECEMBER Exchange Traded Fund Financial
3492    FDEM 3/1/2019 0.95 FIDELITY EMERGING MARKETS MULTIFACTOR ETF Exchange Traded Fund Financial
3493    FDEV 3/1/2019 0.89 FIDELITY EMERGING MARKETS MULTIFACTOR ETF Exchange Traded Fund Financial
3494    FDFF 6/20/2023 0.15 FIDELITY DISRUPTIVE FINANCE ETF Exchange Traded Fund Financial
3495    FDG 4/2/2020 1.37 AMERICAN CENTURY FOCUSED DYNAMIC GROWTH ETF Exchange Traded Fund Financial
3496    FDGR 10/26/2023 0.09 FOUNDATIONS DYNAMIC GROWTH ETF Exchange Traded Fund Financial
3497    FDHT 10/7/2021 0.27 FIDELITY DIGITAL HEALTH ETF Exchange Traded Fund Financial
3498    FDHY 6/14/2018 3.22 FIDELITY ENHANCED HIGH YIELD ETF Exchange Traded Fund Financial
3499    FDIF 6/20/2023 0.34 FIDELITY DISRUPTORS ETF Exchange Traded Fund Financial
3500    FDIG 4/21/2022 2.36 FIDELITY CRYPTO INDUSTRY AND DIGITAL PAYMENTS ETF Exchange Traded Fund Financial
3501    FDIS 10/24/2013 15 FIDELITY MSCI CONSUMER DISCRETIONARY INDEX ETF Exchange Traded Fund Financial
3502    FDIV 8/14/2014 1.14 MARKETDESK FOCUSED U.S. DIVIDEND ETF Exchange Traded Fund Financial
3503    FDL 3/15/2006 37 FIRST TRUST MORNINGSTAR ETF Exchange Traded Fund Financial
3504    FDLO 9/15/2016 6.31 FIDELITY LOW VOLATILITY FACTOR ETF Exchange Traded Fund Financial
3505    FDLS 8/24/2022 0.32 NORTHERN LIGHTS FUND TRUST IV INSPIRE FIDELIS MULTI FACTOR ETF Exchange Traded Fund Financial
3506    FDM 9/30/2005 5.02 FIRST TRUST DJ SELECT MICROCAP ETF Exchange Traded Fund Financial
3507    FDMO 9/15/2016 3.2 FIDELITY MOMENTUM FACTOR ETF Exchange Traded Fund Financial
3508    FDMT 12/11/2020 11 4D MOLECULAR THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3509    FDN 6/23/2006 50 FIRST TRUST DJ INTERNET INDEX FUND Exchange Traded Fund Financial
3510    FDND 3/28/2024 0.02 FIRST TRUST EXCHANGE-TRADED FUND IV FT VEST DOW JONES INTERNET Exchange Traded Fund Financial
3511    FDNI 11/9/2018 1.15 FIRST TRUST DOW JONES INTERNATIONAL INTERNET ETF Exchange Traded Fund Financial
3512    FDP 1/2/1998 67 FRESH DEL MONTE PRODUCE INC. COMMON STOCK Farming/Seeds/Milling Consumer Staples
3513    FDRR 9/15/2016 6.26 FIDELITY DIVIDEND ETF FOR RISING RATES Exchange Traded Fund Financial
3514    FDRV 10/7/2021 1.18 FIDELITY ELECTRIC VEHICLES AND FUTURE TRANSPORTATION ETF Exchange Traded Fund Financial
3515    FDS 1/2/1998 80
3516    FDSB 8/1/2024 0.18 FIFTH DISTRICT BANCORP INC. COMMON STOCK Savings Institutions Finance
3517    FDT 4/19/2011 9.4 FIRST TRUST DEVELOPED MARKETS EX-US ALPHADEX FUND Exchange Traded Fund Financial
3518    FDTB 12/14/2023 0.04 FOUNDATIONS DYNAMIC INCOME ETF Exchange Traded Fund Financial
3519    FDTS 5/15/2012 0.4 FIRST TRUST DEVELOPED MARKETS EX-US SMALL CAP ALPHADEX FUND Exchange Traded Fund Financial
3520    FDTX 6/12/2023 0.7 FIDELITY DISRUPTIVE TECHNOLOGY ETF Exchange Traded Fund Financial
3521    FDUS 6/21/2011 19 FIDUS INVESTMENT CORPORATION COMMON STOCK Finance/Investors Services Finance
3522    FDV 11/16/2022 0.63 FEDERATED HERMES ETF TRUST FEDERATED HERMES U.S. STRATEGIC DIV Exchange Traded Fund Financial
3523    FDVL 10/12/2023 0.07 FOUNDATIONS DYNAMIC VALUE ETF Exchange Traded Fund Financial
3524    FDVV 9/15/2016 14 FIDELITY HIGH DIVIDEND ETF Exchange Traded Fund Financial
3525    FDWM 6/17/2021 0.1 FIDELITY WOMEN'S LEADERSHIP ETF Exchange Traded Fund Financial
3526    FDX 1/2/1998 129 FEDEX CORPORATION COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
3527    FE 1/2/1998 121 FIRSTENERGY CORP. COMMON STOCK Electric Utilities: Central Utilities
3528    FEAC 4/27/2020 2.19 FIDELITY COVINGTON TRUST FIDELITY ENHANCED U.S. ALL-CAP EQUITY Exchange Traded Fund Financial
3529    FEAM 3/15/2022 4.68 5E ADVANCED MATERIALS INC. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
3530    FEBO 11/30/2023 0.68 FENBO HOLDINGS LIMITED ORDINARY SHARES Home Furnishings Consumer Discretionary
3531    FEBP 2/1/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - FEBRUARY Exchange Traded Fund Financial
3532    FEBT 2/1/2023 0.19 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 FEB E Exchange Traded Fund Financial
3533    FEBW 2/1/2023 0.35 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 FEB E Exchange Traded Fund Financial
3534    FEBZ 2/1/2021 0.09 TRUESHARES STRUCTURED OUTCOME (FEBRUARY) ETF Exchange Traded Fund Financial
3535    FEDM 9/21/2021 0.09 FLEXSHARES ESG & CLIMATE DEVELOPED MARKETS EX-US CORE INDEX FU Exchange Traded Fund Financial
3536    FEDU 11/8/2017 3.22 FOUR SEASONS EDUCATION (CAYMAN) INC. AMERICAN DEPOSITARY SHARES EACH ADS REPRESENTING 10 ORDINARY SHARES Other Consumer Services Real Estate
3537    FEIG 9/21/2021 0.12 FLEXSHARES ESG & CLIMATE INVESTMENT GRADE CORPORATE CORE INDEX Exchange Traded Fund Financial
3538    FEIM 8/1/2006 4.24 FREQUENCY ELECTRONICS INC. COMMON STOCK Electrical Products Industrials
3539    FELC 11/20/2023 3.89 FIDELITY COVINGTON TRUST FIDELITY ENHANCED LARGE CAP CORE ETF Exchange Traded Fund Financial
3540    FELE 1/2/1998 46 FRANKLIN ELECTRIC CO. INC. COMMON STOCK Metal Fabrications Consumer Discretionary
3541    FELG 11/20/2023 3.1 FIDELITY COVINGTON TRUST FIDELITY ENHANCED LARGE CAP GROWTH ET Exchange Traded Fund Financial
3542    FELV 11/20/2023 1.61 FIDELITY COVINGTON TRUST FIDELITY ENHANCED LARGE CAP VALUE ETF Exchange Traded Fund Financial
3543    FEM 4/19/2011 16 FIRST TRUST EMERGING MARKETS ALPHADEX FUND Exchange Traded Fund Financial
3544    FEMB 11/5/2014 4.97 FIRST TRUST EMERGING MARKETS LOCAL CURRENCY BOND ETF Exchange Traded Fund Financial
3545    FEMR 11/21/2024 0.01 FIDELITY COVINGTON TRUST FIDELITY ENHANCED EMERGING MARKETS ET Exchange Traded Fund Financial
3546    FEMS 8/6/2012 5.92 FIRST TRUST EMERGING MARKETS SMALL CAP ALPHADEX FUND Exchange Traded Fund Financial
3547    FEMY 6/18/2021 4.16 FEMASYS INC. COMMON STOCK Medical/Dental Instruments Health Care
3548    FENC 9/13/2017 6.7 FENNEC PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
3549    FENG 5/16/2011 20 PHOENIX NEW MEDIA LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING 48 CLASS A ORDINARY SHARES. Broadcasting Industrials
3550    FENI 11/20/2023 1.54 FIDELITY COVINGTON TRUST FIDELITY ENHANCED INTERNATIONAL ETF Exchange Traded Fund Financial
3551    FENY 10/24/2013 34 FIDELITY MSCI ENERGY INDEX ETF Exchange Traded Fund Financial
3552    FEP 4/26/2011 13 FIRST TRUST EUROPE ALPHADEX FUND Exchange Traded Fund Financial
3553    FEPI 10/11/2023 2.41 REX FANG & INNOVATION EQUITY PREMIUM INCOME ETF Exchange Traded Fund Financial
3554    FER 5/9/2024 0.77 FERROVIAL SE ORDINARY SHARES Military/Government/Technical Industrials
3555    FERAU 2/28/2025 0.01 FIFTH ERA ACQUISITION CORP I UNITS Blank Checks Finance
3556    FERG 3/8/2021 14 FERGUSON ENTERPRISES INC. COMMON STOCK Miscellaneous Miscellaneous
3557    FESM 11/20/2023 1.12 FIDELITY COVINGTON TRUST FIDELITY ENHANCED SMALL CAP ETF Exchange Traded Fund Financial
3558    FET 4/12/2012 33 FORUM ENERGY TECHNOLOGIES INC. COMMON STOCK Metal Fabrications Industrials
3559    FEUS 9/21/2021 0.07 FLEXSHARES ESG & CLIMATE US LARGE CAP CORE INDEX FUND Exchange Traded Fund Financial
3560    FEUZ 10/27/2014 1.25 FIRST TRUST EUROZONE ALPHADEX ETF Exchange Traded Fund Financial
3561    FEX 5/10/2007 17 FIRST TRUST LARGE CAP CORE ALPHADEX FUND Exchange Traded Fund Financial
3562    FEZ 10/21/2002 61 SPDR DJ EURO STOXX 50 ETF Exchange Traded Fund Financial
3563    FF 3/23/2011 28 FUTUREFUEL CORP. COMMON SHARES Major Chemicals Industrials
3564    FFA 8/27/2004 17 FIRST TRUST ENHANCED EQUITY INCOME FUND Investment Managers Finance
3565    FFBC 1/2/1998 61 FIRST FINANCIAL BANCORP. COMMON STOCK Major Banks Finance
3566    FFBW 10/11/2017 0.55
3567    FFC 1/30/2003 34 FLAHERTY & CRUMRINE PREFERRED AND INCOME SECURITIES FUND INCORPORATED Trusts Except Educational Religious and Charitable Finance
3568    FFEB 2/24/2020 1.58 FT VEST U.S. EQUITY BUFFER ETF - FEBRUARY Exchange Traded Fund Financial
3569    FFIC 1/2/1998 37 FLUSHING FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
3570    FFIE 9/2/2020 29
3571    FFIEW 8/28/2020 2.2
3572    FFIN 1/2/1998 50 FIRST FINANCIAL BANKSHARES INC. COMMON STOCK Major Banks Finance
3573    FFIU 8/21/2017 0.37 UVA UNCONSTRAINED MEDIUM-TERM FIXED INCOME ETF Exchange Traded Fund Financial
3574    FFIV 6/4/1999 104 F5 INC. COMMON STOCK Computer Communications Equipment Telecommunications
3575    FFLC 2/26/2024 1.08 FIDELITY FUNDAMENTAL LARGE CAP CORE ETF Exchange Traded Fund Financial
3576    FFLG 2/26/2024 0.59 FIDELITY FUNDAMENTAL LARGE CAP GROWTH ETF Exchange Traded Fund Financial
3577    FFLS 6/21/2023 0.08 NORTHERN LIGHTS FUND TRUST II THE FUTURE FUND LONG/SHORT ETF Exchange Traded Fund Financial
3578    FFLV 2/26/2024 0.05 FIDELITY COVINGTON TRUST FIDELITY FUNDAMENTAL LARGE CAP VALUE Exchange Traded Fund Financial
3579    FFND 8/24/2021 0.3 THE FUTURE FUND ACTIVE ETF Exchange Traded Fund Financial
3580    FFNW 10/10/2007 9.76 FIRST FINANCIAL NORTHWEST INC. COMMON STOCK Banks Finance
3581    FFOG 11/6/2023 0.27 FRANKLIN TEMPLETON ETF TRUST FRANKLIN FOCUSED GROWTH ETF Exchange Traded Fund Financial
3582    FFSM 2/26/2024 0.51 FIDELITY FUNDAMENTAL SMALL-MID CAP ETF Exchange Traded Fund Financial
3583    FFTY 4/9/2015 13 INNOVATOR IBD 50 ETF Exchange Traded Fund Financial
3584    FFWM 11/3/2014 20 FIRST FOUNDATION INC. COMMON STOCK Major Banks Finance
3585    FG 12/1/2022 3.37 F&G ANNUITIES & LIFE INC. COMMON STOCK Life Insurance Finance
3586    FGB 5/25/2007 9 FIRST TRUST SPECIALTY FINANCE AND FINANCIAL OPPORTUNITIES FUND Finance/Investors Services Finance
3587    FGBI 12/19/2014 1.93 FIRST GUARANTY BANCSHARES INC. COMMON STOCK Savings Institutions Finance
3588    FGBIP 5/3/2021 0.18 FIRST GUARANTY BANCSHARES INC. 6.75% SERIES A FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK Savings Institutions Finance
3589    FGD 11/27/2007 17 FIRST TRUST DJ GLOBAL SELECT DIVIDEND Exchange Traded Fund Financial
3590    FGDL 6/30/2022 0.38 FRANKLIN TEMPLETON HOLDINGS TRUST FRANKLIN RESPONSIBLY SOURCED Exchange Traded Fund Financial
3591    FGEN 11/14/2014 36 FIBROGEN INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3592    FGF 4/1/2014 2.61 FUNDAMENTAL GLOBAL INC. COMMON STOCK Property-Casualty Insurers Finance
3593    FGFPP 3/22/2018 0.39 FUNDAMENTAL GLOBAL INC. 8.00% CUMULATIVE PREFERRED STOCK Property-Casualty Insurers Finance
3594    FGI 5/24/2006 4.24 FGI INDUSTRIES LTD. ORDINARY SHARES Industrial Specialties Industrials
3595    FGIWW 1/25/2022 0.09 FGI INDUSTRIES LTD. WARRANT Industrial Specialties Industrials
3596    FGL 12/13/2013 7.32 FOUNDER GROUP LIMITED ORDINARY SHARES Engineering & Construction Consumer Discretionary
3597    FGM 2/17/2012 1.99 FIRST TRUST GERMANY ALPHADEX FUND Exchange Traded Fund Financial
3598    FGMC 4/19/2022 0.08 FG MERGER II CORP. COMMON STOCK
3599    FGMCR 2/11/2025 0.01 FG MERGER II CORP. RIGHTS
3600    FGMCU 2/25/2022 0.07 FG MERGER II CORP. UNIT
3601    FGN 12/12/2023 0.67 F&G ANNUITIES & LIFE INC. 7.950% SENIOR NOTES DUE 2053 Life Insurance Finance
3602    FGSN 1/21/2025 0.12 F&G ANNUITIES & LIFE INC. 7.300% JUNIOR SUBORDINATED NOTES DUE 2065 Life Insurance Finance
3603    FHB 8/5/2016 33 FIRST HAWAIIAN INC. COMMON STOCK Major Banks Finance
3604    FHEQ 4/11/2024 0.12 FIDELITY HEDGED EQUITY ETF Exchange Traded Fund Financial
3605    FHI 7/27/2005 59 FEDERATED HERMES INC. COMMON STOCK Investment Managers Finance
3606    FHLC 10/24/2013 23 FIDELITY MSCI HEALTH CARE INDEX ETF Exchange Traded Fund Financial
3607    FHN 4/21/2004 100 FIRST HORIZON CORPORATION COMMON STOCK Major Banks Finance
3608    FHN.B 7/7/2020 0.65 FIRST HORIZON CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B
3609    FHN.C 7/2/2020 0.41 FIRST HORIZON CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES C
3610    FHN.E 6/16/2020 1.04 FIRST HORIZON CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/4000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E
3611    FHN.F 5/13/2021 1.12 FIRST HORIZON CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/4000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES F
3612    FHTX 10/23/2020 4.88 FOGHORN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3613    FHYS 12/17/2021 0.21 FEDERATED HERMES ETF TRUST FEDERATED HERMES SHORT DURATION HIG Exchange Traded Fund Financial
3614    FI 8/9/2013 44 FISERV INC. COMMON STOCK Business Services Consumer Discretionary
3615    FIAT 7/11/2024 1.66 TIDAL TRUST II YIELDMAX SHORT COIN OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
3616    FIAX 11/30/2022 0.5 TIDAL ETF TRUST II NICHOLAS FIXED INCOME ALTERNATIVE ETF Exchange Traded Fund Financial
3617    FIBK 3/24/2010 36 FIRST INTERSTATE BANCSYSTEM INC. COMMON STOCK (DE) Major Banks Finance
3618    FIBR 5/12/2016 1.08 ISHARES U.S. FIXED INCOME BALANCED RISK SYSTEMATIC ETF Exchange Traded Fund Financial
3619    FICO 8/18/2009 39 FAIR ISAAC CORPORATION COMMON STOCK Business Services Consumer Discretionary
3620    FICS 12/17/2020 0.85 FIRST TRUST INTERNATIONAL DEVELOPED CAPITAL STRENGTH ETF Exchange Traded Fund Financial
3621    FID 8/23/2013 1.66 FIRST TRUST S&P INTERNATIONAL DIVIDEND ARISTOCRATS ETF Exchange Traded Fund Financial
3622    FIDI 1/25/2018 2.12 FIDELITY INTERNATIONAL HIGH DIVIDEND ETF Exchange Traded Fund Financial
3623    FIDU 10/24/2013 12 FIDELITY MSCI INDUSTRIALS INDEX ETF Exchange Traded Fund Financial
3624    FIG 5/17/2022 0.34 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY MACRO STRATEGY ETF Exchange Traded Fund Financial
3625    FIGB 3/4/2021 0.83 FIDELITY INVESTMENT GRADE BOND ETF Exchange Traded Fund Financial
3626    FIGS 5/27/2021 16 FIGS INC. CLASS A COMMON STOCK Apparel Consumer Discretionary
3627    FIHL 6/29/2023 5.15 FIDELIS INSURANCE HOLDINGS LIMITED COMMON SHARES Property-Casualty Insurers Finance
3628    FIIG 8/7/2023 1.36 FIRST TRUST EXCHANGE-TRADED FUND IV FIRST TRUST INTERMEDIATE D Exchange Traded Fund Financial
3629    FILL 2/2/2012 3.79 ISHARES MSCI GLOBAL ENERGY PRODUCERS FUND Exchange Traded Fund Financial
3630    FINE 12/15/2023 0.04 THEMES EUROPEAN LUXURY ETF Exchange Traded Fund Financial
3631    FINS 5/29/2019 4.17 ANGEL OAK FINANCIAL STRATEGIES INCOME TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
3632    FINV 11/10/2017 25 FINVOLUTION GROUP AMERICAN DEPOSITARY SHARES Finance: Consumer Services Finance
3633    FINW 11/19/2021 1.18 FINWISE BANCORP COMMON STOCK Major Banks Finance
3634    FINX 9/13/2016 14 GLOBAL X FINTECH ETF Exchange Traded Fund Financial
3635    FIP 7/20/2022 8.55 FTAI INFRASTRUCTURE INC. COMMON STOCK Oil Refining/Marketing Energy
3636    FIRI 11/19/2024 0.01 TIDAL ETF TRUST FIRE FUNDS INCOME TARGET ETF Exchange Traded Fund Financial
3637    FIRS 11/19/2024 0.01 TIDAL ETF TRUST FIRE FUNDS WEALTH BUILDER ETF Exchange Traded Fund Financial
3638    FIS 2/1/2006 91 FIDELITY NATIONAL INFORMATION SERVICES INC. COMMON STOCK Business Services Consumer Discretionary
3639    FISI 6/25/1999 17 FINANCIAL INSTITUTIONS INC. COMMON STOCK Major Banks Finance
3640    FISR 4/3/2019 2 SPDR SSGA FIXED INCOME SECTOR ROTATION ETF Exchange Traded Fund Financial
3641    FITB 1/2/1998 130 FIFTH THIRD BANCORP COMMON STOCK Major Banks Finance
3642    FITBI 12/6/2013 7.18 FIFTH THIRD BANCORP DEPOSITARY SHARES Major Banks Finance
3643    FITBO 9/12/2019 2.52 FIFTH THIRD BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH OWNERSHIP INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES K Major Banks Finance
3644    FITBP 7/8/2008 1.73 FIFTH THIRD BANCORP DEPOSITARY SHARES EACH REPRESENTING 1/40TH SHARE OF FIFTH THIRD 6.00% NON-CUMULATIVE PERPETUAL CLASS B PREFERRED STOCK SERIES A Major Banks Finance
3645    FITE 12/27/2017 0.86 SPDR S&P KENSHO FUTURE SECURITY ETF Exchange Traded Fund Financial
3646    FIVA 1/25/2018 1.46 FIDELITY INTERNATIONAL VALUE FACTOR ETF Exchange Traded Fund Financial
3647    FIVE 7/19/2012 52 FIVE BELOW INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
3648    FIVN 4/4/2014 38 FIVE9 INC. COMMON STOCK EDP Services Technology
3649    FIW 5/11/2007 11 FIRST TRUST WATER ETF Exchange Traded Fund Financial
3650    FIX 1/2/1998 59 COMFORT SYSTEMS USA INC. COMMON STOCK Engineering & Construction Industrials
3651    FIXD 2/16/2017 20 FIRST TRUST TCW OPPORTUNISTIC FIXED INCOME ETF Exchange Traded Fund Financial
3652    FIZZ 6/12/2007 34 NATIONAL BEVERAGE CORP. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
3653    FJAN 1/19/2021 1.35 FT VEST U.S. EQUITY BUFFER ETF - JANUARY Exchange Traded Fund Financial
3654    FJP 4/26/2011 3.62 FIRST TRUST JAPAN ALPHADEX FUND Exchange Traded Fund Financial
3655    FJUL 7/20/2020 1.45 FT VEST U.S. EQUITY BUFFER ETF - JULY Exchange Traded Fund Financial
3656    FJUN 6/22/2020 1.32 FT VEST U.S. EQUITY BUFFER ETF - JUNE Exchange Traded Fund Financial
3657    FKU 2/27/2012 2.37 FIRST TRUST UNITED KINGDOM ALPHADEX FUND Exchange Traded Fund Financial
3658    FKWL 1/23/2008 1.9 FRANKLIN WIRELESS CORP. COMMON STOCK Telecommunications Equipment Utilities
3659    FL 3/31/2003 97 FOOT LOCKER INC. Clothing/Shoe/Accessory Stores Consumer Discretionary
3660    FLAO 4/1/2024 0.05 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. EQUITY 6 MONTH FLOOR5 AP Exchange Traded Fund Financial
3661    FLAU 11/6/2017 0.58 FRANKLIN FTSE AUSTRALIA ETF Exchange Traded Fund Financial
3662    FLAX 2/8/2018 0.49 FRANKLIN FTSE ASIA EX JAPAN ETF Exchange Traded Fund Financial
3663    FLBL 6/1/2018 3.76 FRANKLIN SENIOR LOAN ETF Exchange Traded Fund Financial
3664    FLBR 11/6/2017 2.64 FRANKLIN FTSE BRAZIL ETF Exchange Traded Fund Financial
3665    FLC 8/27/2003 13 FLAHERTY & CRUMRINE TOTAL RETURN FUND INC COMMON STOCK Trusts Except Educational Religious and Charitable Finance
3666    FLCA 11/6/2017 1.44 FRANKLIN FTSE CANADA ETF Exchange Traded Fund Financial
3667    FLCB 9/19/2019 3.19 FRANKLIN U.S. CORE BOND ETF Exchange Traded Fund Financial
3668    FLCC 7/31/2024 0.02 FEDERATED HERMES ETF TRUST FEDERATED HERMES MDT LARGE CAP CORE Exchange Traded Fund Financial
3669    FLCG 7/31/2024 0.03 FEDERATED HERMES ETF TRUST FEDERATED HERMES MDT LARGE CAP GROW Exchange Traded Fund Financial
3670    FLCH 11/6/2017 2.78 FRANKLIN FTSE CHINA ETF Exchange Traded Fund Financial
3671    FLCO 10/5/2016 2.25 FRANKLIN INVESTMENT GRADE CORPORATE ETF Exchange Traded Fund Financial
3672    FLCV 7/31/2024 0.04 FEDERATED HERMES ETF TRUST FEDERATED HERMES MDT LARGE CAP VALU Exchange Traded Fund Financial
3673    FLD 2/9/2022 0.41 FOLD HOLDINGS INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
3674    FLDB 2/26/2024 0.02 FIDELITY LOW DURATION BOND ETF Exchange Traded Fund Financial
3675    FLDD 2/9/2022 0.3
3676    FLDDW 2/9/2022 0.31 FOLD HOLDINGS INC. WARRANT Finance: Consumer Services Finance
3677    FLDR 6/18/2018 3.16 FIDELITY LOW DURATION BOND FACTOR ETF Exchange Traded Fund Financial
3678    FLDZ 1/3/2022 0.01 RIVERNORTH PATRIOT ETF Exchange Traded Fund Financial
3679    FLEE 12/18/2017 0.81 FRANKLIN FTSE EUROPE ETF Exchange Traded Fund Financial
3680    FLEU 8/1/2023 0.1 FRANKLIN FTSE EUROZONE ETF Exchange Traded Fund Financial
3681    FLEX 10/26/1998 115 FLEX LTD. ORDINARY SHARES Electrical Products Technology
3682    FLG 3/30/2011 61 FLAGSTAR FINANCIAL INC. COMMON STOCK Banks Finance
3683    FLG.A 3/22/2017 5.68 FLAGSTAR FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED-TO-FLOATING RATE SERIES A NONCUMULATIVE PERPETUAL PREFERRED STOCK
3684    FLG.U 5/16/2007 1.91 FLAGSTAR FINANCIAL INC. BIFURCATED OPTION NOTE UNIT SECURITIES
3685    FLGB 11/6/2017 4.28 FRANKLIN FTSE UNITED KINGDOM ETF Exchange Traded Fund Financial
3686    FLGC 5/11/2021 8.06 FLORA GROWTH CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3687    FLGR 11/6/2017 0.43 FRANKLIN FTSE GERMANY ETF Exchange Traded Fund Financial
3688    FLGT 9/29/2016 17 FULGENT GENETICS INC. COMMON STOCK Medical Specialities Health Care
3689    FLGV 6/11/2020 0.89 FRANKLIN U.S. TREASURY BOND ETF Exchange Traded Fund Financial
3690    FLHK 12/19/2017 0.45 FRANKLIN FTSE HONG KONG ETF Exchange Traded Fund Financial
3691    FLHY 6/14/2018 2.24 FRANKLIN HIGH YIELD CORPORATE ETF Exchange Traded Fund Financial
3692    FLIA 6/1/2018 1.37 FRANKLIN INTERNATIONAL AGGREGATE BOND ETF Exchange Traded Fund Financial
3693    FLIC 1/25/2006 14 FIRST OF LONG ISLAND CORPORATION (THE) COMMON STOCK Major Banks Finance
3694    FLIN 2/8/2018 3.93 FRANKLIN FTSE INDIA ETF Exchange Traded Fund Financial
3695    FLJH 11/6/2017 1.08 FRANKLIN FTSE JAPAN HEDGED ETF Exchange Traded Fund Financial
3696    FLJJ 2/1/2024 0.03 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. EQUITY 6 MONTH FLOOR5 JA Exchange Traded Fund Financial
3697    FLJP 11/6/2017 9.13 FRANKLIN FTSE JAPAN ETF Exchange Traded Fund Financial
3698    FLKR 12/18/2017 2.01 FRANKLIN FTSE SOUTH KOREA ETF Exchange Traded Fund Financial
3699    FLL 4/3/2006 13 FULL HOUSE RESORTS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
3700    FLLA 10/11/2018 0.89 FRANKLIN FTSE LATIN AMERICA ETF Exchange Traded Fund Financial
3701    FLMB 10/5/2018 0.67 FRANKLIN MUNICIPAL GREEN BOND ETF Exchange Traded Fund Financial
3702    FLMI 9/19/2018 1.74 FRANKLIN DYNAMIC MUNICIPAL BOND ETF Exchange Traded Fund Financial
3703    FLMX 11/6/2017 1.13 FRANKLIN FTSE MEXICO ETF Exchange Traded Fund Financial
3704    FLN 4/20/2011 1.84 FIRST TRUST LATIN AMERICA ALPHADEX FUND Exchange Traded Fund Financial
3705    FLNC 10/28/2021 15 FLUENCE ENERGY INC. CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
3706    FLNG 6/17/2019 11 FLEX LNG LTD. ORDINARY SHARES Marine Transportation Consumer Discretionary
3707    FLNT 9/26/2016 14 FLUENT INC. COMMON STOCK Advertising Consumer Discretionary
3708    FLO 1/2/1998 100 FLOWERS FOODS INC. COMMON STOCK Packaged Foods Consumer Staples
3709    FLOC 1/16/2025 0.43 FLOWCO HOLDINGS INC. CLASS A COMMON STOCK Metal Fabrications Industrials
3710    FLOT 6/17/2011 43 ISHARES FLOATING RATE BOND ETF Exchange Traded Fund Financial
3711    FLOW 7/19/2023 0.05 GLOBAL X FUNDS GLOBAL X U.S. CASH FLOW KINGS 100 ETF Exchange Traded Fund Financial
3712    FLQL 4/28/2017 3.76 FRANKLIN U.S. LARGE CAP MULTIFACTOR INDEX ETF Exchange Traded Fund Financial
3713    FLQM 4/28/2017 2.68 FRANKLIN U.S. MID CAP MULTIFACTOR INDEX ETF Exchange Traded Fund Financial
3714    FLQS 4/28/2017 0.38 FRANKLIN U.S. SMALL CAP MULTIFACTOR INDEX ETF Exchange Traded Fund Financial
3715    FLR 12/22/2000 101 FLUOR CORPORATION COMMON STOCK Military/Government/Technical Industrials
3716    FLRG 9/18/2020 0.95 FIDELITY U.S. MULTIFACTOR ETF Exchange Traded Fund Financial
3717    FLRN 12/1/2011 25 SPDR BLOOMBERG INVESTMENT GRADE FLOATING RATE ETF Exchange Traded Fund Financial
3718    FLRT 3/3/2016 1.9 PACER FUNDS PACER PACIFIC ASSET FLOATING RATE HIGH INCOME ETF Exchange Traded Fund Financial
3719    FLS 1/2/1998 101 FLOWSERVE CORPORATION COMMON STOCK Fluid Controls Industrials
3720    FLSA 10/11/2018 0.24 FRANKLIN FTSE SAUDI ARABIA ETF Exchange Traded Fund Financial
3721    FLSP 12/23/2019 0.4 FRANKLIN SYSTEMATIC STYLE PREMIA ETF Exchange Traded Fund Financial
3722    FLSW 2/8/2018 0.78 FRANKLIN FTSE SWITZERLAND ETF Exchange Traded Fund Financial
3723    FLTB 10/9/2014 3.3 FIDELITY LIMITED TERM BOND ETF Exchange Traded Fund Financial
3724    FLTR 4/26/2011 14 VANECK ETF TRUST VANECK IG FLOATING RATE ETF Exchange Traded Fund Financial
3725    FLTW 12/18/2017 1.39 FRANKLIN FTSE TAIWAN ETF Exchange Traded Fund Financial
3726    FLUD 7/16/2020 0.1 FRANKLIN ULTRA SHORT BOND ETF Exchange Traded Fund Financial
3727    FLUT 1/29/2024 4.47 FLUTTER ENTERTAINMENT PLC ORDINARY SHARES Computer Software: Programming Data Processing Technology
3728    FLUX 9/1/2009 5.07 FLUX POWER HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
3729    FLV 4/2/2020 0.62 AMERICAN CENTURY FOCUSED LARGE CAP VALUE ETF Exchange Traded Fund Financial
3730    FLWS 8/3/1999 56 1-800-FLOWERS.COM INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
3731    FLX 10/4/2024 0.23 BINGEX LIMITED AMERICAN DEPOSITARY SHARES Trucking Freight/Courier Services Industrials
3732    FLXR 6/24/2024 0.47 TCW FLEXIBLE INCOME ETF Exchange Traded Fund Financial
3733    FLXS 1/2/1998 8.68 FLEXSTEEL INDUSTRIES INC. COMMON STOCK Home Furnishings Consumer Discretionary
3734    FLYD 6/22/2022 0.39 BANK OF MONTREAL MICROSECTORS TRAVEL -3X INVERSE LEVERAGED ETN Exchange Traded Fund Financial
3735    FLYE 6/6/2024 1.4 FLY-E GROUP INC. COMMON STOCK Aerospace Industrials
3736    FLYU 6/22/2022 0.17 BANK OF MONTREAL MICROSECTORS TRAVEL 3X LEVERAGED ETN Exchange Traded Fund Financial
3737    FLYW 5/26/2021 14 FLYWIRE CORPORATION VOTING COMMON STOCK Business Services Consumer Discretionary
3738    FLYX 9/13/2011 0.46 FLYEXCLUSIVE INC. CLASS A COMMON STOCK Transportation Services Consumer Discretionary
3739    FMAG 2/4/2021 1.49 FIDELITY MAGELLAN ETF Exchange Traded Fund Financial
3740    FMAO 5/16/2007 2.64 FARMERS & MERCHANTS BANCORP INC. COMMON STOCK Savings Institutions Finance
3741    FMAR 1/2/1998 3.39 FT VEST U.S. EQUITY BUFFER ETF - MARCH Exchange Traded Fund Financial
3742    FMAT 10/24/2013 8.98 FIDELITY MSCI MATERIALS INDEX ETF Exchange Traded Fund Financial
3743    FMAY 5/18/2020 1.24 FT VEST U.S. EQUITY BUFFER ETF - MAY Exchange Traded Fund Financial
3744    FMB 5/15/2014 12 FIRST TRUST MANAGED MUNICIPAL ETF Exchange Traded Fund Financial
3745    FMBH 5/17/2007 5.06 FIRST MID BANCSHARES INC. COMMON STOCK Major Banks Finance
3746    FMC 1/2/1998 105 FMC CORPORATION COMMON STOCK Major Chemicals Industrials
3747    FMCE 11/12/2024 0.01 NORTHERN LIGHTS FUND TRUST IV FM COMPOUNDERS EQUITY ETF Exchange Traded Fund Financial
3748    FMCX 7/20/2023 0.01 FM FOCUS EQUITY ETF Exchange Traded Fund Financial
3749    FMDE 11/20/2023 1.6 FIDELITY COVINGTON TRUST FIDELITY ENHANCED MID CAP ETF Exchange Traded Fund Financial
3750    FMED 6/12/2023 0.19 FIDELITY DISRUPTIVE MEDICINE ETF Exchange Traded Fund Financial
3751    FMET 4/21/2022 0.47 FIDELITY METAVERSE ETF Exchange Traded Fund Financial
3752    FMF 8/2/2013 1.8 FIRST TRUST MANAGED FUTURES STRATEGY FUND Exchange Traded Fund Financial
3753    FMHI 11/3/2017 3.61 FIRST TRUST MUNICIPAL HIGH INCOME ETF Exchange Traded Fund Financial
3754    FMN 12/20/2002 8.05 FEDERATED HERMES PREMIER MUNICIPAL INCOME FUND Investment Managers Finance
3755    FMNB 5/16/2007 11 FARMERS NATIONAL BANC CORP. COMMON STOCK Major Banks Finance
3756    FMNY 5/13/2021 0.15 FIRST TRUST NEW YORK MUNICIPAL HIGH INCOME ETF Exchange Traded Fund Financial
3757    FMQQ 9/28/2021 0.46 FMQQ THE NEXT FRONTIER INTERNET ETF Exchange Traded Fund Financial
3758    FMS 1/2/1998 48 FRESENIUS MEDICAL CARE AG AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1/2 OF AN ORDINARY SHARE) Misc Health and Biotechnology Services Health Care
3759    FMST 8/22/2023 0.49 FOREMOST CLEAN ENERGY LTD. COMMON SHARES Other Metals and Minerals Basic Materials
3760    FMSTW 8/22/2023 0.05 FOREMOST CLEAN ENERGY LTD. WARRANT Other Metals and Minerals Basic Materials
3761    FMTO 5/31/2022 3.38 FEMTO TECHNOLOGIES INC. COMMON STOCK Computer Software: Prepackaged Software Technology
3762    FMX 5/11/1998 86 FOMENTO ECONOMICO MEXICANO S.A.B. DE C.V. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
3763    FMY 5/26/2005 3.97 FIRST TRUST MOTGAGE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
3764    FN 6/25/2010 37 FABRINET ORDINARY SHARES Telecommunications Equipment Utilities
3765    FNA 6/6/2008 9.31 PARAGON 28 INC. COMMON STOCK Medical/Dental Instruments Health Care
3766    FNB 12/17/2003 87 F.N.B. CORPORATION COMMON STOCK Major Banks Finance
3767    FNCH 3/19/2021 2.3
3768    FNCL 10/24/2013 21 FIDELITY MSCI FINANCIALS INDEX ETF Exchange Traded Fund Financial
3769    FND 4/27/2017 32 FLOOR & DECOR HOLDINGS INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
3770    FNDA 8/15/2013 18 SCHWAB FUNDAMENTAL U.S. SMALL COMPANY ETF Exchange Traded Fund Financial
3771    FNDB 8/15/2013 5.29 SCHWAB FUNDAMENTAL U.S. BROAD MARKET ETF Exchange Traded Fund Financial
3772    FNDC 8/15/2013 14 SCHWAB FUNDAMENTAL INTERNATIONAL SMALL EQUITY ETF Exchange Traded Fund Financial
3773    FNDE 8/15/2013 25 SCHWAB FUNDAMENTAL EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
3774    FNDF 8/15/2013 28 SCHWAB FUNDAMENTAL INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
3775    FNDX 8/15/2013 22 SCHWAB FUNDAMENTAL U.S. LARGE COMPANY ETF Exchange Traded Fund Financial
3776    FNF 10/14/2005 89 FNF GROUP OF FIDELITY NATIONAL FINANCIAL INC. COMMON STOCK Specialty Insurers Finance
3777    FNGA 1/23/2018 33 BANK OF MONTREAL Exchange Traded Fund Financial
3778    FNGD 1/23/2018 28 NO NAME Exchange Traded Fund Financial
3779    FNGG 9/30/2021 2.24 DIREXION DAILY NYSE FANG+ BULL 2X SHARES Exchange Traded Fund Financial
3780    FNGO 9/4/2018 2.37 NO NAME Exchange Traded Fund Financial
3781    FNGR 1/28/2015 6.52 FINGERMOTION INC. COMMON STOCK Computer Software: Prepackaged Software Technology
3782    FNGS 11/13/2019 4.66 MICROSECTORS FANG ETNS DUE JANUARY 8 2038 Exchange Traded Fund Financial
3783    FNGU 1/23/2018 32
3784    FNK 4/20/2011 3.13 FIRST TRUST MID CAP VALUE ALPHADEX FUND Exchange Traded Fund Financial
3785    FNKO 11/2/2017 24 FUNKO INC. CLASS A COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
3786    FNLC 5/11/2004 6.04 FIRST BANCORP INC (ME) COMMON STOCK Major Banks Finance
3787    FNOV 11/18/2019 1.63 FT VEST U.S. EQUITY BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
3788    FNV 9/8/2011 57 FRANCO-NEVADA CORPORATION Precious Metals Basic Materials
3789    FNWB 1/30/2015 4 FIRST NORTHWEST BANCORP COMMON STOCK Banks Finance
3790    FNWD 5/16/2007 0.55 FINWARD BANCORP COMMON STOCK Major Banks Finance
3791    FNX 5/10/2007 13 FIRST TRUST MID CAP CORE ALPHADEX FUND Exchange Traded Fund Financial
3792    FNY 4/20/2011 5.01 FIRST TRUST MID CAP GROWTH ALPHADEX FUND Exchange Traded Fund Financial
3793    FOA 4/18/2019 6.66 FINANCE OF AMERICA COMPANIES INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
3794    FOCT 10/19/2020 1.12 FT VEST U.S. EQUITY BUFFER ETF - OCTOBER Exchange Traded Fund Financial
3795    FOF 11/28/2006 17 COHEN & STEERS CLOSED-END OPPORTUNITY FUND INC. COMMON STOCK Investment Managers Finance
3796    FOLD 5/31/2007 55 AMICUS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3797    FONR 1/2/1998 20 FONAR CORPORATION COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
3798    FOR 12/31/2007 36 FORESTAR GROUP INC COMMON STOCK Real Estate Finance
3799    FORA 3/3/2021 1.9 FORIAN INC. COMMON STOCK EDP Services Technology
3800    FORD 1/26/1998 15 FORWARD INDUSTRIES INC. COMMON STOCK Plastic Products Industrials
3801    FORH 4/30/2021 0.14 FORMIDABLE ETF Exchange Traded Fund Financial
3802    FORL 5/16/2023 0.06 FOUR LEAF ACQUISITION CORPORATION CLASS A COMMON STOCK Blank Checks Finance
3803    FORLU 3/17/2023 0.02
3804    FORLW 5/12/2023 0.05
3805    FORM 6/13/2003 68 FORMFACTOR INC. FORMFACTOR INC. COMMON STOCK Semiconductors Technology
3806    FORR 1/2/1998 33 FORRESTER RESEARCH INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
3807    FORTY 4/27/2006 1.21 FORMULA SYSTEMS (1985) LTD. AMERICAN DEPOSITARY SHARES EDP Services Technology
3808    FOSL 1/2/1998 88 FOSSIL GROUP INC. COMMON STOCK Consumer Specialties Consumer Discretionary
3809    FOSLL 11/9/2021 0.56 FOSSIL GROUP INC. 7% SENIOR NOTES DUE 2026 Consumer Specialties Consumer Discretionary
3810    FOUR 2/26/2008 20 SHIFT4 PAYMENTS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
3811    FOVL 3/21/2019 0.49 ISHARES FOCUSED VALUE FACTOR ETF Exchange Traded Fund Financial
3812    FOX 3/13/2019 26 FOX CORPORATION CLASS B COMMON STOCK Broadcasting Industrials
3813    FOXA 3/12/2019 29 FOX CORPORATION CLASS A COMMON STOCK Broadcasting Industrials
3814    FOXF 8/8/2013 26 FOX FACTORY HOLDING CORP. COMMON STOCK Motor Vehicles Consumer Discretionary
3815    FOXO 9/16/2022 6.54 FOXO TECHNOLOGIES INC. CLASS A COMMON STOCK Life Insurance Finance
3816    FOXX 9/27/2024 0.27 FOXX DEVELOPMENT HOLDINGS INC. COMMON STOCK Computer Communications Equipment Telecommunications
3817    FOXXW 9/30/2024 0.04 FOXX DEVELOPMENT HOLDINGS INC. WARRANT Computer Communications Equipment Telecommunications
3818    FPA 4/20/2011 1.51 FIRST TRUST ASIA PACIFIC EX-JAPAN ALPHADEX FUND Exchange Traded Fund Financial
3819    FPAY 12/18/2007 5.45 FLEXSHOPPER INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
3820    FPE 2/12/2013 41 FIRST TRUST PREFERRED SECURITIES AND INCOME ETF ETF Exchange Traded Fund Financial
3821    FPEI 8/23/2017 10 FIRST TRUST INSTITUTIONAL PREFERRED SECURITIES AND INCOME ETF Exchange Traded Fund Financial
3822    FPF 5/24/2013 24 FIRST TRUST INTERMEDIATE DURATION PREFERRED & INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
3823    FPFD 6/17/2021 0.69 FIDELITY PREFERRED SECURITIES & INCOME ETF Exchange Traded Fund Financial
3824    FPH 5/10/2017 10 FIVE POINT HOLDINGS LLC CLASS A COMMON SHARES Real Estate Finance
3825    FPI 4/11/2014 25 FARMLAND PARTNERS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3826    FPRO 2/4/2021 0.54 FIDELITY REAL ESTATE INVESTMENT ETF Exchange Traded Fund Financial
3827    FPX 5/24/2006 15 FIRST TRUST US EQUITY OPPORTUNITIES ETF Exchange Traded Fund Financial
3828    FPXE 10/19/2018 0.2 FIRST TRUST IPOX EUROPE EQUITY OPPORTUNITIES ETF Exchange Traded Fund Financial
3829    FPXI 11/11/2014 5.41 FIRST TRUST INTERNATIONAL EQUITY OPPORTUNITIES ETF Exchange Traded Fund Financial
3830    FQAL 9/16/2016 4.13 FIDELITY QUALITY FACTOR ETF Exchange Traded Fund Financial
3831    FR 1/2/1998 95 FIRST INDUSTRIAL REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3832    FRA 10/29/2003 30 BLACKROCK FLOATING RATE INCOME STRATEGIES FUND INC COMMON STOCK Investment Bankers/Brokers/Service Finance
3833    FRAF 5/17/2007 1.37 FRANKLIN FINANCIAL SERVICES CORPORATION COMMON STOCK Major Banks Finance
3834    FRBA 10/15/2010 5.25 FIRST BANK COMMON STOCK Commercial Banks Finance
3835    FRD 2/4/2002 9.21 FRIEDMAN INDUSTRIES INC. COMMON STOCK Steel/Iron Ore Industrials
3836    FRDM 6/14/2019 3.68 FREEDOM 100 EMERGING MARKETS ETF Exchange Traded Fund Financial
3837    FREL 2/5/2015 23 FIDELITY MSCI REAL ESTATE INDEX ETF Exchange Traded Fund Financial
3838    FREY 1/10/2020 16
3839    FRGE 2/1/2021 8.78 FORGE GLOBAL HOLDINGS INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
3840    FRGT 8/8/2017 13 FREIGHT TECHNOLOGIES INC. ORDINARY SHARES Professional Services Consumer Discretionary
3841    FRHC 9/30/2011 9.44 FREEDOM HOLDING CORP. COMMON STOCK Investment Bankers/Brokers/Service Finance
3842    FRI 5/10/2007 14 FIRST TRUST S&P REIT INDEX FUND Exchange Traded Fund Financial
3843    FRME 1/2/1998 41 FIRST MERCHANTS CORPORATION COMMON STOCK Major Banks Finance
3844    FRMEP 4/4/2022 0.08 FIRST MERCHANTS CORPORATION DEPOSITORY SHARES Major Banks Finance
3845    FRNW 10/7/2021 0.71 FIDELITY CLEAN ENERGY ETF Exchange Traded Fund Financial
3846    FRO 8/6/2001 96 FRONTLINE PLC ORDINARY SHARES Marine Transportation Consumer Discretionary
3847    FROG 9/16/2020 18 JFROG LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
3848    FRPH 5/16/2007 4.15 FRP HOLDINGS INC. COMMON STOCK Real Estate Finance
3849    FRPT 1/18/2007 47 FRESHPET INC. COMMON STOCK Packaged Foods Consumer Staples
3850    FRSH 5/2/2014 23 FRESHWORKS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
3851    FRST 5/16/2007 9.32 PRIMIS FINANCIAL CORP. COMMON STOCK Major Banks Finance
3852    FRSX 6/15/2017 13 FORESIGHT AUTONOMOUS HOLDINGS LTD. AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
3853    FRT 1/2/1998 87 FEDERAL REALTY INVESTMENT TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
3854    FRT.C 10/4/2017 1.73 FEDERAL REALTY INVESTMENT TRUST DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 5.000% SERIES C CUMULATIVE REDEEMABLE PREFERRED SHARE
3855    FRTX 5/1/2007 33
3856    FRTY 3/2/2021 0.85 ALGER MID CAP 40 ETF Exchange Traded Fund Financial
3857    FSBC 5/5/2021 1.98 FIVE STAR BANCORP COMMON STOCK Major Banks Finance
3858    FSBD 4/21/2022 0.04 FIDELITY MERRIMACK STREET TRUST FIDELITY SUSTAINABLE CORE PLUS Exchange Traded Fund Financial
3859    FSBW 7/10/2012 2.86 FS BANCORP INC. COMMON STOCK Banks Finance
3860    FSCC 7/31/2024 0.02 FEDERATED HERMES ETF TRUST FEDERATED HERMES MDT SMALL CAP CORE Exchange Traded Fund Financial
3861    FSCO 11/14/2022 6.32 FS CREDIT OPPORTUNITIES CORP. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
3862    FSCS 6/22/2017 0.43 FIRST TRUST SMID CAPITAL STRENGTH ETF Exchange Traded Fund Financial
3863    FSEA 7/17/2019 0.48 FIRST SEACOAST BANCORP INC. COMMON STOCK Savings Institutions Finance
3864    FSEC 3/4/2021 0.46 FIDELITY INVESTMENT GRADE SECURITIZED ETF Exchange Traded Fund Financial
3865    FSEP 9/21/2020 1.11 FT VEST U.S. EQUITY BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
3866    FSFG 10/8/2008 1.25 FIRST SAVINGS FINANCIAL GROUP INC. COMMON STOCK Savings Institutions Finance
3867    FSGS 6/26/2017 0.43 FIRST TRUST SMID GROWTH STRENGTH ETF Exchange Traded Fund Financial
3868    FSHP 8/15/2024 0.02 FLAG SHIP ACQUISITION CORP. ORDINARY SHARES
3869    FSHPR 8/15/2024 0.01 FLAG SHIP ACQUISITION CORP. RIGHT
3870    FSHPU 6/18/2024 0.04
3871    FSI 11/18/2002 7.26 FLEXIBLE SOLUTIONS INTERNATIONAL INC. COMMON STOCK (CDA) Major Chemicals Industrials
3872    FSIG 11/18/2021 5.02 FIRST TRUST LIMITED DURATION INVESTMENT GRADE CORPORATE ETF Exchange Traded Fund Financial
3873    FSK 4/16/2014 47 FS KKR CAPITAL CORP. COMMON STOCK Investment Managers Finance
3874    FSLD 4/21/2022 0.03 FIDELITY MERRIMACK STREET TRUST FIDELITY SUSTAINABLE LOW DURAT Exchange Traded Fund Financial
3875    FSLR 11/17/2006 89 FIRST SOLAR INC. COMMON STOCK Semiconductors Technology
3876    FSLY 5/17/2019 29 FASTLY INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
3877    FSM 9/19/2011 45 FORTUNA MINING CORP. COMMON SHARES Precious Metals Basic Materials
3878    FSMB 11/27/2018 3.66 FIRST TRUST SHORT DURATION MANAGED MUNICIPAL ETF Exchange Traded Fund Financial
3879    FSMD 2/28/2019 2.57 FIDELITY SMALL-MID MULTIFACTOR ETF Exchange Traded Fund Financial
3880    FSP 6/2/2005 59 FRANKLIN STREET PROPERTIES CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
3881    FSS 1/2/1998 75 FEDERAL SIGNAL CORPORATION COMMON STOCK Auto Manufacturing Consumer Discretionary
3882    FSST 6/17/2021 0.19 FIDELITY SUSTAINABLE U.S. EQUITY ETF Exchange Traded Fund Financial
3883    FSTA 10/24/2013 14 FIDELITY MSCI CONSUMER STAPLES INDEX ETF Exchange Traded Fund Financial
3884    FSTR 5/15/1998 23 L.B. FOSTER COMPANY COMMON STOCK Metal Fabrications Industrials
3885    FSUN 8/3/2022 0.45 FIRSTSUN CAPITAL BANCORP COMMON STOCK Major Banks Finance
3886    FSV 6/2/2015 11 FIRSTSERVICE CORPORATION COMMON SHARES Real Estate Finance
3887    FSYD 2/17/2022 0.27 FIDELITY COVINGTON TRUST FIDELITY SUSTAINABLE HIGH YIELD ETF Exchange Traded Fund Financial
3888    FSZ 2/16/2012 2.22 FIRST TRUST SWITZERLAND ALPHADEX FUND Exchange Traded Fund Financial
3889    FT 1/2/1998 14 FRANKLIN UNIVERSAL TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
3890    FTA 5/24/2007 17 FIRST TRUST LARGE CAP VALUE ALPHADEX FUND Exchange Traded Fund Financial
3891    FTAG 3/31/2010 1.5 FIRST TRUST INDXX GLOBAL AGRICULTURE ETF Exchange Traded Fund Financial
3892    FTAI 5/15/2015 26 FTAI AVIATION LTD. COMMON STOCK Misc Corporate Leasing Services Industrials
3893    FTAIM 3/16/2023 0.27 FTAI AVIATION LTD. 9.500% FIXED-RATE RESET SERIES D CUMULATIVE PERPETUAL REDEEMABLE PREFERRED SHARES Misc Corporate Leasing Services Industrials
3894    FTAIN 3/30/2021 0.93 FTAI AVIATION LTD. 8.25% FIXED - RATE RESET SERIES C CUMULATIVE PERPETUAL REDEEMABLE PREFERRED SHARES Misc Corporate Leasing Services Industrials
3895    FTAIO 12/2/2019 1.31
3896    FTBD 1/26/2023 0.17 FIDELITY MERRIMACK STREET TRUST FIDELITY TACTICAL BOND ETF Exchange Traded Fund Financial
3897    FTC 5/11/2007 11 FIRST TRUST LARGE CAP GROWTH ALPHADEX FUND Exchange Traded Fund Financial
3898    FTCB 11/8/2023 0.46 FIRST TRUST EXCHANGE-TRADED FUND IV FIRST TRUST CORE INVESTMEN Exchange Traded Fund Financial
3899    FTCE 10/3/2024 0.05 FIRST TRUST EXCHANGE-TRADED FUND VI FIRST TRUST NEW CONSTRUCTS Exchange Traded Fund Financial
3900    FTCI 4/28/2021 13 FTC SOLAR INC. COMMON STOCK Semiconductors Technology
3901    FTCS 5/16/2007 27 FIRST TRUST CAPITAL STRENGTH ETF Exchange Traded Fund Financial
3902    FTDR 9/13/2018 22 FRONTDOOR INC. COMMON STOCK Diversified Commercial Services Finance
3903    FTDS 12/23/2014 0.4 FIRST TRUST DIVIDEND STRENGTH ETF Exchange Traded Fund Financial
3904    FTEC 10/24/2013 31 FIDELITY MSCI INFORMATION TECHNOLOGY INDEX ETF Exchange Traded Fund Financial
3905    FTEK 3/8/1999 31 FUEL TECH INC. COMMON STOCK Pollution Control Equipment Industrials
3906    FTEL 8/8/2023 1.9 FITELL CORPORATION ORDINARY SHARES Recreational Games/Products/Toys Consumer Discretionary
3907    FTF 9/4/2003 25 FRANKLIN LIMITED DURATION INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
3908    FTFT 5/18/2007 17 FUTURE FINTECH GROUP INC. COMMON STOCK Business Services Consumer Discretionary
3909    FTGC 10/23/2013 19 FIRST TRUST GLOBAL TACTICAL COMMODITY STRATEGY FUND Exchange Traded Fund Financial
3910    FTGS 10/26/2022 1.94 FIRST TRUST GROWTH STRENGTH ETF Exchange Traded Fund Financial
3911    FTHF 11/7/2023 0.03 FIRST TRUST EXCHANGE-TRADED FUND II FIRST TRUST EMERGING MARKE Exchange Traded Fund Financial
3912    FTHI 1/7/2014 5.26 FIRST TRUST BUYWRITE INCOME ETF Exchange Traded Fund Financial
3913    FTHM 7/31/2020 3.69 FATHOM HOLDINGS INC. COMMON STOCK Real Estate Finance
3914    FTHY 6/26/2020 6.15 FIRST TRUST HIGH YIELD OPPORTUNITIES 2027 TERM FUND COMMON STOCK Investment Managers Finance
3915    FTI 6/15/2001 109 TECHNIPFMC PLC ORDINARY SHARE Metal Fabrications Industrials
3916    FTIF 3/14/2023 0.01 FIRST TRUST EXCHANGE-TRADED FUND FIRST TRUST BLOOMBERG INFLATI Exchange Traded Fund Financial
3917    FTII 4/8/2022 0.1
3918    FTIIU 2/16/2022 0.03
3919    FTIIW 4/8/2022 0.06
3920    FTK 7/27/2005 52 FLOTEK INDUSTRIES INC. COMMON STOCK Major Chemicals Industrials
3921    FTLF 1/9/2008 1.47 FITLIFE BRANDS INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
3922    FTLS 9/9/2014 5.91 FIRST TRUST LONG/SHORT EQUITY Exchange Traded Fund Financial
3923    FTNT 11/18/2009 65 FORTINET INC. COMMON STOCK Computer peripheral equipment Technology
3924    FTQI 1/7/2014 3.36 FIRST TRUST NASDAQ BUYWRITE INCOME ETF Exchange Traded Fund Financial
3925    FTRB 1/4/2024 0.4 FEDERATED HERMES ETF TRUST FEDERATED HERMES TOTAL RETURN BOND Exchange Traded Fund Financial
3926    FTRE 6/16/2023 6.65 FORTREA HOLDINGS INC. COMMON STOCK Medical Specialities Health Care
3927    FTRI 3/31/2010 7.06 FIRST TRUST INDXX GLOBAL NATURAL RESOURCES INCOME ETF Exchange Traded Fund Financial
3928    FTS 10/14/2016 32 FORTIS INC. COMMON SHARES Electric Utilities: Central Utilities
3929    FTSD 4/25/2014 2.18 FRANKLIN SHORT DURATION U.S. GOVERNMENT ETF Exchange Traded Fund Financial
3930    FTSL 5/2/2013 24 FIRST TRUST SENIOR LOAN FUND Exchange Traded Fund Financial
3931    FTSM 8/6/2014 28 FIRST TRUST ENHANCED SHORT MATURITY ETF Exchange Traded Fund Financial
3932    FTV 7/5/2016 40 FORTIVE CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
3933    FTWO 8/31/2023 0.32 STRIVE NATURAL RESOURCES AND SECURITY ETF Exchange Traded Fund Financial
3934    FTXG 10/10/2016 2.27 FIRST TRUST NASDAQ FOOD & BEVERAGE ETF Exchange Traded Fund Financial
3935    FTXH 9/22/2016 0.7 FIRST TRUST NASDAQ PHARMACEUTICALS ETF Exchange Traded Fund Financial
3936    FTXL 9/21/2016 3.22 FIRST TRUST NASDAQ SEMICONDUCTOR ETF Exchange Traded Fund Financial
3937    FTXN 11/16/2016 5.05 FIRST TRUST NASDAQ OIL & GAS ETF Exchange Traded Fund Financial
3938    FTXO 10/7/2016 8.23 FIRST TRUST NASDAQ BANK ETF Exchange Traded Fund Financial
3939    FTXR 9/22/2016 2.52 FIRST TRUST NASDAQ TRANSPORTATION ETF Exchange Traded Fund Financial
3940    FUBO 4/5/2013 28 FUBOTV INC. COMMON STOCK Movies/Entertainment Consumer Discretionary
3941    FUFU 3/1/2024 1.15 BITFUFU INC. CLASS A ORDINARY SHARES Finance: Consumer Services Finance
3942    FUFUW 3/1/2024 0.1 BITFUFU INC. WARRANT Finance: Consumer Services Finance
3943    FUL 12/2/2002 73 H. B. FULLER COMPANY COMMON STOCK Home Furnishings Industrials
3944    FULC 7/18/2019 14 FULCRUM THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
3945    FULT 1/2/1998 92 FULTON FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
3946    FULTP 11/3/2020 1.01 FULTON FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
3947    FUMB 11/8/2018 2.65 FIRST TRUST ULTRA SHORT DURATION MUNICIPAL ETF Exchange Traded Fund Financial
3948    FUN 1/2/1998 55 SIX FLAGS ENTERTAINMENT CORPORATION COMMON STOCK NEW Services-Misc. Amusement & Recreation Consumer Discretionary
3949    FUNC 1/2/1998 4.45 FIRST UNITED CORPORATION COMMON STOCK Major Banks Finance
3950    FUND 1/2/1998 11 SPROTT FOCUS TRUST INC. COMMON STOCK Investment Managers Finance
3951    FUNL 8/20/2020 0.31 CORNERCAP FUNDAMETRICS LARGE-CAP ETF Exchange Traded Fund Financial
3952    FURY 10/12/2020 3.82 FURY GOLD MINES LIMITED COMMON SHARES Precious Metals Basic Materials
3953    FUSB 5/16/2007 2.01 FIRST US BANCSHARES INC. COMMON STOCK Major Banks Finance
3954    FUSI 3/22/2023 0.04 AMERICAN CENTURY ETF TRUST AMERICAN CENTURY MULTISECTOR FLOATI Exchange Traded Fund Financial
3955    FUTU 3/8/2019 30 FUTU HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Investment Bankers/Brokers/Service Finance
3956    FUTY 10/24/2013 20 FIDELITY MSCI UTILITIES INDEX ETF Exchange Traded Fund Financial
3957    FV 3/6/2014 27 FIRST TRUST DORSEY WRIGHT FOCUS 5 ETF Exchange Traded Fund Financial
3958    FVAL 9/15/2016 5.29 FIDELITY VALUE FACTOR ETF Exchange Traded Fund Financial
3959    FVC 3/18/2016 4.13 FIRST TRUST DORSEY WRIGHT DYNAMIC FOCUS 5 ETF Exchange Traded Fund Financial
3960    FVCB 9/29/2017 2.41 FVCBANKCORP INC. COMMON STOCK Major Banks Finance
3961    FVD 8/27/2003 50 FIRST TRUST VL DIVIDEND Exchange Traded Fund Financial
3962    FVN 11/4/2024 0.02 FUTURE VISION II ACQUISITION CORPORATION ORDINARY SHARES
3963    FVNNR 11/4/2024 0.01
3964    FVNNU 9/12/2024 0.01
3965    FVR 10/2/2024 0.78 FRONTVIEW REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
3966    FVRR 6/13/2019 22 FIVERR INTERNATIONAL LTD. ORDINARY SHARES NO PAR VALUE Business Services Consumer Discretionary
3967    FWD 3/22/2023 0.5 AB ACTIVE ETFS INC. AB DISRUPTORS ETF Exchange Traded Fund Financial
3968    FWONA 1/22/2013 30 LIBERTY MEDIA CORPORATION SERIES A LIBERTY FORMULA ONE COMMON STOCK Broadcasting Industrials
3969    FWONK 7/8/2014 39 LIBERTY MEDIA CORPORATION SERIES C LIBERTY FORMULA ONE COMMON STOCK Broadcasting Industrials
3970    FWRD 8/27/1998 56 FORWARD AIR CORPORATION COMMON STOCK Oil Refining/Marketing Consumer Discretionary
3971    FWRG 10/1/2021 8.39 FIRST WATCH RESTAURANT GROUP INC. COMMON STOCK Restaurants Consumer Discretionary
3972    FXA 6/26/2006 19 INVESCO CURRENCYSHARES AUSTRALIAN DOLLAR TRUST Exchange Traded Fund Financial
3973    FXB 6/26/2006 13 INVESCO CURRENCYSHARES BRITISH POUND STERLING TRUST Exchange Traded Fund Financial
3974    FXC 6/26/2006 19 INVESCO CURRENCYSHARES CANADIAN DOLLAR TRUST Exchange Traded Fund Financial
3975    FXD 5/10/2007 26 FIRST TRUST CONS. DISCRET. ALPHADEX Exchange Traded Fund Financial
3976    FXE 12/12/2005 48 INVESCO CURRENCYSHARES EURO CURRENCY TRUST Exchange Traded Fund Financial
3977    FXED 12/31/2020 0.33 SOUND ENHANCED FIXED INCOME ETF Exchange Traded Fund Financial
3978    FXF 6/26/2006 12 INVESCO CURRENCYSHARES SWISS FRANC TRUST Exchange Traded Fund Financial
3979    FXG 5/10/2007 20 FIRST TRUST CONS. STAPLES ALPHADEX Exchange Traded Fund Financial
3980    FXH 5/10/2007 25 FIRST TRUST HEALTH CARE ALPHADEX Exchange Traded Fund Financial
3981    FXI 10/8/2004 112 ISHARES CHINA LARGE-CAP ETF Exchange Traded Fund Financial
3982    FXL 5/10/2007 23 FIRST TRUST TECHNOLOGY ALPHADEX Exchange Traded Fund Financial
3983    FXLV 7/15/2021 6.46
3984    FXN 5/10/2007 37 FIRST TRUST ENERGY ALPHADEX FUND Exchange Traded Fund Financial
3985    FXNC 5/16/2007 0.87 FIRST NATIONAL CORPORATION COMMON STOCK Major Banks Finance
3986    FXO 5/10/2007 30 FIRST TRUST FINANCIALS ALPHADEX Exchange Traded Fund Financial
3987    FXP 11/8/2007 35 PROSHARES ULTRASHORT FTSE CHINA 50 Exchange Traded Fund Financial
3988    FXR 5/10/2007 20 FIRST TRUST INDUSTRIALS ALPHADEX Exchange Traded Fund Financial
3989    FXU 5/10/2007 21 FIRST TRUST UTILITIES ALPHADEX FUND Exchange Traded Fund Financial
3990    FXY 2/13/2007 28 INVESCO CURRENCYSHARES JAPANESE YEN TRUST Exchange Traded Fund Financial
3991    FXZ 5/11/2007 19 FIRST TRUST MATERIALS ALPHADEX FUND Exchange Traded Fund Financial
3992    FYBR 5/4/2021 16 FRONTIER COMMUNICATIONS PARENT INC. COMMON STOCK Telecommunications Equipment Telecommunications
3993    FYC 4/20/2011 5.5 FIRST TRUST SMALL CAP GROWTH ALPHADEX FUND Exchange Traded Fund Financial
3994    FYEE 4/11/2024 0.07 FIDELITY YIELD ENHANCED EQUITY ETF Exchange Traded Fund Financial
3995    FYLD 12/3/2013 3.17 CAMBRIA FOREIGN SHAREHOLDER YIELD ETF Exchange Traded Fund Financial
3996    FYLG 11/23/2022 0.02
3997    FYT 4/20/2011 3.92 FIRST TRUST SMALL CAP VALUE ALPHADEX FUND Exchange Traded Fund Financial
3998    FYX 5/10/2007 12 FIRST TRUST SMALL CAP CORE ALPHADEX FUND Exchange Traded Fund Financial
3999    G 8/2/2007 70 GENPACT LIMITED COMMON STOCK Professional Services Consumer Discretionary
4000    GAA 12/10/2014 1.31 CAMBRIA GLOBAL ASSET ALLOCATION ETF Exchange Traded Fund Financial
4001    GAB 1/2/1998 56 GABELLI EQUITY TRUST INC. (THE) COMMON STOCK Investment Managers Finance
4002    GAB.G 8/3/2012 1.03 GABELLI EQUITY TRUST INC. (THE) SERIES G CUMULATIVE PREFERRED STOCK
4003    GAB.H 10/3/2012 1.62 GABELLI EQUITY TRUST INC. (THE) PFD SER H
4004    GAB.K 12/18/2019 0.81 GABELLI EQUITY TRUST INC. (THE) 5.00% SERIES K CUMULATIVE PREFERRED STOCK
4005    GABC 1/5/1998 14 GERMAN AMERICAN BANCORP INC. COMMON STOCK Major Banks Finance
4006    GABF 5/10/2022 0.21 GABELLI ETFS TRUST GABELLI FINANCIAL SERVICES OPPORTUNITIES ET Exchange Traded Fund Financial
4007    GAEM 8/13/2024 0.01 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY GAMMA EMERGING MARKET Exchange Traded Fund Financial
4008    GAIA 10/29/1999 23 GAIA INC. CLASS A COMMON STOCK Movies/Entertainment Consumer Discretionary
4009    GAIN 6/23/2005 32 GLADSTONE INVESTMENT CORPORATION BUSINESS DEVELOPMENT COMPANY Finance: Consumer Services Finance
4010    GAINI 12/18/2024 0.1 GLADSTONE INVESTMENT CORPORATION 7.875% NOTES DUE 2030 Finance: Consumer Services Finance
4011    GAINL 6/2/2023 0.27 GLADSTONE INVESTMENT CORPORATION 8.00% NOTES DUE 2028 Finance: Consumer Services Finance
4012    GAINN 3/4/2021 0.42 GLADSTONE INVESTMENT CORPORATION 5.00% NOTES DUE 2026 Finance: Consumer Services Finance
4013    GAINZ 8/19/2021 0.28 GLADSTONE INVESTMENT CORPORATION 4.875% NOTES DUE 2028 Finance: Consumer Services Finance
4014    GAL 4/26/2012 2.95 SPDR SSGA GLOBAL ALLOCATION ETF Exchange Traded Fund Financial
4015    GALT 1/12/2009 20 GALECTIN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4016    GAM 1/2/1998 18 GENERAL AMERICAN INVESTORS INC. COMMON STOCK Investment Managers Finance
4017    GAM.B 5/16/2007 1.97 GENERAL AMERICAN INVESTORS COMPANY INC. CUMULATIVE PREFERRED STOCK
4018    GAMB 7/23/2021 5.01 GAMBLING.COM GROUP LIMITED ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
4019    GAME 6/17/2021 3.53 GAMESQUARE HOLDINGS INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
4020    GAMR 3/10/2016 2.59 AMPLIFY VIDEO GAME LEADERS ETF Exchange Traded Fund Financial
4021    GAN 5/16/2007 12 GAN LIMITED ORDINARY SHARES Computer Software: Programming Data Processing Technology
4022    GANX 3/18/2021 3.15 GAIN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4023    GAP 1/2/1998 111 GAP INC. (THE) COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
4024    GAPR 4/24/2023 0.33 FT VEST U.S. EQUITY MODERATE BUFFER ETF - APRIL Exchange Traded Fund Financial
4025    GARP 6/3/2024 0.53 ISHARES MSCI USA QUALITY GARP ETF Exchange Traded Fund Financial
4026    GASS 10/7/2005 18 STEALTHGAS INC. COMMON STOCK Marine Transportation Consumer Discretionary
4027    GAST 1/5/2022 0.01 GABELLI AUTOMATION ETF Exchange Traded Fund Financial
4028    GATE 11/22/2021 0.09 MARBLEGATE ACQUISITION CORP. CLASS A COMMON STOCK Blank Checks Finance
4029    GATEU 10/1/2021 0.04 MARBLEGATE ACQUISITION CORP. UNIT Blank Checks Finance
4030    GATEW 11/22/2021 0.08
4031    GATX 4/27/2007 56 GATX CORPORATION COMMON STOCK Transportation Services Consumer Discretionary
4032    GAU 1/2/2008 30 GALIANO GOLD INC. Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
4033    GAUG 8/21/2023 0.36 FT VEST U.S. EQUITY MODERATE BUFFER ETF - AUGUST Exchange Traded Fund Financial
4034    GAUZ 6/6/2024 0.53 GAUZY LTD. ORDINARY SHARES Industrial Machinery/Components Miscellaneous
4035    GB 9/29/2000 38 GLOBAL BLUE GROUP HOLDING AG ORDINARY SHARES EDP Services Technology
4036    GBAB 10/28/2010 13 GUGGENHEIM TAXABLE MUNICIPAL BOND & INVESTMENT GRADE DEBT TRUST COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
4037    GBBK 6/17/2022 0.07 GLOBAL BLOCKCHAIN ACQUISITION CORP. COMMON STOCK Blank Checks Finance
4038    GBBKR 6/17/2022 0.1 GLOBAL BLOCKCHAIN ACQUISITION CORP. RIGHT Blank Checks Finance
4039    GBBKW 6/16/2022 0.07
4040    GBCI 1/2/1998 71 GLACIER BANCORP INC. COMMON STOCK Major Banks Finance
4041    GBDC 4/15/2010 41 GOLUB CAPITAL BDC INC. COMMON STOCK Finance: Consumer Services Finance
4042    GBF 1/11/2007 3.04 ISHARES GOVERNMENT/CREDIT BOND ETF Exchange Traded Fund Financial
4043    GBIL 9/14/2016 15 GOLDMAN SACHS ACCESS TREASURY 0-1 YEAR ETF Exchange Traded Fund Financial
4044    GBIO 6/12/2020 9.36 GENERATION BIO CO. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4045    GBLD 4/22/2021 0.18 INVESCO MSCI GREEN BUILDING ETF Exchange Traded Fund Financial
4046    GBLI 11/27/2009 7.36 GLOBAL INDEMNITY GROUP LLC CLASS A COMMON STOCK (DE) Property-Casualty Insurers Finance
4047    GBNY 1/13/2021 0.21
4048    GBR 1/5/1998 9.03 NEW CONCEPT ENERGY INC COMMON STOCK Oil & Gas Production Energy
4049    GBTC 5/4/2015 36 GRAYSCALE BITCOIN TRUST (BTC) COMMON UNITS OF FRACTIONAL UNDIV Exchange Traded Fund Financial
4050    GBTG 11/23/2020 7.39 GLOBAL BUSINESS TRAVEL GROUP INC. CLASS A COMMON STOCK Transportation Services Consumer Discretionary
4051    GBUG 10/8/2019 0.2
4052    GBUY 11/11/2021 0.35 GOLDMAN SACHS FUTURE CONSUMER EQUITY ETF Exchange Traded Fund Financial
4053    GBX 1/2/1998 70 GREENBRIER COMPANIES INC. (THE) COMMON STOCK Railroads Industrials
4054    GCAD 1/4/2023 0.04 GABELLI COMMERCIAL AEROSPACE AND DEFENSE ETF Exchange Traded Fund Financial
4055    GCAL 7/31/2024 0.02 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS DYNAMIC CALIFORNIA MUNIC Exchange Traded Fund Financial
4056    GCBC 10/21/2004 1.75 GREENE COUNTY BANCORP INC. COMMON STOCK Banks Finance
4057    GCC 1/24/2008 14 WISDOMTREE ENHANCEDCONTINUOUS COMMODITY INDEX FUND Exchange Traded Fund Financial
4058    GCI 6/29/2015 36 GANNETT CO. INC. COMMON STOCK Newspapers/Magazines Consumer Discretionary
4059    GCL 2/14/2025 0.18 GCL GLOBAL HOLDINGS LTD ORDINARY SHARES Computer Software: Prepackaged Software Technology
4060    GCLWW 2/14/2025 0.02 GCL GLOBAL HOLDINGS LTD WARRANTS Computer Software: Prepackaged Software Technology
4061    GCMG 2/14/2019 10 GCM GROSVENOR INC. CLASS A COMMON STOCK Investment Managers Finance
4062    GCMGW 1/31/2019 1.23 GCM GROSVENOR INC. WARRANT Investment Managers Finance
4063    GCO 1/2/1998 66 GENESCO INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
4064    GCOR 9/10/2020 1.93 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACCESS U.S. AGGREGATE BO Exchange Traded Fund Financial
4065    GCOW 1/13/2017 9.88 PACER GLOBAL CASH COWS DIVIDEND ETF Exchange Traded Fund Financial
4066    GCT 8/18/2022 9.17 GIGACLOUD TECHNOLOGY INC CLASS A ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
4067    GCTK 11/7/2016 2.78 GLUCOTRACK INC. COMMON STOCK Medical/Dental Instruments Health Care
4068    GCTS 12/27/2021 1.86 GCT SEMICONDUCTOR HOLDING INC. COMMON STOCK Semiconductors Technology
4069    GCV 1/2/1998 8.98 GABELLI CONVERTIBLE AND INCOME SECURITIES FUND INC. (THE) COMMON STOCK Finance/Investors Services Finance
4070    GD 1/2/1998 122 GENERAL DYNAMICS CORPORATION COMMON STOCK Marine Transportation Industrials
4071    GDC 12/29/2015 6.37 GD CULTURE GROUP LIMITED COMMON STOCK Steel/Iron Ore Industrials
4072    GDDY 4/1/2015 40 GODADDY INC. CLASS A COMMON STOCK EDP Services Technology
4073    GDEC 12/18/2023 0.43 FT VEST U.S. EQUITY MODERATE BUFFER ETF - DECEMBER Exchange Traded Fund Financial
4074    GDEN 5/2/2007 25 GOLDEN ENTERTAINMENT INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
4075    GDEV 3/16/2023 0.25 GDEV INC. ORDINARY SHARES EDP Services Technology
4076    GDEVW 8/27/2021 0.14
4077    GDHG 4/12/2023 4.05 GOLDEN HEAVEN GROUP HOLDINGS LTD. CLASS A ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
4078    GDIV 5/23/2022 0.79 HARBOR ETF TRUST HARBOR DIVIDEND GROWTH LEADERS ETF Exchange Traded Fund Financial
4079    GDL 4/23/2007 10 GDL FUND THE COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
4080    GDL.C 3/27/2018 0.22 THE GDL FUND SERIES C CUMULATIVE PUTTABLE AND CALLABLE PREFERRED SHARES
4081    GDMA 11/15/2018 0.72 GADSDENA DYNAMICA MULTI-ASSETA ETF Exchange Traded Fund Financial
4082    GDO 11/24/2009 11 WESTERN ASSET GLOBAL CORPORATE OPPORTUNITY FUND INC. COMMON STOCK Finance Companies Finance
4083    GDOC 11/11/2021 0.25 GOLDMAN SACHS FUTURE HEALTH CARE EQUITY ETF Exchange Traded Fund Financial
4084    GDOT 7/22/2010 45 GREEN DOT CORPORATION CLASS A COMMON STOCK $0.001 PAR VALUE Finance: Consumer Services Finance
4085    GDRX 9/23/2020 18 GOODRX HOLDINGS INC. CLASS A COMMON STOCK EDP Services Technology
4086    GDS 11/2/2016 30 GDS HOLDINGS LIMITED ADS Computer Software: Programming Data Processing Technology
4087    GDST 4/14/2022 0.09 GOLDENSTONE ACQUISITION LIMITED COMMON STOCK Blank Checks Finance
4088    GDSTR 4/14/2022 0.04 GOLDENSTONE ACQUISITION LIMITED RIGHTS Blank Checks Finance
4089    GDSTW 4/14/2022 0.06 GOLDENSTONE ACQUISITION LIMITED WARRANTS Blank Checks Finance
4090    GDTC 4/14/2023 0.61 CYTOMED THERAPEUTICS LIMITED ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4091    GDV 11/25/2003 47 GABELLI DIVIDEND & INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
4092    GDV.H 6/12/2019 0.6 THE GABELLI DIVIDEND & INCOME TRUST 5.375% SERIES H CUMULATIVE PREFERRED SHARES
4093    GDV.K 10/11/2021 0.98 THE GABELLI DIVIDEND & INCOME TRUST 4.250% SERIES K CUMULATIVE PREFERRED SHARES
4094    GDX 5/22/2006 113 VANECK GOLD MINERS ETF Exchange Traded Fund Financial
4095    GDXD 12/3/2020 9.93 MICROSECTORS GOLD MINERS -3X INVERSE LEVERAGED ETNS Exchange Traded Fund Financial
4096    GDXJ 11/11/2009 82 VANECK JUNIOR GOLD MINERS ETF Exchange Traded Fund Financial
4097    GDXU 12/3/2020 14 MICROSECTORS GOLD MINERS 3X LEVERAGED ETN Exchange Traded Fund Financial
4098    GDXY 5/21/2024 0.72 TIDAL TRUST II YIELDMAX GOLD MINERS OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
4099    GDYN 10/5/2018 13 GRID DYNAMICS HOLDINGS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
4100    GE 1/2/1998 160 GE AEROSPACE COMMON STOCK Consumer Electronics/Appliances Technology
4101    GECC 11/4/2016 5.29 GREAT ELM CAPITAL CORP. COMMON STOCK Finance: Consumer Services Finance
4102    GECCH 9/26/2024 0.05 GREAT ELM CAPITAL CORP. 8.125% NOTES DUE 2029
4103    GECCI 4/18/2024 0.04 GREAT ELM CAPITAL CORP. 8.50% NOTES DUE 2029 Finance Companies Finance
4104    GECCO 6/24/2021 0.14 GREAT ELM CAPITAL CORP. 5.875% NOTES DUE 2026 Finance Companies Finance
4105    GECCZ 8/17/2023 0.11 GREAT ELM CAPITAL CORP. 8.75% NOTES DUE 2028 Finance Companies Finance
4106    GEF 10/7/2002 56 GREIF INC. CLASS A COMMON STOCK
4107    GEF.B 3/2/2006 5.11
4108    GEG 3/9/2007 13 GREAT ELM GROUP INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4109    GEGGL 6/21/2022 0.14 GREAT ELM GROUP INC. 7.25% NOTES DUE 2027 Finance: Consumer Services Finance
4110    GEHC 12/15/2022 11 GE HEALTHCARE TECHNOLOGIES INC. COMMON STOCK Medical Electronics Health Care
4111    GEL 2/1/2001 56 GENESIS ENERGY L.P. COMMON UNITS Oil Refining/Marketing Energy
4112    GELS 10/29/2024 0.31 GELTEQ LIMITED ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4113    GEM 9/29/2015 12 GOLDMAN SACHS ACTIVEBETA EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
4114    GEMD 2/18/2022 0.38 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACCESS EMERGING MARKETS Exchange Traded Fund Financial
4115    GEN 5/2/2001 88 GEN DIGITAL INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4116    GENC 12/20/2007 6.06 GENCOR INDUSTRIES INC. COMMON STOCK Construction/Ag Equipment/Trucks Industrials
4117    GENI 10/5/2020 17 GENIUS SPORTS LIMITED ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
4118    GENK 6/28/2023 1.33 GEN RESTAURANT GROUP INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
4119    GENM 5/22/2024 0.01 SPINNAKER ETF SERIES GENTER CAPITAL MUNICIPAL QUALITY INTERMED Exchange Traded Fund Financial
4120    GENT 5/16/2006 4.07 SPINNAKER ETF SERIES GENTER CAPITAL TAXABLE QUALITY INTERMEDIA Exchange Traded Fund Financial
4121    GEO 1/2/1998 81 GEO GROUP INC (THE) REIT Homebuilding Consumer Discretionary
4122    GEOS 1/2/1998 25 GEOSPACE TECHNOLOGIES CORPORATION COMMON STOCK (TEXAS) Industrial Machinery/Components Industrials
4123    GERN 1/2/1998 98 GERON CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4124    GES 1/2/1998 98 GUESS INC. COMMON STOCK Apparel Consumer Discretionary
4125    GETR 4/26/2021 3.98
4126    GETY 7/25/2022 6.74 GETTY IMAGES HOLDINGS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
4127    GEV 4/1/2024 4.98 GE VERNOVA INC. COMMON STOCK
4128    GEVO 2/9/2011 49 GEVO INC. COMMON STOCK Major Chemicals Industrials
4129    GF 1/2/1998 11 NEW GERMANY FUND INC. (THE) COMMON STOCK Investment Managers Finance
4130    GFAI 9/29/2021 10 GUARDFORCE AI CO. LIMITED ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
4131    GFAIW 9/29/2021 0.3 GUARDFORCE AI CO. LIMITED WARRANT Diversified Commercial Services Consumer Discretionary
4132    GFEB 2/21/2023 0.7 FT VEST U.S. EQUITY MODERATE BUFFER ETF - FEBRUARY Exchange Traded Fund Financial
4133    GFF 1/2/1998 63 GRIFFON CORPORATION COMMON STOCK Building Products Industrials
4134    GFGF 12/16/2021 0.12 GURU FAVORITE STOCKS ETF Exchange Traded Fund Financial
4135    GFI 5/10/2002 114 GOLD FIELDS LIMITED AMERICAN DEPOSITARY SHARES Precious Metals Basic Materials
4136    GFL 3/3/2020 21 GFL ENVIRONMENTAL INC. SUBORDINATE VOTING SHARES NO PAR VALUE Environmental Services Utilities
4137    GFLW 12/4/2024 0.02 VICTORYSHARES FREE CASH FLOW GROWTH ETF Exchange Traded Fund Financial
4138    GFR 9/21/2023 0.88 GREENFIRE RESOURCES LTD. COMMON SHARES Oil & Gas Production Energy
4139    GFS 10/28/2021 15 GLOBALFOUNDRIES INC. ORDINARY SHARES Semiconductors Technology
4140    GGAL 12/11/2002 60 GRUPO FINANCIERO GALICIA S.A. AMERICAN DEPOSITARY SHARES Commercial Banks Finance
4141    GGB 3/10/1999 101 GERDAU S.A. COMMON STOCK Steel/Iron Ore Industrials
4142    GGG 1/2/1998 86 GRACO INC. COMMON STOCK Fluid Controls Industrials
4143    GGLL 9/7/2022 5.82 DIREXION DAILY GOOGL BULL 2X SHARES Exchange Traded Fund Financial
4144    GGLS 9/16/2022 1.63 DIREXION DAILY GOOGL BEAR 1X SHARES Exchange Traded Fund Financial
4145    GGM 9/26/2023 0.03 NORTHERN LIGHTS FUND TRUST II GGM MACRO ALIGNMENT ETF Exchange Traded Fund Financial
4146    GGME 5/16/2007 7.83 INVESCO NEXT GEN MEDIA AND GAMING ETF Exchange Traded Fund Financial
4147    GGN 3/29/2005 51 GAMCO GLOBAL GOLD NATURAL RESOURCES & INCOME TRUST Finance/Investors Services Finance
4148    GGN.B 5/13/2013 1.23 GAMCO GLOBAL GOLD NATURAL REOURCES & INCOME TRUST 5.00% SERIES B CUMULATIVE 25.00 LIQUIDATION PREFERENCE
4149    GGR 5/6/2004 16 GOGORO INC. ORDINARY SHARES Auto Manufacturing Consumer Discretionary
4150    GGROW 4/5/2022 0.55 GOGORO INC. WARRANT Auto Manufacturing Consumer Discretionary
4151    GGRW 2/16/2021 0.1 GABELLI GROWTH INNOVATORS ETF Exchange Traded Fund Financial
4152    GGT 1/2/1998 18 GABELLI MULTI-MEDIA TRUST INC. (THE) COMMON STOCK Trusts Except Educational Religious and Charitable Finance
4153    GGT.E 9/29/2017 0.4 GABELLI MULTI-MEDIA TRUST INC. (THE) 5.125% SERIES E CUMULATIVE PREFERRED STOCK
4154    GGT.G 12/24/2019 0.37 GABELLI MULTI-MEDIA TRUST INC. (THE) 5.125% SERIES G CUMULATIVE PREFERRED SHARES
4155    GGUS 3/13/2024 0.05 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA RUSSELL 1000 Exchange Traded Fund Financial
4156    GGZ 6/12/2014 4.07 GABELLI GLOBAL SMALL AND MID CAP VALUE TRUST (THE) COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
4157    GH 10/4/2018 27 GUARDANT HEALTH INC. COMMON STOCK Medical Specialities Health Care
4158    GHC 5/16/2007 15 GRAHAM HOLDINGS COMPANY COMMON STOCK Other Consumer Services Real Estate
4159    GHG 3/27/2018 5.92 GREENTREE HOSPITALITY GROUP LTD. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Hotels/Resorts Consumer Discretionary
4160    GHI 1/2/1998 21 GREYSTONE HOUSING IMPACT INVESTORS LP BENEFICIAL UNIT CERTIFICATES REPRESENTING ASSIGNMENTS OF LIMITED PARTNERSHIP INTERESTS Finance: Consumer Services Finance
4161    GHLD 10/22/2020 1.41 GUILD HOLDINGS COMPANY CLASS A COMMON STOCK Finance: Consumer Services Finance
4162    GHM 1/2/1998 20 GRAHAM CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
4163    GHMS 11/15/2023 0.04 COLLABORATIVE INVESTMENT SERIES TRUST GOOSE HOLLOW MULTI-STRAT Exchange Traded Fund Financial
4164    GHRS 6/25/2021 3.01 GH RESEARCH PLC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4165    GHTA 11/17/2021 0.16 GOOSE HOLLOW TACTICAL ALLOCATION ETF Exchange Traded Fund Financial
4166    GHY 12/24/2012 22 PGIM GLOBAL HIGH YIELD FUND INC. Trusts Except Educational Religious and Charitable Finance
4167    GHYB 9/25/2017 1.52 GOLDMAN SACHS ACCESS HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
4168    GHYG 4/9/2012 3.79 ISHARES US & INTL HIGH YIELD CORP BOND ETF Exchange Traded Fund Financial
4169    GIAX 7/30/2024 0.32 TIDAL TRUST II NICHOLAS GLOBAL EQUITY AND INCOME ETF Exchange Traded Fund Financial
4170    GIB 10/7/1998 51 CGI INC. COMMON STOCK Professional Services Consumer Discretionary
4171    GIC 5/16/2007 14 GLOBAL INDUSTRIAL COMPANY COMMON STOCK Industrial Machinery/Components Industrials
4172    GIFI 1/2/1998 29 GULF ISLAND FABRICATION INC. COMMON STOCK Metal Fabrications Industrials
4173    GIFT 5/16/2007 0.88 GIFTIFY INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
4174    GIG 1/17/2018 0.53 GIGCAPITAL7 CORP. CLASS A ORDINARY SHARE Blank Checks Finance
4175    GIGB 6/8/2017 4.13 GOLDMAN SACHS ACCESS INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
4176    GIGGU 2/9/2021 0.41 GIGCAPITAL7 CORP. UNIT Computer Software: Prepackaged Software Technology
4177    GIGGW 4/1/2021 0.31 GIGCAPITAL7 CORP. WARRANT Blank Checks Finance
4178    GIGM 2/18/2000 29 GIGAMEDIA LIMITED ORDINARY SHARES Computer Software: Programming Data Processing Technology
4179    GII 1/31/2007 5.17 SPDR S&P GLOBAL INFRASTRUCTURE ETF Exchange Traded Fund Financial
4180    GIII 1/2/1998 56 G-III APPAREL GROUP LTD. COMMON STOCK Apparel Consumer Discretionary
4181    GIL 9/1/1999 79 GILDAN ACTIVEWEAR INC. CLASS A SUB. VOT. COMMON STOCK Apparel Consumer Discretionary
4182    GILD 1/2/1998 136 GILEAD SCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4183    GILT 4/26/2006 22 GILAT SATELLITE NETWORKS LTD. ORDINARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
4184    GINN 11/9/2020 1.41 GOLDMAN SACHS INNOVATE EQUITY ETF Exchange Traded Fund Financial
4185    GINX 2/29/2024 0.12 SGI ENHANCED GLOBAL INCOME ETF Exchange Traded Fund Financial
4186    GIPR 10/5/2021 1.06 GENERATION INCOME PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4187    GIPRW 10/5/2021 0.09 GENERATION INCOME PROPERTIES INC WARRANT Real Estate Investment Trusts Real Estate
4188    GIS 1/2/1998 126 GENERAL MILLS INC. COMMON STOCK Packaged Foods Consumer Staples
4189    GITS 8/1/2023 2.21 GLOBAL INTERACTIVE TECHNOLOGIES INC. COMMON STOCK Computer Software: Programming Data Processing Technology
4190    GJAN 1/23/2023 0.59 FT VEST U.S. EQUITY MODERATE BUFFER ETF - JANUARY Exchange Traded Fund Financial
4191    GJH 5/5/2004 0.69
4192    GJO 11/21/2005 0.56 SYNTHETIC FIXED-INCOME SECURITIES INC. ON BEHALF OF STRATS(SM) TRUST FOR WAL-MART STORES INC. SECURITIES SERIES 2004-5 Finance: Consumer Services Finance
4193    GJP 12/27/2007 0.31 SYNTHETIC FIXED-INCOME SECURITIES INC. ON BEHALF OF STRATS (SM) TRUST FOR DOMINION RESOURCES INC. SECURITIES SERIES 2005-6 FLOATING RATE STRUCTURED REPACKAGED ASSET-BACKED TRUST SECURITIES (STRATS) CERTIFICATES Finance: Consumer Services Finance
4194    GJR 12/27/2007 0.3 SYNTHETIC FIXED-INCOME SECURITIES INC. STRATS TRUST FOR PROCTER&GAMBLE SECURITIES SERIES 2006-1 Finance: Consumer Services Finance
4195    GJS 4/28/2006 0.76 GOLDMAN SACHS GROUP SECURITIES STRATS TRUST FOR GOLDMAN SACHS GROUP SECURITIES SERIES 2006-2 Finance: Consumer Services Finance
4196    GJT 8/2/2007 0.51 SYNTHETIC FIXED-INCOME SECURITIES INC. FLOATING RATE STRUCTURED REPACKAGED ASSET-BACKED TRUST SECURITIES CERTIFICATES SERIES 2006-3 Finance: Consumer Services Finance
4197    GJUL 7/24/2023 0.63 FT VEST U.S. EQUITY MODERATE BUFFER ETF - JULY Exchange Traded Fund Financial
4198    GJUN 6/20/2023 0.68 FT VEST U.S. EQUITY MODERATE BUFFER ETF - JUNE Exchange Traded Fund Financial
4199    GK 7/2/2021 0.63 ADVISORSHARES GERBER KAWASAKI ETF Exchange Traded Fund Financial
4200    GKOS 6/25/2015 30 GLAUKOS CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
4201    GL 5/1/2007 73 GLOBE LIFE INC. COMMON STOCK Life Insurance Finance
4202    GL.D 6/21/2021 1.09 GLOBE LIFE INC. 4.25% JUNIOR SUBORDINATED DEBENTURES DUE 2061
4203    GLAC 8/8/2018 0.13 GLOBAL LIGHTS ACQUISITION CORP ORDINARY SHARES
4204    GLACR 8/8/2018 0.07
4205    GLACU 7/25/2018 0.05
4206    GLAD 8/2/2002 37 GLADSTONE CAPITAL CORPORATION COMMON STOCK Textiles Consumer Discretionary
4207    GLADZ 8/18/2023 0.21 GLADSTONE CAPITAL CORPORATION 7.75% NOTES DUE 2028
4208    GLBE 5/16/2007 16 GLOBAL-E ONLINE LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
4209    GLBL 9/19/2024 0.01
4210    GLBS 11/26/2010 15 GLOBUS MARITIME LIMITED COMMON STOCK Marine Transportation Consumer Discretionary
4211    GLBZ 1/20/2004 0.66 GLEN BURNIE BANCORP COMMON STOCK Major Banks Finance
4212    GLD 11/18/2004 126 SPDR GOLD TRUST Exchange Traded Fund Financial
4213    GLDD 12/27/2006 45 GREAT LAKES DREDGE & DOCK CORPORATION COMMON STOCK Military/Government/Technical Industrials
4214    GLDG 10/6/2020 10 GOLDMINING INC. COMMON SHARES Precious Metals Basic Materials
4215    GLDI 1/29/2013 4.8 UBS AG Exchange Traded Fund Financial
4216    GLDM 6/26/2018 24 SPDR GOLD MINISHARES TRUST Exchange Traded Fund Financial
4217    GLE 9/20/2024 0.29 GLOBAL ENGINE GROUP HOLDING LIMITED ORDINARY SHARES EDP Services Technology
4218    GLIN 8/25/2010 11 VANECK INDIA GROWTH LEADERS ETF Exchange Traded Fund Financial
4219    GLL 12/3/2008 22 PROSHARES ULTRASHORT GOLD Exchange Traded Fund Financial
4220    GLLI 12/23/2021 0.07
4221    GLLIR 12/23/2021 0.07
4222    GLLIU 12/7/2021 0.04
4223    GLLIW 12/23/2021 0.1
4224    GLMD 3/13/2014 8.82 GALMED PHARMACEUTICALS LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4225    GLNG 7/15/2003 79 GOLAR LNG LTD Marine Transportation Consumer Discretionary
4226    GLO 5/2/2006 28 CLOUGH GLOBAL OPPORTUNITIES FUND COMMON STOCK Finance/Investors Services Finance
4227    GLOB 7/18/2014 29 GLOBANT S.A. COMMON SHARES EDP Services Technology
4228    GLOF 3/1/2023 0.22 ISHARES GLOBAL EQUITY FACTOR ETF Exchange Traded Fund Financial
4229    GLOP.A 5/17/2017 2.51 GASLOG PARTNERS LP 8.625% SERIES A CUMULATIVE REDEEMABLE PERPETUAL FIXED TO FLOATING RATE PREFERENCE UNITS
4230    GLOP.B 1/19/2018 1.9 GASLOG PARTNERS LP 8.200% SERIES B CUMULATIVE REDEEMABLE PERPETUAL FIXED TO FLOATING RATE PREFERENCE UNITS
4231    GLOP.C 11/19/2018 1.71 GASLOG PARTNERS LP 8.500% SERIES C CUMULATIVE REDEEMABLE PERPETUAL FIXED TO FLOATING RATE PREFERENCE UNITS
4232    GLOV 3/18/2022 0.52 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVEBETA WORLD LOW VOL Exchange Traded Fund Financial
4233    GLOW 5/16/2007 3.43 VICTORYSHARES WESTEND GLOBAL EQUITY ETF Exchange Traded Fund Financial
4234    GLP 9/29/2005 24 GLOBAL PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Oil Refining/Marketing Energy
4235    GLP.B 3/25/2021 0.83 GLOBAL PARTNERS LP 9.50% SERIES B FIXED RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS REPRESENTING LIMITED PARTNER INTERESTS
4236    GLPG 5/14/2015 19 GALAPAGOS NV AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4237    GLPI 10/14/2013 50 GAMING AND LEISURE PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4238    GLQ 4/27/2005 17 CLOUGH GLOBAL EQUITY FUND CLOUGH GLOBAL EQUITY FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
4239    GLRE 5/24/2007 30 GREENLIGHT CAPITAL RE LTD. CLASS A ORDINARY SHARES Property-Casualty Insurers Finance
4240    GLRY 12/9/2020 0.42 NORTHERN LIGHTS FUND TRUST IV INSPIRE MOMENTUM ETF Exchange Traded Fund Financial
4241    GLSI 9/25/2020 4 GREENWICH LIFESCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4242    GLST 11/10/2022 0.1
4243    GLSTR 11/14/2022 0.07
4244    GLSTU 9/20/2022 0.05
4245    GLSTW 11/14/2022 0.06
4246    GLTO 10/29/2020 3.57 GALECTO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4247    GLTR 10/22/2010 9.16 ABRDN PHYSICAL PRECIOUS METALS BASKET SHARES ETF Exchange Traded Fund Financial
4248    GLU 5/26/2004 5.12 GABELLI GLOBAL UTILITY COMMON SHARES OF BENEFICIAL OWNERSHIP Finance/Investors Services Finance
4249    GLU.A 6/24/2013 0.2
4250    GLU.B 12/20/2018 0.32 THE GABELLI GLOBAL UTILITY AND INCOME TRUST SERIES B CUMULATIVE PUTTABLE AND CALLABLE PREFERRED SHARES
4251    GLUE 6/24/2021 6.77 MONTE ROSA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4252    GLV 7/28/2004 10 CLOUGH GLOBAL DIVIDEND AND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
4253    GLW 1/2/1998 136 CORNING INCORPORATED COMMON STOCK Telecommunications Equipment Industrials
4254    GLXG 9/12/2024 0.82 GALAXY PAYROLL GROUP LIMITED ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
4255    GLYC 1/10/2014 21 GLYCOMIMETICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4256    GM 11/18/2010 79 GENERAL MOTORS COMPANY COMMON STOCK Auto Manufacturing Consumer Discretionary
4257    GMAB 7/18/2019 20 GENMAB A/S ADS Biotechnology: Pharmaceutical Preparations Health Care
4258    GMAR 3/20/2023 0.58 FT VEST U.S. EQUITY MODERATE BUFFER ETF - MARCH Exchange Traded Fund Financial
4259    GMAY 5/22/2023 0.41 FT VEST U.S. EQUITY MODERATE BUFFER ETF - MAY Exchange Traded Fund Financial
4260    GMBL 7/20/2017 14
4261    GMBLP 11/17/2021 0.23
4262    GMBLW 4/14/2020 0.38
4263    GMBLZ 3/14/2022 0.08
4264    GME 5/10/2002 109 GAMESTOP CORPORATION COMMON STOCK Electronics Distribution Consumer Discretionary
4265    GMED 8/3/2012 44 GLOBUS MEDICAL INC. CLASS A COMMON STOCK Medical/Dental Instruments Health Care
4266    GMET 11/11/2021 0.58 VANECK GREEN METALS ETF Exchange Traded Fund Financial
4267    GMF 3/23/2007 11 SPDR S&P EMERGING ASIA PACIFIC ETF Exchange Traded Fund Financial
4268    GMGI 10/30/2009 5.16 GOLDEN MATRIX GROUP INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4269    GMHS 1/27/2025 0.16 GAMEHAUS HOLDINGS INC. CLASS A ORDINARY SHARES EDP Services Technology
4270    GMM 3/23/2007 5.24 GLOBAL MOFY AI LIMITED CLASS A ORDINARY SHARES Computer Software: Programming Data Processing Technology
4271    GMMA 9/17/2024 0.02 TIDAL TRUST III GAMMAROAD MARKET NAVIGATION ETF Exchange Traded Fund Financial
4272    GMNY 9/13/2024 0.01 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS DYNAMIC NEW YORK MUNICIP Exchange Traded Fund Financial
4273    GMOI 10/29/2024 0.15 THE 2023 ETF SERIES TRUST II GMO INTERNATIONAL VALUE ETF Exchange Traded Fund Financial
4274    GMOM 12/19/2018 1.38 CAMBRIA GLOBAL MOMENTUM ETF Exchange Traded Fund Financial
4275    GMOV 10/29/2024 0.11 THE 2023 ETF SERIES TRUST II GMO US VALUE ETF Exchange Traded Fund Financial
4276    GMRE 6/30/2016 23 GLOBAL MEDICAL REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4277    GMRE.A 9/21/2017 1.09 GLOBAL MEDICAL REIT INC. SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
4278    GMS 5/26/2016 23 GMS INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
4279    GMUB 7/25/2024 0.02 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MUNICIPAL INCOME ETF Exchange Traded Fund Financial
4280    GMUN 11/9/2023 0.01 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS COMMUNITY MUNICIPAL BOND Exchange Traded Fund Financial
4281    GNE 10/26/2011 17 GENIE ENERGY LTD. CLASS B COMMON STOCK STOCK Power Generation Utilities
4282    GNFT 3/27/2019 2.69 GENFIT S.A. AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4283    GNK 7/20/2015 28 GENCO SHIPPING & TRADING LIMITED ORDINARY SHARES NEW (MARSHALL ISLANDS) Marine Transportation Consumer Discretionary
4284    GNL 6/2/2015 37 GLOBAL NET LEASE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4285    GNL.A 9/13/2017 1.87 GLOBAL NET LEASE INC. 7.25% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK $0.01 PAR VALUE PER SHARE
4286    GNL.B 11/29/2019 1.17 GLOBAL NET LEASE INC. 6.875% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
4287    GNL.D 9/12/2023 0.36 GLOBAL NET LEASE INC. 7.50% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
4288    GNL.E 9/13/2023 0.25 GLOBAL NET LEASE INC. 7.375% SERIES E CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
4289    GNLN 4/18/2019 12 GREENLANE HOLDINGS INC. CLASS A COMMON STOCK Durable Goods Consumer Discretionary
4290    GNLX 1/26/2023 2.68 GENELUX CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4291    GNMA 2/21/2012 4.57 ISHARES GNMA BOND ETF Exchange Traded Fund Financial
4292    GNOM 4/10/2019 4.73 GLOBAL X GENOMICS & BIOTECHNOLOGY ETF Exchange Traded Fund Financial
4293    GNOV 11/20/2023 0.31 FT VEST U.S. EQUITY MODERATE BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
4294    GNPX 3/29/2018 12 GENPREX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4295    GNR 9/14/2010 19 SPDR S&P GLOBAL NATURAL RESOURCES ETF Exchange Traded Fund Financial
4296    GNRC 2/11/2010 54 GENERAC HOLDLINGS INC. COMMON STOCK Metal Fabrications Consumer Discretionary
4297    GNS 4/12/2022 11 GENIUS GROUP LIMITED ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
4298    GNSS 5/16/2007 11 GENASYS INC. COMMON STOCK Consumer Electronics/Appliances Consumer Staples
4299    GNT 1/27/2011 14 GAMCO NATURAL RESOURCES GOLD & INCOME TRUST Finance/Investors Services Finance
4300    GNT.A 10/24/2017 0.38 GAMCO NATURAL RESOURCES GOLD & INCOME TUST 5.20% SERIES A CUMULATIVE PREFERRED SHARES (LIQUIDATION PREFERENCE $25.00 PER SHARE)
4301    GNTA 12/15/2021 0.27 GENENTA SCIENCE S.P.A. AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4302    GNTX 1/2/1998 112 GENTEX CORPORATION COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
4303    GNTY 5/9/2017 2.93 GUARANTY BANCSHARES INC. COMMON STOCK Major Banks Finance
4304    GNW 5/25/2004 88 GENWORTH FINANCIAL INC COMMON STOCK Life Insurance Finance
4305    GO 6/20/2019 22 GROCERY OUTLET HOLDING CORP. COMMON STOCK Food Chains Consumer Staples
4306    GOAU 6/29/2017 4.01 US GLOBAL GO GOLD AND PRECIOUS METAL MINERS ETF Exchange Traded Fund Financial
4307    GOCO 7/15/2020 11 GOHEALTH INC. CLASS A COMMON STOCK Specialty Insurers Finance
4308    GOCT 10/23/2023 0.29 FT VEST U.S. EQUITY MODERATE BUFFER ETF - OCTOBER Exchange Traded Fund Financial
4309    GOEX 11/4/2010 5.7 GLOBAL X GOLD EXPLORERS ETF Exchange Traded Fund Financial
4310    GOF 7/27/2007 29 GUGGENHEIM STRATEGIC OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
4311    GOGL 5/4/2007 56 GOLDEN OCEAN GROUP LIMITED COMMON STOCK Marine Transportation Consumer Discretionary
4312    GOGO 6/21/2013 44 GOGO INC. COMMON STOCK Telecommunications Equipment Consumer Discretionary
4313    GOLD 4/27/2007 108 BARRICK GOLD CORPORATION COMMON STOCK (BC) Precious Metals Basic Materials
4314    GOLF 10/28/2016 22 ACUSHNET HOLDINGS CORP. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
4315    GOLY 2/1/2024 0.11 STRATEGY SHARES GOLD ENHANCED YIELD ETF Exchange Traded Fund Financial
4316    GOOD 8/14/2003 32 GLADSTONE COMMERCIAL CORPORATION REAL ESTATE INVESTMENT TRUST Real Estate Real Estate
4317    GOODN 10/4/2019 0.89 GLADSTONE COMMERCIAL CORPORATION 6.625% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Real Estate
4318    GOODO 10/25/2006 1.14 GLADSTONE COMMERCIAL CORPORATION 6.00% SERIES G CUMULATIVE REDEEMABLE PREFERRED STOCK PAR VALUE $0.001 PER SHARE Real Estate Real Estate
4319    GOOG 3/27/2014 63 ALPHABET INC. CLASS C CAPITAL STOCK Computer Software: Programming Data Processing Technology
4320    GOOGL 8/19/2004 124 ALPHABET INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
4321    GOOP 10/31/2023 0.11 KURV YIELD PREMIUM STRATEGY GOOGLE (GOOGL) ETF Exchange Traded Fund Financial
4322    GOOS 3/16/2017 33 CANADA GOOSE HOLDINGS INC. SUBORDINATE VOTING SHARES Apparel Consumer Discretionary
4323    GOOX 1/11/2024 0.59 ETF OPPORTUNITIES TRUST T-REX 2X LONG ALPHABET DAILY TARGET ET Exchange Traded Fund Financial
4324    GOOY 7/28/2023 1.63 TIDAL ETF TRUST II YIELDMAX GOOGL OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
4325    GORO 9/14/2006 50 GOLD RESOURCE CORPORATION COMMON STOCK Precious Metals Basic Materials
4326    GORV 3/16/2018 6.17 LAZYDAYS HOLDINGS INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
4327    GOSS 2/8/2019 20 GOSSAMER BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4328    GOTU 6/6/2019 26 GAOTU TECHEDU INC. AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
4329    GOVI 10/11/2007 6.58 INVESCO EQUAL WEIGHT 0-30 YEAR TREASURY ETF Exchange Traded Fund Financial
4330    GOVT 2/24/2012 39 ISHARES U.S. TREASURY BOND ETF Exchange Traded Fund Financial
4331    GOVX 9/25/2020 11 GEOVAX LABS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4332    GOVXW 9/25/2020 0.39 GEOVAX LABS INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
4333    GOVZ 9/25/2020 4.64 ISHARES 25 YEAR TREASURY STRIPS BOND ETF Exchange Traded Fund Financial
4334    GP 8/28/2020 7.01 GREENPOWER MOTOR COMPANY INC. COMMON SHARES Construction/Ag Equipment/Trucks Consumer Discretionary
4335    GPAK 10/9/2023 0.77
4336    GPAT 7/1/2024 0.04 GP-ACT III ACQUISITION CORP. CLASS A ORDINARY SHARE
4337    GPATU 5/9/2024 0.05
4338    GPATW 7/1/2024 0.02
4339    GPC 1/2/1998 110 GENUINE PARTS COMPANY COMMON STOCK Automotive Aftermarket Consumer Discretionary
4340    GPCR 2/3/2023 6.07 STRUCTURE THERAPEUTICS INC. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4341    GPI 1/2/1998 72 GROUP 1 AUTOMOTIVE INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
4342    GPIQ 10/27/2023 1.18 GOLDMAN SACHS NASDAQ-100 CORE PREMIUM INCOME ETF Exchange Traded Fund Financial
4343    GPIX 10/27/2023 1.19 GOLDMAN SACHS S&P 500 CORE PREMIUM INCOME ETF Exchange Traded Fund Financial
4344    GPJA 11/28/2018 2.19 GEORGIA POWER COMPANY SERIES 2017A 5.00% JUNIOR SUBORDINATED NOTES DUE OCTOBER 1 2077 Electric Utilities: Central Utilities
4345    GPK 3/1/2000 86 GRAPHIC PACKAGING HOLDING COMPANY Containers/Packaging Consumer Discretionary
4346    GPMT 6/26/2017 24 GRANITE POINT MORTGAGE TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4347    GPMT.A 12/2/2021 0.78 GRANITE POINT MORTGAGE TRUST INC. 7.00% SERIES A FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
4348    GPN 2/1/2001 101 GLOBAL PAYMENTS INC. COMMON STOCK Business Services Consumer Discretionary
4349    GPOR 2/28/2006 63 GULFPORT ENERGY CORPORATION COMMON SHARES Oil & Gas Production Energy
4350    GPRE 3/15/2006 55 GREEN PLAINS INC. COMMON STOCK Major Chemicals Industrials
4351    GPRF 8/1/2024 0.02 GOLDMAN SACHS ACCESS U.S. PREFERRED STOCK AND HYBRID SECURITIE Exchange Traded Fund Financial
4352    GPRK 2/7/2014 20 GEOPARK LTD COMMON SHARES Oil & Gas Production Energy
4353    GPRO 6/26/2014 50 GOPRO INC. CLASS A COMMON STOCK Industrial Machinery/Components Consumer Discretionary
4354    GPUS 1/3/2023 9.75 HYPERSCALE DATA INC. COMMON STOCK Industrial Machinery/Components Technology
4355    GPUS.D 1/3/2023 0.14 HYPERSCALE DATA INC. 13.00% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
4356    GQI 12/13/2023 0.2 NATIXIS ETF TRUST NATIXIS GATEWAY QUALITY INCOME ETF Exchange Traded Fund Financial
4357    GQQQ 10/1/2024 0.06 ASTORIA US QUALITY GROWTH KINGS ETF Exchange Traded Fund Financial
4358    GQRE 11/6/2013 2.3 FLEXSHARES GLOBAL QUALITY REAL ESTATE INDEX FUND Exchange Traded Fund Financial
4359    GRAB 12/2/2021 17 GRAB HOLDINGS LIMITED CLASS A ORDINARY SHARES Business Services Consumer Discretionary
4360    GRABW 12/2/2021 0.68 GRAB HOLDINGS LIMITED WARRANT Business Services Consumer Discretionary
4361    GRAF 10/26/2018 1.38 GRAF GLOBAL CORP. CLASS A ORDINARY SHARES
4362    GRAF.U 10/16/2018 0.13
4363    GRAL 6/12/2024 2.87 GRAIL INC. COMMON STOCK Medical Specialities Health Care
4364    GRAM 7/24/2013 9.87
4365    GRBK 6/20/2007 31 GREEN BRICK PARTNERS INC. COMMON STOCK Homebuilding Consumer Discretionary
4366    GRBK.A 12/29/2021 0.43 GREEN BRICK PARTNERS INC. DEPOSITARY SHARES (EACH REPRESENTING A 1/1000TH FRACTIONAL INTEREST IN A SHARE OF 5.75% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK)
4367    GRC 1/2/1998 22 GORMAN-RUPP COMPANY (THE) COMMON STOCK Fluid Controls Industrials
4368    GRCE 1/7/2013 18 GRACE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4369    GRDN 9/26/2024 0.6 GUARDIAN PHARMACY SERVICES INC. CLASS A COMMON STOCK Retail-Drug Stores and Proprietary Stores Consumer Staples
4370    GREE 9/16/2021 8.42 GREENIDGE GENERATION HOLDINGS INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
4371    GREEL 10/14/2021 0.56 GREENIDGE GENERATION HOLDINGS INC. 8.50% SENIOR NOTES DUE 2026 Finance: Consumer Services Finance
4372    GREK 12/8/2011 21 GLOBAL X MSCI GREECE ETF Exchange Traded Fund Financial
4373    GRF 10/15/2007 1.44 EAGLE CAPITAL GROWTH FUND INC. COMMON STOCK Finance/Investors Services Finance
4374    GRFS 6/2/2011 48 GRIFOLS S.A. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4375    GRFX 8/17/2022 1.78 GRAPHEX GROUP LIMITED AMERICAN DEPOSITARY SHARES EACH AMERICAN DEPOSITARY SHARE REPRESENTING 20 ORDINARY SHARES Industrial Machinery/Components Energy
4376    GRI 2/10/2021 6.89 GRI BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4377    GRID 11/17/2009 6.3 FIRST TRUST NASDAQ CLEAN EDGE SMART GRID INFRASTRUCTURE INDEX Exchange Traded Fund Financial
4378    GRMN 12/8/2000 103 GARMIN LTD. COMMON STOCK (SWITZERLAND) Industrial Machinery/Components Industrials
4379    GRN 6/26/2008 1.78 NO NAME Exchange Traded Fund Financial
4380    GRNB 3/7/2017 1.35 VANECK GREEN BOND ETF Exchange Traded Fund Financial
4381    GRND 1/14/2021 6.17 GRINDR INC. COMMON STOCK Computer Software: Programming Data Processing Technology
4382    GRNQ 6/13/2018 6.97 GREENPRO CAPITAL CORP. COMMON STOCK EDP Services Technology
4383    GRNT 10/25/2022 5.68 GRANITE RIDGE RESOURCES INC. COMMON STOCK Oil & Gas Production Energy
4384    GRNY 11/7/2024 1.54 TIDAL ETF TRUST FUNDSTRAT GRANNY SHOTS US LARGE CAP ETF Exchange Traded Fund Financial
4385    GRO 11/7/2007 7.28 BRAZIL POTASH CORP. COMMON SHARES Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
4386    GROM 6/17/2021 5.64
4387    GROV 5/13/2021 4.05 GROVE COLLABORATIVE HOLDINGS INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
4388    GROW 2/4/2002 25 U.S. GLOBAL INVESTORS INC. CLASS A COMMON STOCK Investment Managers Finance
4389    GROY 3/9/2021 11 GOLD ROYALTY CORP. COMMON SHARES Precious Metals Basic Materials
4390    GRP.U 4/30/2007 12
4391    GRPM 12/8/2010 2.86 INVESCO S&P MIDCAP 400 GARP ETF Exchange Traded Fund Financial
4392    GRPN 11/4/2011 56 GROUPON INC. COMMON STOCK Advertising Consumer Discretionary
4393    GRPZ 4/1/2024 0.01 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO S&P SMALLCAP 600 Exchange Traded Fund Financial
4394    GRRR 7/14/2022 6.53 GORILLA TECHNOLOGY GROUP INC. ORDINARY SHARES Computer Software: Prepackaged Software Technology
4395    GRRRW 7/14/2022 0.95 GORILLA TECHNOLOGY GROUP INC. WARRANT Computer Software: Prepackaged Software Technology
4396    GRTX 11/7/2019 8.21
4397    GRVY 2/8/2005 8.53 GRAVITY CO. LTD. AMERICAN DEPOSITORY SHARES Business Services Consumer Discretionary
4398    GRW 5/7/2024 0.14 TCW COMPOUNDERS ETF Exchange Traded Fund Financial
4399    GRWG 11/11/2016 23 GROWGENERATION CORP. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
4400    GRX 6/29/2007 10 THE GABELLI HEALTHCARE & WELLNESS TRUST COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
4401    GRYP 2/26/2018 13 GRYPHON DIGITAL MINING INC COMMON STOCK EDP Services Technology
4402    GS 5/4/1999 136 GOLDMAN SACHS GROUP INC. (THE) COMMON STOCK Investment Bankers/Brokers/Service Finance
4403    GS.A 5/16/2007 14 GOLDMAN SACHS GROUP INC. (THE) DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES A
4404    GS.C 5/16/2007 4.67 GOLDMAN SACHS GROUP INC. (THE) DEPOSITARY SHARE REPSTG 1/1000TH PREFERRED SERIES C
4405    GS.D 5/16/2007 19 GOLDMAN SACHS GROUP INC. (THE) DEP SHS REPSTG 1/1000 PFD SER D FLTG
4406    GSAT 11/2/2006 64 GLOBALSTAR INC. COMMON STOCK Telecommunications Equipment Consumer Discretionary
4407    GSBC 1/2/1998 16 GREAT SOUTHERN BANCORP INC. COMMON STOCK Major Banks Finance
4408    GSBD 3/18/2015 26 GOLDMAN SACHS BDC INC. COMMON STOCK Investment Managers Finance
4409    GSC 10/6/2023 0.24 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS SMALL CAP CORE EQUITY ET Exchange Traded Fund Financial
4410    GSEE 5/15/2020 0.13 GOLDMAN SACHS MARKETBETA EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
4411    GSEP 9/18/2023 0.38 FT VEST U.S. EQUITY MODERATE BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
4412    GSEU 3/4/2016 0.94 GOLDMAN SACHS ACTIVEBETA EUROPE EQUITY ETF Exchange Traded Fund Financial
4413    GSEW 9/15/2017 3.65 GOLDMAN SACHS EQUAL WEIGHT U.S. LARGE CAP EQUITY ETF Exchange Traded Fund Financial
4414    GSFP 7/15/2021 0.33 GOLDMAN SACHS FUTURE PLANET EQUITY ETF Exchange Traded Fund Financial
4415    GSG 7/21/2006 42 ISHARES GSCI COMMODITY-INDEXED TRUST FUND Exchange Traded Fund Financial
4416    GSHD 4/27/2018 15 GOOSEHEAD INSURANCE INC. CLASS A COMMON STOCK Specialty Insurers Finance
4417    GSIB 12/15/2023 0.06 THEMES GLOBAL SYSTEMICALLY IMPORTANT BANKS ETF Exchange Traded Fund Financial
4418    GSID 5/15/2020 0.24 GOLDMAN SACHS MARKETBETA INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
4419    GSIE 11/10/2015 20 GOLDMAN SACHS ACTIVEBETA INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
4420    GSIG 6/6/2005 15 GOLDEN SACHS ETF TRUST GOLDMAN SACHS ACCESS INVESTMENT GRADE C Exchange Traded Fund Financial
4421    GSIT 3/29/2007 15 GSI TECHNOLOGY COMMON STOCK Semiconductors Technology
4422    GSIW 12/1/2023 1.51 GARDEN STAGE LIMITED ORDINARY SHARES Investment Bankers/Brokers/Service Finance
4423    GSJY 3/4/2016 0.77 GOLDMAN SACHS ACTIVEBETA JAPAN EQUITY ETF Exchange Traded Fund Financial
4424    GSK 12/27/2000 120 GSK PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO ORDINARY SHARES) Biotechnology: Pharmaceutical Preparations Health Care
4425    GSL 8/15/2008 27 GLOBAL SHIP LEASE INC NEW CLASS A COMMON SHARES Marine Transportation Consumer Discretionary
4426    GSL.B 8/25/2014 2.29 GLOBAL SHIP LEASE INC. DEPOSITORY SHARES REPRESENTING 1/100TH PERPETUAL PREFERRED SERIES B% (MARSHALL ISLAND)
4427    GSLC 9/21/2015 24 GOLDMAN SACHS ACTIVEBETA U.S. LARGE CAP EQUITY ETF Exchange Traded Fund Financial
4428    GSM 7/30/2009 58 FERROGLOBE PLC ORDINARY SHARES Metal Mining Basic Materials
4429    GSMGW 9/12/2018 0.7
4430    GSOL 4/17/2000 18
4431    GSPY 12/29/2020 0.51 GOTHAM ENHANCED 500 ETF Exchange Traded Fund Financial
4432    GSRT 12/19/2024 0.03 GSR III ACQUISITION CORP. ORDINARY SHARES
4433    GSRTR 12/19/2024 0.02 GSR III ACQUISITION CORP. RIGHT
4434    GSRTU 11/7/2024 0.01 GSR III ACQUISITION CORP. UNIT
4435    GSSC 7/10/2017 3.31 GS ACTIVEBETA U.S. SMALL CAP EQUITY ETF Exchange Traded Fund Financial
4436    GSST 4/17/2019 3.02 GOLDMAN SACHS ULTRA SHORT BOND ETF Exchange Traded Fund Financial
4437    GSUN 6/22/2022 2.89 GOLDEN SUN HEALTH TECHNOLOGY GROUP LIMITED CLASS A ORDINARY SHARES Other Consumer Services Real Estate
4438    GSUS 5/19/2020 1.8 GOLDMAN SACHS MARKETBETA U.S. EQUITY ETF Exchange Traded Fund Financial
4439    GSY 2/12/2008 23 INVESCO ULTRA SHORT DURATION ETF Exchange Traded Fund Financial
4440    GT 1/2/1998 119 THE GOODYEAR TIRE & RUBBER COMPANY COMMON STOCK Automotive Aftermarket Consumer Discretionary
4441    GTBP 2/11/2021 4.64 GT BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4442    GTE 4/8/2008 59 GRAN TIERRA ENERGY INC. COMMON STOCK Oil & Gas Production Energy
4443    GTEC 11/20/2009 4.92 GREENLAND TECHNOLOGIES HOLDING CORPORATION ORDINARY SHARES Industrial Machinery/Components Industrials
4444    GTECW 8/8/2018 0.17
4445    GTEK 9/16/2021 1.7 GOLDMAN SACHS FUTURE TECH LEADERS EQUITY ETF Exchange Traded Fund Financial
4446    GTES 1/25/2018 24 GATES INDUSTRIAL CORPORATION PLC ORDINARY SHARES Industrial Machinery/Components Industrials
4447    GTI 5/10/2002 49 GRAPHJET TECHNOLOGY CLASS A ORDINARY SHARES Industrial Machinery/Components Energy
4448    GTIM 3/23/1998 5.78 GOOD TIMES RESTAURANTS INC. COMMON STOCK Restaurants Consumer Discretionary
4449    GTIP 10/18/2018 1.73 GOLDMAN SACHS ACCESS INFLATION PROTECTED USD BOND ETF Exchange Traded Fund Financial
4450    GTLB 10/14/2021 15 GITLAB INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
4451    GTLS 7/26/2006 61 CHART INDUSTRIES INC. COMMON STOCK Metal Fabrications Industrials
4452    GTLS.B 12/19/2022 0.36 CHART INDUSTRIES INC. DEPOSITARY SHARES EACH REPRESENTING A 1/20TH INTEREST IN A SHARE OF 6.75% SERIES B MANDATORY CONVERTIBLE PREFERRED STOCK
4453    GTN 8/30/2002 71 GRAY MEDIA INC. COMMON STOCK Broadcasting Industrials
4454    GTN.A 11/15/2006 0.82
4455    GTO 2/12/2016 7.51 INVESCO TOTAL RETURN BOND ETF Exchange Traded Fund Financial
4456    GTOS 2/24/2025 0.01 INVESCO SHORT DURATION TOTAL RETURN BOND ETF Exchange Traded Fund Financial
4457    GTR 10/7/2021 0.22 WISDOMTREE TARGET RANGE FUND Exchange Traded Fund Financial
4458    GTX 9/17/2018 17 GARRETT MOTION INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
4459    GTY 1/2/1998 49 GETTY REALTY CORPORATION COMMON STOCK Real Estate Finance
4460    GUG 11/24/2021 4.3 GUGGENHEIM ACTIVE ALLOCATION FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
4461    GUMI 8/19/2024 0.01 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ULTRA SHORT MUNICIPAL IN Exchange Traded Fund Financial
4462    GUNR 9/22/2011 35 FLEXSHARES GLOBAL UPSTREAM NATURAL RESOURCES INDEX FUND ETF Exchange Traded Fund Financial
4463    GURE 11/28/2007 13 GULF RESOURCES INC. (NV) COMMON STOCK Major Chemicals Industrials
4464    GURU 6/5/2012 4.27 GLOBAL X GURU INDEX ETF Exchange Traded Fund Financial
4465    GUSA 4/18/2022 0.02 GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA U.S. 1000 Exchange Traded Fund Financial
4466    GUSH 5/29/2015 44 DIREXION DAILY S&P OIL & GAS EXP. & PROD. BULL 2X SHARES Exchange Traded Fund Financial
4467    GUT 7/12/1999 20 GABELLI UTILITY TRUST (THE) COMMON STOCK Trusts Except Educational Religious and Charitable Finance
4468    GUT.C 6/2/2016 0.69 GABELLI UTILITY TRUST (THE) 5.375% SERIES C CUMULATIVE PREFERRED SHARES
4469    GUTS 2/2/2024 2.28 FRACTYL HEALTH INC. COMMON STOCK
4470    GV 5/17/2022 3.52 VISIONARY HOLDINGS INC. COMMON SHARES Other Consumer Services Real Estate
4471    GVA 1/2/1998 80 GRANITE CONSTRUCTION INCORPORATED COMMON STOCK Military/Government/Technical Industrials
4472    GVAL 3/12/2014 3.91 CAMBRIA GLOBAL VALUE ETF Exchange Traded Fund Financial
4473    GVH 11/8/2023 0.65 GLOBAVEND HOLDINGS LIMITED ORDINARY SHARES Oil Refining/Marketing Consumer Discretionary
4474    GVI 1/11/2007 16 ISHARES INTERMEDIATE GOVERNMENT/CREDIT BOND ETF Exchange Traded Fund Financial
4475    GVIP 11/11/2016 1.59 GOLDMAN SACHS HEDGE INDUSTRY VIP ETF Exchange Traded Fund Financial
4476    GVLU 6/8/2022 0.47 TIDAL ETF TRUST GOTHAM 1000 VALUE ETF Exchange Traded Fund Financial
4477    GVUS 12/22/2023 0.02 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA RUSSELL 1000 Exchange Traded Fund Financial
4478    GWAV 4/9/2015 14 GREENWAVE TECHNOLOGY SOLUTIONS INC. COMMON STOCK Metal Fabrications Industrials
4479    GWH 1/4/2021 12 ESS TECH INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
4480    GWRE 1/25/2012 46 GUIDEWIRE SOFTWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4481    GWRS 4/28/2016 4.04 GLOBAL WATER RESOURCES INC. COMMON STOCK Water Supply Utilities
4482    GWW 1/2/1998 96 W.W. GRAINGER INC. COMMON STOCK Office Equipment/Supplies/Services Industrials
4483    GWX 4/26/2007 20 SPDR S&P INTERNATIONAL SMALLCAP ETF Exchange Traded Fund Financial
4484    GXAI 2/15/2023 3.23 GAXOS.AI INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4485    GXC 3/23/2007 25 SPDR S&P CHINA ETF Exchange Traded Fund Financial
4486    GXG 2/9/2009 13 GLOBAL X MSCI COLOMBIA ETF Exchange Traded Fund Financial
4487    GXO 7/22/2021 14 GXO LOGISTICS INC. COMMON STOCK Transportation Services Consumer Discretionary
4488    GXTG 11/4/2019 1.02 GLOBAL X THEMATIC GROWTH ETF Exchange Traded Fund Financial
4489    GXUS 11/13/2023 0.01 GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTE Exchange Traded Fund Financial
4490    GYLD 5/8/2012 4.91 ARROW DOW JONES GLOBAL YIELD ETF ETF Exchange Traded Fund Financial
4491    GYRE 5/16/2007 28 GYRE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4492    GYRO 4/18/2006 1.35 GYRODYNE LLC COMMON STOCK Building operators Real Estate
4493    H 11/5/2009 58 HYATT HOTELS CORPORATION CLASS A COMMON STOCK Hotels/Resorts Consumer Discretionary
4494    HACK 11/12/2014 25 AMPLIFY ETF TRUST AMPLIFY CYBERSECURITY ETF Exchange Traded Fund Financial
4495    HAE 1/2/1998 68 HAEMONETICS CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
4496    HAFC 1/29/2001 51 HANMI FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
4497    HAFN 4/10/2024 3.37 HAFNIA LIMITED COMMON SHARES Transportation Services Consumer Discretionary
4498    HAIL 12/27/2017 2.26 SPDR S&P KENSHO SMART MOBILITY ETF Exchange Traded Fund Financial
4499    HAIN 1/2/1998 88 HAIN CELESTIAL GROUP INC. (THE) COMMON STOCK Packaged Foods Consumer Staples
4500    HAL 1/2/1998 140 HALLIBURTON COMPANY COMMON STOCK Oilfield Services/Equipment Energy
4501    HALL 10/6/2006 13
4502    HALO 11/1/2004 67 HALOZYME THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4503    HAO 1/30/2008 15 HAOXI HEALTH TECHNOLOGY LIMITED CLASS A ORDINARY SHARES Advertising Consumer Discretionary
4504    HAP 11/11/2008 6.3 VANECK NATURAL RESOURCES ETF Exchange Traded Fund Financial
4505    HAPI 10/13/2022 0.1 HARBOR HUMAN CAPITAL FACTOR US LARGE CAP ETF Exchange Traded Fund Financial
4506    HAPR 4/1/2024 0.01 SHL TELEMEDICINE LTD INNOVATOR PREMIUM INCOME 9 BUFFER ETF - A Exchange Traded Fund Financial
4507    HAPS 9/18/2024 0.01 HARBOR HUMAN CAPITAL FACTOR US SMALL CAP ETF Exchange Traded Fund Financial
4508    HAPY 2/24/2022 0.03 HARBOR HUMAN CAPITAL FACTOR UNCONSTRAINED ETF Exchange Traded Fund Financial
4509    HARD 3/29/2023 0.19 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY COMMODITIES STRATEGY N Exchange Traded Fund Financial
4510    HART 10/21/2013 2.7 NYLI HEALTHY HEARTS ETF Exchange Traded Fund Financial
4511    HAS 6/23/1999 113 HASBRO INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
4512    HASI 4/18/2013 39 HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4513    HAUS 3/1/2022 0.19 TIDAL ETF TRUST RESIDENTIAL REIT ETF Exchange Traded Fund Financial
4514    HAUZ 10/1/2013 2.83 XTRACKERS INTERNATIONAL REAL ESTATE ETF Exchange Traded Fund Financial
4515    HAWX 6/13/2016 1.64 ISHARES CURRENCY HEDGED MSCI ACWI EX U.S. ETF Exchange Traded Fund Financial
4516    HAYW 3/12/2021 16 HAYWARD HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Industrials
4517    HBAN 1/2/1998 126 HUNTINGTON BANCSHARES INCORPORATED COMMON STOCK Major Banks Finance
4518    HBANL 3/7/2023 1.16 HUNTINGTON BANCSHARES INCORPORATED DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 6.875% SERIES J NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
4519    HBANM 6/10/2021 0.85 HUNTINGTON BANCSHARES INCORPORATED DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF HUNTINGTON SERIES I PREFERRED STOCK Major Banks Finance
4520    HBANP 2/25/2021 3.65 HUNTINGTON BANCSHARES INCORPORATED DEPOSITARY SHARES 4.500% SERIES H NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
4521    HBB 10/2/2017 5.23 HAMILTON BEACH BRANDS HOLDING COMPANY CLASS A COMMON STOCK Home Furnishings Consumer Discretionary
4522    HBCP 10/8/2008 4.94 HOME BANCORP INC. COMMON STOCK Banks Finance
4523    HBI 9/6/2006 84 HANESBRANDS INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
4524    HBIO 3/19/2001 28 HARVARD BIOSCIENCE INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
4525    HBM 10/25/2010 40 HUDBAY MINERALS INC. ORDINARY SHARES (CANADA) Metal Mining Basic Materials
4526    HBNC 12/5/2006 17 HORIZON BANCORP INC. COMMON STOCK Major Banks Finance
4527    HBT 10/11/2019 3.19 HBT FINANCIAL INC. COMMON STOCK Major Banks Finance
4528    HBTA 5/27/2011 0.03
4529    HCA 3/10/2011 66 HCA HEALTHCARE INC. COMMON STOCK Hospital/Nursing Management Health Care
4530    HCAI 2/5/2025 0.11 HUACHEN AI PARKING MANAGEMENT TECHNOLOGY HOLDING CO. LTD. ORDINARY SHARES Miscellaneous manufacturing industries Consumer Discretionary
4531    HCAT 7/25/2019 17 HEALTH CATALYST INC COMMON STOCK Computer Software: Programming Data Processing Technology
4532    HCC 4/13/2017 32 WARRIOR MET COAL INC. COMMON STOCK Coal Mining Energy
4533    HCI 9/15/2008 22 HCI GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
4534    HCKT 1/31/2008 30 HACKETT GROUP INC (THE). COMMON STOCK Professional Services Consumer Discretionary
4535    HCM 3/17/2016 15 HUTCHMED (CHINA) LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
4536    HCMT 6/22/2023 0.79 DIREXION SHARES ETF TRUST DIREXION HCM TACTICAL ENHANCED US ET Exchange Traded Fund Financial
4537    HCOM 9/15/2021 0.15 HARTFORD SCHRODERS COMMODITY STRATEGY ETF Exchange Traded Fund Financial
4538    HCOW 9/20/2023 0.06 AMPLIFY COWS COVERED CALL ETF Exchange Traded Fund Financial
4539    HCP 1/2/1998 93
4540    HCRB 2/20/2020 0.42 HARTFORD CORE BOND ETF Exchange Traded Fund Financial
4541    HCSG 1/2/1998 67 HEALTHCARE SERVICES GROUP INC. COMMON STOCK Hospital/Nursing Management Health Care
4542    HCTI 10/13/2021 3.4 HEALTHCARE TRIANGLE INC. COMMON STOCK EDP Services Technology
4543    HCVI 11/24/2021 0.21 HENNESSY CAPITAL INVESTMENT CORP. VI CLASS A COMMON STOCK Blank Checks Finance
4544    HCVIW 11/19/2021 0.15 HENNESSY CAPITAL INVESTMENT CORP. VI WARRANT Blank Checks Finance
4545    HCWB 7/20/2021 1.9 HCW BIOLOGICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4546    HCWC 9/16/2024 0.54 HEALTHY CHOICE WELLNESS CORP. CLASS A COMMON STOCK Food Chains Consumer Staples
4547    HCXY 9/27/2018 0.53 HERCULES CAPITAL INC. 6.25% NOTES DUE 2033 Investment Managers Finance
4548    HD 1/2/1998 139 HOME DEPOT INC. (THE) COMMON STOCK RETAIL: Building Materials Consumer Discretionary
4549    HDB 7/20/2001 79 HDFC BANK LIMITED COMMON STOCK Commercial Banks Finance
4550    HDEF 8/18/2015 6.19 XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF Exchange Traded Fund Financial
4551    HDG 7/14/2011 1.22 PROSHARES HEDGE REPLICATION ETF Exchange Traded Fund Financial
4552    HDGE 1/27/2011 19 RANGER EQUITY BEAR BEAR ETF Exchange Traded Fund Financial
4553    HDL 5/17/2024 0.26 SUPER HI INTERNATIONAL HOLDING LTD. AMERICAN DEPOSITARY SHARES Restaurants Consumer Discretionary
4554    HDLB 10/30/2019 1.68 ETRACS MONTHLY PAY 2XLEVERAGED US HIGH DIVIDEND LOW VOLATILITY Exchange Traded Fund Financial
4555    HDMV 8/29/2016 1.69 FIRST TRUST EXCHANGE-TRADED FUND III FIRST TRUST HORIZON MANAG Exchange Traded Fund Financial
4556    HDRO 3/10/2021 2.65 ETF SERIES SOLUTIONS DEFIANCE NEXT GEN H2 ETF Exchange Traded Fund Financial
4557    HDSN 12/15/2004 28 HUDSON TECHNOLOGIES INC. COMMON STOCK Industrial Specialties Consumer Discretionary
4558    HDUS 11/17/2022 0.15 LATTICE STRATEGIES TRUST HARTFORD DISCIPLINED US EQUITY ETF Exchange Traded Fund Financial
4559    HDV 3/31/2011 47 ISHARES CORE HIGH DIVIDEND ETF Exchange Traded Fund Financial
4560    HE 1/2/1998 85 HAWAIIAN ELECTRIC INDUSTRIES INC. COMMON STOCK Electric Utilities: Central Utilities
4561    HEAT 1/29/2009 7.29 TOUCHSTONE ETF TRUST TOUCHSTONE CLIMATE TRANSITION ETF Exchange Traded Fund Financial
4562    HECO 6/20/2012 0.69 SPDR GALAXY HEDGED DIGITAL ASSET ECOSYSTEM ETF Exchange Traded Fund Financial
4563    HEDJ 1/15/2010 35 WISDOMTREE EUROPE HEDGED EQUITY FUND Exchange Traded Fund Financial
4564    HEEM 9/25/2014 5.35 ISHARES CURRENCY HEDGED MSCI EMERGING MARKETS ETF Exchange Traded Fund Financial
4565    HEES 1/31/2006 53 H&E EQUIPMENT SERVICES INC. COMMON STOCK Misc Corporate Leasing Services Industrials
4566    HEFA 2/14/2014 33 ISHARES CURRENCY HEDGED MSCI EAFE ETF Exchange Traded Fund Financial
4567    HEGD 12/23/2020 1.51 SWAN HEDGED EQUITY US LARGE CAP ETF Exchange Traded Fund Financial
4568    HEI 1/29/1999 60 HEICO CORPORATION COMMON STOCK Aerospace Industrials
4569    HEI.A 1/29/1999 34 HEICO CORPORATION
4570    HEJD 7/11/2024 0.01 VICTORYSHARES HEDGED EQUITY INCOME ETF Exchange Traded Fund Financial
4571    HELE 1/2/1998 62 HELEN OF TROY LIMITED COMMON STOCK Home Furnishings Consumer Discretionary
4572    HELO 9/29/2023 2.21 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN HEDGED EQUITY Exchange Traded Fund Financial
4573    HELX 2/27/2020 0.35 FRANKLIN GENOMIC ADVANCEMENTS ETF Exchange Traded Fund Financial
4574    HEPA 2/10/2014 18 HEPION PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4575    HEPS 7/1/2021 9.36 D-MARKET ELECTRONIC SERVICES & TRADING AMERICAN DEPOSITARY SHARES Catalog/Specialty Distribution Consumer Discretionary
4576    HEQ 5/27/2011 11 JOHN HANCOCK DIVERSIFIED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
4577    HEQT 11/2/2021 1.13 SIMPLIFY HEDGED EQUITY ETF Exchange Traded Fund Financial
4578    HERD 5/7/2019 0.52 PACER CASH COWS FUND OF FUNDS ETF Exchange Traded Fund Financial
4579    HERO 10/31/2019 5.34 GLOBAL X VIDEO GAMES & ESPORTS ETF Exchange Traded Fund Financial
4580    HES 3/13/2007 88 HESS CORPORATION COMMON STOCK Integrated oil Companies Energy
4581    HESM 4/5/2017 21 HESS MIDSTREAM LP CLASS A REPRESENTING LIMITED PARTNER INTERESTS Oil & Gas Production Energy
4582    HEWJ 2/5/2014 20 ISHARES CURRENCY HEDGED MSCI JAPAN ETF Exchange Traded Fund Financial
4583    HEZU 9/23/2014 23 ISHARES CURRENCY HEDGED MSCI EUROZONE ETF Exchange Traded Fund Financial
4584    HF 8/3/2023 0.05 DGA CORE PLUS ABSOLUTE RETURN ETF Exchange Traded Fund Financial
4585    HFBL 6/21/2007 0.37 HOME FEDERAL BANCORP INC. OF LOUISIANA COMMON STOCK Savings Institutions Finance
4586    HFFG 9/7/2017 4.56 HF FOODS GROUP INC. COMMON STOCK Food Distributors Consumer Discretionary
4587    HFGO 11/10/2021 0.48 HARTFORD LARGE CAP GROWTH ETF Exchange Traded Fund Financial
4588    HFND 10/11/2022 0.37 TIDAL ETF TRUST UNLIMITED HFND MULTI-STRATEGY RETURN TRACKER E Exchange Traded Fund Financial
4589    HFRO 11/6/2017 14 HIGHLAND OPPORTUNITIES AND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
4590    HFRO.A 8/5/2019 1.48 HIGHLAND OPPORTUNITIES AND INCOME FUND 5.375% SERIES A CUMULATIVE PREFERRED SHARES
4591    HFSP 10/24/2024 0.01 TRADERSAI LARGE CAP EQUITY & CASH ETF Exchange Traded Fund Financial
4592    HFWA 5/7/1998 24 HERITAGE FINANCIAL CORPORATION COMMON STOCK Banks Finance
4593    HFXI 7/22/2015 4.87 NYLI FTSE INTERNATIONAL EQUITY CURRENCY NEUTRAL ETF Exchange Traded Fund Financial
4594    HG 11/10/2023 3.24 HAMILTON INSURANCE GROUP LTD. CLASS B COMMON SHARES
4595    HGAS 2/19/2021 0.67
4596    HGASW 2/19/2021 0.45
4597    HGBL 5/16/2007 3.52 HERITAGE GLOBAL INC. COMMON STOCK Business Services Consumer Discretionary
4598    HGER 2/10/2022 0.97 HARBOR COMMODITY ALL-WEATHER STRATEGY ETF Exchange Traded Fund Financial
4599    HGLB 3/1/2019 5.46 HIGHLAND GLOBAL ALLOCATION FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
4600    HGTY 6/4/2007 4.08 HAGERTY INC. CLASS A COMMON STOCK Specialty Insurers Finance
4601    HGV 12/14/2016 30 HILTON GRAND VACATIONS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
4602    HHH 10/20/2021 5.66 HOWARD HUGHES HOLDINGS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4603    HHS 1/2/1998 46 HARTE HANKS INC. COMMON STOCK Advertising Consumer Discretionary
4604    HI 4/1/2008 52 HILLENBRAND INC COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
4605    HIBL 11/7/2019 7.7 DIREXION DAILY S&P 500 HIGH BETA BULL 3X SHARES Exchange Traded Fund Financial
4606    HIBS 11/7/2019 15 DIREXION DAILY S&P 500 HIGH BETA BEAR 3X SHARES Exchange Traded Fund Financial
4607    HIDE 11/17/2022 0.15 ALPHA ARCHITECT HIGH INFLATION AND DEFLATION ETF Exchange Traded Fund Financial
4608    HIDV 3/29/2023 0.03 AB ACTIVE ETFS INC. AB US HIGH DIVIDEND ETF Exchange Traded Fund Financial
4609    HIFS 11/22/2006 1.84 HINGHAM INSTITUTION FOR SAVINGS COMMON STOCK Banks Finance
4610    HIG 1/2/1998 124 THE HARTFORD INSURANCE GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
4611    HIG.G 11/12/2018 3 THE HARTFORD INSURANCE GROUP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.000% NON-CUMULATIVE PREFERRED STOCK SERIES G
4612    HIGH 10/28/2022 2.31 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY ENHANCED INCOME ETF Exchange Traded Fund Financial
4613    HIHO 1/24/2003 4.72 HIGHWAY HOLDINGS LIMITED COMMON STOCK Metal Fabrications Industrials
4614    HII 3/22/2011 45 HUNTINGTON INGALLS INDUSTRIES INC. COMMON STOCK Marine Transportation Industrials
4615    HIMS 9/13/2019 21 HIMS & HERS HEALTH INC. CLASS A COMMON STOCK Medical/Nursing Services Health Care
4616    HIMX 3/31/2006 73 HIMAX TECHNOLOGIES INC. AMERICAN DEPOSITARY SHARES Semiconductors Technology
4617    HIO 1/2/1998 47 WESTERN ASSET HIGH INCOME OPPORTUNITY FUND INC. COMMON STOCK Finance/Investors Services Finance
4618    HIPO 1/11/2021 9.36 HIPPO HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
4619    HIPS 1/9/2015 2.09 GRANITESHARES HIPS US HIGH INCOME ETF Exchange Traded Fund Financial
4620    HISF 8/14/2014 1.23 FIRST TRUST HIGH INCOME STRATEGIC FOCUS ETF Exchange Traded Fund Financial
4621    HIT 1/2/1998 19 HEALTH IN TECH INC. CLASS A COMMON STOCK Specialty Insurers Finance
4622    HITI 6/2/2021 6.92 HIGH TIDE INC. COMMON SHARES Other Specialty Stores Consumer Discretionary
4623    HIVE 7/1/2021 17 HIVE DIGITAL TECHNOLOGIES LTD. COMMON SHARES Finance: Consumer Services Finance
4624    HIW 1/2/1998 99 HIGHWOODS PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4625    HIX 5/22/1998 47 WESTERN ASSET HIGH INCOME FUND II INC. COMMON STOCK Finance/Investors Services Finance
4626    HIYS 1/23/2023 0.03 INVESCO ACTIVELY MANAGED EXCHANGE-TRADED FUND TRUS INVESCO HIG Exchange Traded Fund Financial
4627    HJUL 7/1/2024 0.01 SHL TELEMEDICINE LTD INNOVATOR PREMIUM INCOME 9 BUFFER ETF - J Exchange Traded Fund Financial
4628    HKD 7/15/2022 8.11 AMTD DIGITAL INC. AMERICAN DEPOSITARY SHARES (EVERY FIVE OF WHICH REPRESENT TWO CLASS A ORDINARY SHARES) Finance: Consumer Services Finance
4629    HKIT 3/31/2023 1.92 HITEK GLOBAL INC. CLASS A ORDINARY SHARE Computer Software: Prepackaged Software Technology
4630    HKND 2/24/2021 0.18 HUMANKIND US STOCK ETF Exchange Traded Fund Financial
4631    HKPD 1/15/2025 0.17 HONG KONG PHARMA DIGITAL TECHNOLOGY HOLDINGS LIMITED ORDINARY SHARES Other Pharmaceuticals Health Care
4632    HL 1/2/1998 114 HECLA MINING COMPANY COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
4633    HL.B 5/18/2007 0.25 HECLA MINING COMPANY PREFERRED STOCK
4634    HLAL 7/16/2019 2.63 WAHED FTSE USA SHARIAH ETF Exchange Traded Fund Financial
4635    HLF 12/16/2004 80 HERBALIFE LTD. COMMON SHARES Other Pharmaceuticals Health Care
4636    HLGE 3/17/2021 0.06 HARTFORD LONGEVITY ECONOMY ETF Exchange Traded Fund Financial
4637    HLGN 12/31/2021 6.7
4638    HLI 8/13/2015 27 HOULIHAN LOKEY INC. CLASS A COMMON STOCK Investment Managers Finance
4639    HLIO 5/16/2007 31 HELIOS TECHNOLOGIES INC. COMMON STOCK Metal Fabrications Industrials
4640    HLIT 1/2/1998 87 HARMONIC INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
4641    HLLY 11/27/2020 10 HOLLEY INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
4642    HLMN 12/3/2020 15 HILLMAN SOLUTIONS CORP. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
4643    HLN 7/25/2022 13 HALEON PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO ORDINARY SHARES) Package Goods/Cosmetics Consumer Discretionary
4644    HLNE 3/1/2017 17 HAMILTON LANE INCORPORATED CLASS A COMMON STOCK Investment Managers Finance
4645    HLP 3/29/2023 1.54 HONGLI GROUP INC. ORDINARY SHARES Industrial Machinery/Components Industrials
4646    HLT 12/12/2013 54 HILTON WORLDWIDE HOLDINGS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
4647    HLVX 4/29/2022 3.53 HILLEVAX INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4648    HLX 7/18/2006 76 HELIX ENERGY SOLUTIONS GROUP INC. COMMON STOCK Oilfield Services/Equipment Energy
4649    HLXB 2/9/2024 0.07 HELIX ACQUISITION CORP. II CLASS A ORDINARY SHARES
4650    HMC 1/2/1998 85 HONDA MOTOR COMPANY LTD. COMMON STOCK Auto Manufacturing Consumer Discretionary
4651    HMN 1/2/1998 62 HORACE MANN EDUCATORS CORPORATION COMMON STOCK Property-Casualty Insurers Finance
4652    HMOP 12/14/2017 2.5 HARTFORD MUNICIPAL OPPORTUNITIES ETF Exchange Traded Fund Financial
4653    HMR 2/5/2008 0.51 HEIDMAR MARITIME HOLDINGS CORP. COMMON STOCK Marine Transportation Consumer Discretionary
4654    HMST 2/10/2012 22 HOMESTREET INC. COMMON STOCK Major Banks Finance
4655    HMY 11/27/2002 108 HARMONY GOLD MINING COMPANY LIMITED Precious Metals Basic Materials
4656    HNDL 1/25/2018 10 STRATEGY SHARES NASDAQ 7HANDL INDEX ETF Exchange Traded Fund Financial
4657    HNI 7/2/1998 66 HNI CORPORATION COMMON STOCK Office Equipment/Supplies/Services Consumer Discretionary
4658    HNNA 5/16/2007 2.39 HENNESSY ADVISORS INC. COMMON STOCK Investment Managers Finance
4659    HNNAZ 10/25/2021 0.06 HENNESSY ADVISORS INC. 4.875% NOTES DUE 2026 Investment Managers Finance
4660    HNRG 5/21/2010 20 HALLADOR ENERGY COMPANY COMMON STOCK Coal Mining Energy
4661    HNST 5/5/2021 15 THE HONEST COMPANY INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
4662    HNVR 5/11/2022 0.38 HANOVER BANCORP INC. COMMON STOCK Major Banks Finance
4663    HNW 5/30/2007 11 PIONEER DIVERSIFIED HIGH INCOME FUND INC. Finance/Investors Services Finance
4664    HOCT 10/2/2023 0.08 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 9 BUFFER ETF - O Exchange Traded Fund Financial
4665    HODL 1/11/2024 3.34 VANECK BITCOIN TRUST COMMON SHARES OF BENEFICIAL INTEREST Exchange Traded Fund Financial
4666    HOFT 6/27/2002 26 HOOKER FURNISHINGS CORPORATION COMMON STOCK Home Furnishings Consumer Discretionary
4667    HOFV 7/2/2020 11 HALL OF FAME RESORT & ENTERTAINMENT COMPANY COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
4668    HOFVW 7/2/2020 1.47 HALL OF FAME RESORT & ENTERTAINMENT COMPANY WARRANT Services-Misc. Amusement & Recreation Consumer Discretionary
4669    HOG 1/2/1998 124 HARLEY-DAVIDSON INC. COMMON STOCK Motor Vehicles Consumer Discretionary
4670    HOLO 8/6/2021 12 MICROCLOUD HOLOGRAM INC. ORDINARY SHARES Computer Software: Programming Data Processing Technology
4671    HOLOW 8/5/2021 0.71 MICROCLOUD HOLOGRAM INC. WARRANT Computer Software: Programming Data Processing Technology
4672    HOLX 1/2/1998 94 HOLOGIC INC. COMMON STOCK Medical Electronics Health Care
4673    HOMB 6/23/2006 56 HOME BANCSHARES INC. COMMON STOCK Major Banks Finance
4674    HOMZ 3/20/2019 0.85 HOYA CAPITAL HOUSING ETF Exchange Traded Fund Financial
4675    HON 1/2/1998 130 HONEYWELL INTERNATIONAL INC. COMMON STOCK Aerospace Industrials
4676    HOND 10/10/2024 0.02 HCM II ACQUISITION CORP. CLASS A ORDINARY SHARES
4677    HONDU 8/16/2024 0.02
4678    HONDW 10/10/2024 0.01 HCM II ACQUISITION CORP. WARRANT Blank Checks Finance
4679    HONE 6/30/2016 14 HARBORONE BANCORP INC. COMMON STOCK Major Banks Finance
4680    HOOD 7/29/2021 24 ROBINHOOD MARKETS INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
4681    HOOK 4/18/2019 9.24 HOOKIPA PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4682    HOPE 5/1/2007 63 HOPE BANCORP INC. COMMON STOCK Major Banks Finance
4683    HOTH 2/15/2019 8.65 HOTH THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4684    HOUR 1/7/2022 2.18 HOUR LOOP INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
4685    HOUS 10/11/2012 50 ANYWHERE REAL ESTATE INC. COMMON STOCK Real Estate Finance
4686    HOV 3/15/2001 78 HOVNANIAN ENTERPRISES INC. CLASS A COMMON STOCK Homebuilding Consumer Discretionary
4687    HOVNP 11/30/2005 2.38 HOVNANIAN ENTERPRISES INC DEP SHR SRS A PFD Homebuilding Consumer Discretionary
4688    HOVR 4/3/2023 2.45 NEW HORIZON AIRCRAFT LTD. CLASS A ORDINARY SHARE Aerospace Industrials
4689    HOVRW 4/3/2023 0.24 NEW HORIZON AIRCRAFT LTD. WARRANT Aerospace Industrials
4690    HOWL 4/30/2021 4.74 WEREWOLF THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4691    HP 1/2/1998 114 HELMERICH & PAYNE INC. COMMON STOCK Oil & Gas Production Energy
4692    HPAI 8/5/2024 0.16 HELPORT AI LIMITED ORDINARY SHARES Computer Software: Prepackaged Software Technology
4693    HPAIW 8/5/2024 0.06 HELPORT AI LIMITED WARRANTS Computer Software: Prepackaged Software Technology
4694    HPCO 8/30/2022 2.27
4695    HPE 11/2/2015 50 HEWLETT PACKARD ENTERPRISE COMPANY COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
4696    HPE.C 9/19/2024 0.21 HEWLETT PACKARD ENTERPRISE COMPANY 7.625% SERIES C MANDATORY CONVERTIBLE PREFERRED STOCK
4697    HPF 11/26/2002 18 JOHN HANCOCK PFD INCOME FUND II PFD INCOME FUND II Finance Companies Finance
4698    HPH 3/29/2019 1.97 HIGHEST PERFORMANCES HOLDINGS INC. AMERICAN DEPOSITORY SHARES Investment Managers Finance
4699    HPI 7/15/2003 21 JOHN HANCOCK PREFERRED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
4700    HPK 8/24/2020 9.62 HIGHPEAK ENERGY INC. COMMON STOCK Oil & Gas Production Energy
4701    HPKEW 8/24/2020 0.28 HIGHPEAK ENERGY INC. WARRANT Oil & Gas Production Energy
4702    HPP 6/24/2010 55 HUDSON PACIFIC PROPERTIES INC. COMMON STOCK Real Estate Finance
4703    HPP.C 11/19/2021 1.84 HUDSON PACIFIC PROPERTIES INC. 4.750% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK
4704    HPQ 1/2/1998 143 HP INC. COMMON STOCK Computer Manufacturing Technology
4705    HPS 6/17/2003 23 JOHN HANCOCK PREFERRED INCOME FUND III PREFERRED INCOME FUND III Investment Managers Finance
4706    HQGO 12/6/2023 0.02 HARTFORD US QUALITY GROWTH ETF Exchange Traded Fund Financial
4707    HQH 1/2/1998 39 ABRDN HEALTHCARE INVESTORS SHARES OF BENEFICIAL INTEREST Finance Companies Finance
4708    HQI 5/16/2007 2.65 HIREQUEST INC. COMMON STOCK (DE) Professional Services Consumer Discretionary
4709    HQL 1/2/1998 27 ABRDN LIFE SCIENCES INVESTORS SHARES OF BENEFICIAL INTEREST Investment Managers Finance
4710    HQY 7/31/2014 36 HEALTHEQUITY INC. COMMON STOCK Business Services Consumer Discretionary
4711    HR 1/2/1998 99 HEALTHCARE REALTY TRUST INCORPORATED COMMON STOCK Real Estate Investment Trusts Real Estate
4712    HRB 1/2/1998 122 H&R BLOCK INC. COMMON STOCK Other Consumer Services Consumer Discretionary
4713    HRI 5/2/2007 67 HERC HOLDINGS INC. COMMON STOCK Misc Corporate Leasing Services Industrials
4714    HRL 1/2/1998 104 HORMEL FOODS CORPORATION COMMON STOCK Meat/Poultry/Fish Consumer Staples
4715    HRMY 8/19/2020 13 HARMONY BIOSCIENCES HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4716    HROW 9/28/2007 16 HARROW INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4717    HROWL 5/7/2021 0.78 HARROW INC. 8.625% SENIOR NOTES DUE 2026 Biotechnology: Pharmaceutical Preparations Health Care
4718    HROWM 12/21/2022 0.32 HARROW INC. 11.875% SENIOR NOTES DUE 2027 Biotechnology: Pharmaceutical Preparations Health Care
4719    HRTG 5/23/2014 22 HERITAGE INSURANCE HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
4720    HRTS 11/21/2023 0.48 TEMA GLP-1 OBESITY & CARDIOMETABOLIC ETF Exchange Traded Fund Financial
4721    HRTX 5/16/2007 43 HERON THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4722    HRZN 10/29/2010 22 HORIZON TECHNOLOGY FINANCE CORPORATION COMMON STOCK Finance: Consumer Services Finance
4723    HSAI 2/9/2023 6.03 HESAI GROUP AMERICAN DEPOSITARY SHARE EACH ADS REPRESENTS ONE CLASS B ORDINARY SHARE Industrial Machinery/Components Industrials
4724    HSBC 7/16/1999 111 HSBC HOLDINGS PLC. COMMON STOCK Savings Institutions Finance
4725    HSCS 6/16/2022 3.46 HEARTSCIENCES INC. COMMON STOCK Industrial Specialties Health Care
4726    HSCSW 6/15/2022 0.12 HEARTSCIENCES INC. WARRANT Industrial Specialties Health Care
4727    HSCZ 7/21/2015 1.83 ISHARES CURRENCY HEDGED MSCI EAFE SMALL-CAP ETF Exchange Traded Fund Financial
4728    HSDT 6/27/2014 8.34 HELIUS MEDICAL TECHNOLOGIES INC. CLASS A COMMON STOCK (DE) Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
4729    HSHP 3/31/2023 2.18 HIMALAYA SHIPPING LTD. COMMON SHARES Marine Transportation Consumer Discretionary
4730    HSIC 1/2/1998 93 HENRY SCHEIN INC. COMMON STOCK Medical Specialities Health Care
4731    HSII 4/27/1999 50 HEIDRICK & STRUGGLES INTERNATIONAL INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
4732    HSMV 4/7/2020 0.25 FIRST TRUST HORIZON MANAGED VOLATILITY SMALL/MID ETF Exchange Traded Fund Financial
4733    HSON 4/1/2003 22 HUDSON GLOBAL INC. COMMON STOCK Professional Services Consumer Discretionary
4734    HSPO 1/26/2023 0.07 HORIZON SPACE ACQUISITION I CORP. ORDINARY SHARES Blank Checks Finance
4735    HSPOR 1/26/2023 0.02 HORIZON SPACE ACQUISITION I CORP. RIGHT Blank Checks Finance
4736    HSPOU 12/22/2022 0.05 HORIZON SPACE ACQUISITION I CORP. UNIT Blank Checks Finance
4737    HSPOW 1/26/2023 0.03 HORIZON SPACE ACQUISITION I CORP. WARRANT Blank Checks Finance
4738    HSPT 2/5/2025 0.01
4739    HSPTR 2/5/2025 0.01 HORIZON SPACE ACQUISITION II CORP. RIGHT
4740    HSPTU 11/15/2024 0.02 HORIZON SPACE ACQUISITION II CORP. UNITS
4741    HSRT 5/31/2018 0.93 HARTFORD AAA CLO ETF Exchange Traded Fund Financial
4742    HST 4/18/2006 96 HOST HOTELS & RESORTS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
4743    HSTM 4/11/2000 28 HEALTHSTREAM INC. COMMON STOCK Computer Software: Programming Data Processing Technology
4744    HSUN 9/22/2021 0.1 HARTFORD STRATEGIC INCOME ETF Exchange Traded Fund Financial
4745    HSY 1/2/1998 118 THE HERSHEY COMPANY COMMON STOCK Specialty Foods Consumer Staples
4746    HTAB 12/4/2018 2.23 HARTFORD SCHRODERS TAX-AWARE BOND ETF Exchange Traded Fund Financial
4747    HTB 3/3/2003 2.09 HOMETRUST BANCSHARES INC. COMMON STOCK Savings Institutions Finance
4748    HTBI 7/11/2012 11
4749    HTBK 7/31/1998 29 HERITAGE COMMERCE CORP COMMON STOCK Major Banks Finance
4750    HTCO 1/2/1998 7.67 HIGH-TREND INTERNATIONAL GROUP CLASS A ORDINARY SHARES Marine Transportation Consumer Discretionary
4751    HTCR 2/10/2022 2.57 HEARTCORE ENTERPRISES INC. COMMON STOCK EDP Services Technology
4752    HTD 2/25/2004 29 JOHN HANCOCK TAX ADVANTAGED DIVIDEND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
4753    HTEC 6/25/2019 2.21 ROBO GLOBAL HEALTHCARE TECHNOLOGY AND INNOVATION ETF Exchange Traded Fund Financial
4754    HTFB 4/7/2021 0.11
4755    HTFC 6/28/2022 0.18 HORIZON TECHNOLOGY FINANCE CORPORATION 6.25% NOTES DUE 2027 Finance: Consumer Services Finance
4756    HTGC 6/9/2005 64 HERCULES CAPITAL INC. COMMON STOCK Investment Managers Finance
4757    HTH 8/1/2007 54 HILLTOP HOLDINGS INC. Major Banks Finance
4758    HTHT 3/26/2010 49 H WORLD GROUP LIMITED AMERICAN DEPOSITARY SHARES Hotels/Resorts Consumer Discretionary
4759    HTLD 1/2/1998 84 HEARTLAND EXPRESS INC. COMMON STOCK Trucking Freight/Courier Services Industrials
4760    HTLM 10/1/2024 0.22 HOMESTOLIFE LTD ORDINARY SHARES Other Specialty Stores Consumer Discretionary
4761    HTOO 12/10/2020 5.31 FUSION FUEL GREEN PLC CLASS A ORDINARY SHARES Industrial Machinery/Components Energy
4762    HTOOW 12/10/2020 0.69 FUSION FUEL GREEN PLC WARRANT Industrial Machinery/Components Energy
4763    HTRB 7/25/2018 5.07 HARTFORD TOTAL RETURN BOND ETF Exchange Traded Fund Financial
4764    HTUS 6/25/2015 1.35 CAPITOL SERIES TRUST HULL TACTICAL US ETF Exchange Traded Fund Financial
4765    HTZ 11/16/2006 78 HERTZ GLOBAL HOLDINGS INC COMMON STOCK Rental/Leasing Companies Consumer Discretionary
4766    HTZWW 11/9/2021 4.34 HERTZ GLOBAL HOLDINGS INC WARRANT Rental/Leasing Companies Consumer Discretionary
4767    HUBB 4/30/2007 57 HUBBELL INC COMMON STOCK Electrical Products Technology
4768    HUBC 3/1/2023 7 HUB CYBER SECURITY LTD. ORDINARY SHARES Computer Communications Equipment Telecommunications
4769    HUBCW 3/1/2023 0.46 HUB CYBER SECURITY LTD. WARRANT 2/27/28 Computer Communications Equipment Telecommunications
4770    HUBCZ 3/3/2023 0.12 HUB CYBER SECURITY LTD. WARRANT 8/22/2025 Computer Communications Equipment Telecommunications
4771    HUBG 1/2/1998 59 HUB GROUP INC. CLASS A COMMON STOCK Oil Refining/Marketing Consumer Discretionary
4772    HUBS 10/9/2014 36 HUBSPOT INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4773    HUDI 1/22/2021 3.53 HUADI INTERNATIONAL GROUP CO. LTD. ORDINARY SHARES Steel/Iron Ore Industrials
4774    HUHU 10/22/2024 0.19 HUHUTECH INTERNATIONAL GROUP INC. ORDINARY SHARES Metal Fabrications Telecommunications
4775    HUIZ 2/12/2020 2.94 HUIZE HOLDING LIMITED AMERICAN DEPOSITARY SHARES Specialty Insurers Finance
4776    HUM 1/2/1998 115 HUMANA INC. COMMON STOCK Medical Specialities Health Care
4777    HUMA 12/1/2020 12 HUMACYTE INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4778    HUMAW 11/24/2020 0.9 HUMACYTE INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4779    HUN 2/14/2005 95 HUNTSMAN CORPORATION COMMON STOCK Major Chemicals Industrials
4780    HURA 2/22/2013 16 TUHURA BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4781    HURC 1/2/1998 18 HURCO COMPANIES INC. COMMON STOCK Industrial Machinery/Components Industrials
4782    HURN 10/13/2004 40 HURON CONSULTING GROUP INC. COMMON STOCK Professional Services Consumer Discretionary
4783    HUSA 7/5/2007 30 HOUSTON AMERICAN ENERGY CORPORATION COMMON STOCK Oil & Gas Production Energy
4784    HUSV 8/25/2016 2.24 FIRST TRUST EXCHANGE-TRADED FUND III FIRST TRUST HORIZON MANAG Exchange Traded Fund Financial
4785    HUT 6/15/2021 21 HUT 8 CORP. COMMON STOCK Finance: Consumer Services Finance
4786    HUYA 5/11/2018 33 HUYA INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Computer Software: Programming Data Processing Technology
4787    HVII 2/6/2025 0.01 HENNESSY CAPITAL INVESTMENT CORP. VII ORDINARY SHARES
4788    HVIIR 2/6/2025 0.01 HENNESSY CAPITAL INVESTMENT CORP. VII RIGHTS
4789    HVIIU 1/17/2025 0.02 HENNESSY CAPITAL INVESTMENT CORP. VII UNIT
4790    HVT 8/28/1998 46 HAVERTY FURNITURE COMPANIES INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
4791    HVT.A 10/29/2001 0.56 HAVERTY FURNITURE COMPANIES INC.
4792    HWAY 2/1/2006 32 THEMES US INFRASTRUCTURE ETF Exchange Traded Fund Financial
4793    HWBK 6/18/2007 2 HAWTHORN BANCSHARES INC. COMMON STOCK Major Banks Finance
4794    HWC 5/3/2007 64 HANCOCK WHITNEY CORPORATION COMMON STOCK Major Banks Finance
4795    HWCPZ 6/17/2020 1.09 HANCOCK WHITNEY CORPORATION 6.25% SUBORDINATED NOTES DUE 2060 Major Banks Finance
4796    HWH 3/24/2022 1.59 HWH INTERNATIONAL INC. COMMON STOCK Other Pharmaceuticals Health Care
4797    HWKN 1/2/1998 14 HAWKINS INC. COMMON STOCK Specialty Chemicals Consumer Discretionary
4798    HWM 11/1/2016 40 HOWMET AEROSPACE INC. COMMON STOCK Metal Fabrications Industrials
4799    HXL 1/2/1998 88 HEXCEL CORPORATION COMMON STOCK Major Chemicals Industrials
4800    HY 10/1/2012 14 HYSTER-YALE INC. CLASS A COMMON STOCK Construction/Ag Equipment/Trucks Industrials
4801    HYAC 11/17/2017 1.03 HAYMAKER ACQUISITION CORP. 4 CLASS A ORDINARY SHARES
4802    HYB 1/2/1998 24
4803    HYBB 10/8/2020 1.23 ISHARES BB RATED CORPORATE BOND ETF Exchange Traded Fund Financial
4804    HYBI 9/30/2024 0.16 NEOS ENHANCED INCOME CREDIT SELECT ETF Exchange Traded Fund Financial
4805    HYD 2/5/2009 41 VANECK ETF TRUST VANECK HIGH YIELD MUNI ETF Exchange Traded Fund Financial
4806    HYDB 7/14/2017 3.37 ISHARES HIGH YIELD SYSTEMATIC BOND ETF Exchange Traded Fund Financial
4807    HYDR 7/14/2021 2.51 GLOBAL X HYDROGEN ETF Exchange Traded Fund Financial
4808    HYDW 10/19/2018 0.81 XTRACKERS LOW BETA HIGH YIELD BOND ETF Exchange Traded Fund Financial
4809    HYEM 5/14/2012 16 VANECK EMERGING MARKETS HIGH YIELD BOND ETF Exchange Traded Fund Financial
4810    HYFI 5/15/2023 0.44 AB ACTIVE ETFS INC. AB HIGH YIELD ETF Exchange Traded Fund Financial
4811    HYFM 12/10/2020 10 HYDROFARM HOLDINGS GROUP INC. COMMON STOCK Consumer Specialties Consumer Discretionary
4812    HYG 4/11/2007 80 ISHARES IBOXX $ HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
4813    HYGH 5/29/2014 2.74 ISHARES INTEREST RATE HEDGED HIGH YIELD BOND ETF Exchange Traded Fund Financial
4814    HYGI 7/11/2022 0.02 ISHARES U.S. ETF TRUST ISHARES INFLATION HEDGED HIGH YIELD BON Exchange Traded Fund Financial
4815    HYGV 7/18/2018 6.31 FLEXSHARES HIGH YIELD VALUE-SCORED BOND INDEX FUND Exchange Traded Fund Financial
4816    HYGW 8/22/2022 0.92 ISHARES TRUST ISHARES HIGH YIELD CORPORATE BOND BUYWRITE STRAT Exchange Traded Fund Financial
4817    HYHG 5/23/2013 3.22 PROSHARES HIGH YIELD INTEREST RATE HEDGED Exchange Traded Fund Financial
4818    HYI 10/27/2010 16 WESTERN ASSET HIGH YIELD DEFINED OPPORTUNITY FUND INC. COMMON STOCK Investment Managers Finance
4819    HYKE 1/16/2024 0.01 ETF SERIES SOLUTIONS VEST 2 YEAR INTEREST RATE HEDGE ETF Exchange Traded Fund Financial
4820    HYLB 12/13/2016 25 XTRACKERS USD HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
4821    HYLG 11/23/2022 0.02
4822    HYLN 10/2/2020 19 HYLIION HOLDINGS CORP. CLASS A COMMON STOCK Construction/Ag Equipment/Trucks Consumer Discretionary
4823    HYLS 2/27/2013 21 FIRST TRUST TACTICAL HIGH YIELD ETF Exchange Traded Fund Financial
4824    HYMB 4/14/2011 22 SPDR NUVEEN BLOOMBERG HIGH YIELD MUNICIPAL BOND ETF Exchange Traded Fund Financial
4825    HYMC 6/1/2020 13 HYCROFT MINING HOLDING CORPORATION CLASS A COMMON STOCK Precious Metals Basic Materials
4826    HYMCL 1/25/2021 0.68 HYCROFT MINING HOLDING CORPORATION WARRANTS Precious Metals Basic Materials
4827    HYMCW 3/12/2018 1.97 HYCROFT MINING HOLDING CORPORATION WARRANT Precious Metals Basic Materials
4828    HYPR 1/27/2021 4.09 HYPERFINE INC. CLASS A COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
4829    HYRM 2/10/2022 0.14 DBX ETF TRUST XTRACKERS RISK MANAGED USD HIGH YIELD STRATEGY E Exchange Traded Fund Financial
4830    HYS 6/17/2011 28 PIMCO 0-5 YEAR HIGH YIELD CORPORAT BOND INDEX EXCHANGE-TRADED Exchange Traded Fund Financial
4831    HYSA 9/19/2023 0.21 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND SECTOR ROTAT Exchange Traded Fund Financial
4832    HYSD 9/5/2024 0.01 COLUMBIA ETF TRUST I COLUMBIA SHORT DURATION HIGH YIELD ETF Exchange Traded Fund Financial
4833    HYT 5/29/2003 44 BLACKROCK CORPORATE HIGH YIELD FUND INC. COMMON STOCK Finance Companies Finance
4834    HYTR 1/22/2020 0.27 COUNTERPOINT HIGH YIELD TREND ETF Exchange Traded Fund Financial
4835    HYUP 8/29/2018 0.31 XTRACKERS HIGH BETA HIGH YIELD BOND ETF Exchange Traded Fund Financial
4836    HYXF 6/17/2016 1.35 ISHARES ESG ADVANCED HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
4837    HYXU 4/3/2012 2.27 ISHARES INTERNATIONAL HIGH YIELD BOND ETF Exchange Traded Fund Financial
4838    HYZD 12/18/2013 5.72 WISDOMTREE INTEREST RATE HEDGED HIGH YIELD BOND FUND Exchange Traded Fund Financial
4839    HZO 6/3/1998 53 MARINEMAX INC. (FL) COMMON STOCK Auto & Home Supply Stores Consumer Discretionary
4840    IAC 6/23/2003 92 IAC INC. COMMON STOCK Computer Software: Programming Data Processing Technology
4841    IAE 3/28/2007 15 VOYA ASIA PACIFIC HIGH DIVIDEND EQUITY INCOME FUND ING ASIA PACIFIC HIGH DIVIDEND EQUITY INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
4842    IAF 1/2/1998 20 ABRDN AUSTRALIA EQUITY FUND INC. COMMON STOCK Finance/Investors Services Finance
4843    IAG 12/20/2005 82 IAMGOLD CORPORATION ORDINARY SHARES Precious Metals Basic Materials
4844    IAGG 11/12/2015 16 ISHARES INTERNATIONAL AGGREGATE BOND FUND Exchange Traded Fund Financial
4845    IAI 5/5/2006 22 ISHARES U.S. BROKER-DEALERS & SECURITIES EXCHANGES ETF Exchange Traded Fund Financial
4846    IAK 5/5/2006 7.64 ISHARES U.S. INSURANCE ETF Exchange Traded Fund Financial
4847    IAPR 4/1/2021 0.78 INNOVATOR INTERNATIONAL DEVELOPED POWER BUFFER ETF APRIL Exchange Traded Fund Financial
4848    IART 1/2/1998 67 INTEGRA LIFESCIENCES HOLDINGS CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
4849    IAS 6/30/2021 12 INTEGRAL AD SCIENCE HOLDING CORP. COMMON STOCK Computer Software: Programming Data Processing Technology
4850    IAT 5/5/2006 36 ISHARES U.S. REGIONAL BANKS ETF Exchange Traded Fund Financial
4851    IAU 1/28/2005 83 ISHARES GOLD TRUST SHARES OF THE ISHARES GOLD TRUST Exchange Traded Fund Financial
4852    IAUG 8/1/2024 0.04 INNOVATOR ETFS TRUST INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
4853    IAUM 6/29/2021 6.36 ISHARES GOLD TRUST MICRO SHARES Exchange Traded Fund Financial
4854    IAUX 5/19/2022 9.15 I-80 GOLD CORP. COMMON SHARES Precious Metals Basic Materials
4855    IBAC 5/1/2024 0.05 IB ACQUISITION CORP. COMMON STOCK
4856    IBACR 5/1/2024 0.04 IB ACQUISITION CORP. RIGHT
4857    IBAT 3/21/2024 0.03 ISHARES ENERGY STORAGE & MATERIALS ETF Exchange Traded Fund Financial
4858    IBB 2/12/2001 97 ISHARES BIOTECHNOLOGY ETF Exchange Traded Fund Financial
4859    IBBQ 6/11/2021 0.9 INVESCO NASDAQ BIOTECHNOLOGY ETF Exchange Traded Fund Financial
4860    IBCP 1/2/1998 32 INDEPENDENT BANK CORPORATION COMMON STOCK Major Banks Finance
4861    IBD 7/11/2017 2.5 INSPIRE CORPORATE BOND ETF Exchange Traded Fund Financial
4862    IBDQ 3/12/2015 12 ISHARES IBONDS DEC 2025 TERM CORPORATE ETF Exchange Traded Fund Financial
4863    IBDR 9/22/2016 10 ISHARES IBONDS DEC 2026 TERM CORPORATE ETF Exchange Traded Fund Financial
4864    IBDS 9/18/2017 8.51 ISHARES IBONDS DEC 2027 TERM CORPORATE ETF Exchange Traded Fund Financial
4865    IBDT 9/20/2018 6.68 ISHARES IBONDS DEC 2028 TERM CORPORATE ETF Exchange Traded Fund Financial
4866    IBDU 9/19/2019 5.39 ISHARES IBONDS DEC 2029 TERM CORPORATE ETF Exchange Traded Fund Financial
4867    IBDV 6/26/2020 4.49 ISHARES IBONDS DEC 2030 TERM CORPORATE ETF Exchange Traded Fund Financial
4868    IBDW 6/25/2021 3.82 ISHARES IBONDS DEC 2031 TERM CORPORATE ETF Exchange Traded Fund Financial
4869    IBDX 6/30/2022 2.39 ISHARES TRUST ISHARES IBONDS DEC 2032 TERM CORPORATE ETF Exchange Traded Fund Financial
4870    IBDY 6/23/2023 1.63 ISHARES TRUST ISHARES IBONDS DEC 2033 TERM CORPORATE ETF Exchange Traded Fund Financial
4871    IBDZ 5/24/2024 0.42 ISHARES TRUST ISHARES IBONDS DEC 2034 TERM CORPORATE ETF Exchange Traded Fund Financial
4872    IBEX 8/7/2020 3.68 IBEX LIMITED COMMON SHARES EDP Services Technology
4873    IBG 9/26/2024 0.6 INNOVATION BEVERAGE GROUP LIMITED ORDINARY SHARES Beverages (Production/Distribution) Consumer Staples
4874    IBGA 6/12/2024 0.06 ISHARES IBONDS DEC 2044 TERM TREASURY ETF Exchange Traded Fund Financial
4875    IBGK 6/12/2024 0.02 ISHARES IBONDS DEC 2054 TERM TREASURY ETF Exchange Traded Fund Financial
4876    IBHE 5/9/2019 3.07 ISHARES IBONDS 2025 TERM HIGH YIELD AND INCOME ETF Exchange Traded Fund Financial
4877    IBHF 11/18/2020 2.3 ISHARES IBONDS 2026 TERM HIGH YIELD AND INCOME ETF Exchange Traded Fund Financial
4878    IBHG 7/9/2021 1.06 ISHARES IBONDS 2027 TERM HIGH YIELD AND INCOME ETF Exchange Traded Fund Financial
4879    IBHK 5/28/2024 0.06 ISHARES TRUST ISHARES IBONDS 2031 TERM HIGH YIELD AND INCOME E Exchange Traded Fund Financial
4880    IBIB 10/4/2023 0.11 ISHARES TRUST ISHARES IBONDS OCT 2025 TERM TIPS ETF Exchange Traded Fund Financial
4881    IBIC 6/10/2024 0.08 ISHARES TRUST ISHARES IBONDS OCT 2026 TERM TIPS ETF Exchange Traded Fund Financial
4882    IBID 6/4/2024 0.07 ISHARES TRUST ISHARES IBONDS OCT 2027 TERM TIPS ETF Exchange Traded Fund Financial
4883    IBIE 9/20/2023 0.13 ISHARES TRUST ISHARES IBONDS OCT 2028 TERM TIPS ETF Exchange Traded Fund Financial
4884    IBIF 10/5/2023 0.12 ISHARES TRUST ISHARES IBONDS OCT 2029 TERM TIPS ETF Exchange Traded Fund Financial
4885    IBIG 10/6/2023 0.11 ISHARES TRUST ISHARES IBONDS OCT 2030 TERM TIPS ETF Exchange Traded Fund Financial
4886    IBIH 6/4/2024 0.07 ISHARES TRUST ISHARES IBONDS OCT 2031 TERM TIPS ETF Exchange Traded Fund Financial
4887    IBII 9/22/2023 0.08 ISHARES TRUST ISHARES IBONDS OCT 2032 TERM TIPS ETF Exchange Traded Fund Financial
4888    IBIJ 9/22/2023 0.11 ISHARES TRUST ISHARES IBONDS OCT 2033 TERM TIPS ETF Exchange Traded Fund Financial
4889    IBIK 5/24/2024 0.09 ISHARES TRUST ISHARES IBONDS OCT 2034 TERM TIPS ETF Exchange Traded Fund Financial
4890    IBIO 8/19/2008 30 IBIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4891    IBIT 9/8/2022 11 ISHARES BITCOIN TRUST ETF Exchange Traded Fund Financial
4892    IBKR 5/4/2007 70 INTERACTIVE BROKERS GROUP INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
4893    IBLC 4/27/2022 0.7 ISHARES TRUST ISHARES BLOCKCHAIN AND TECH ETF Exchange Traded Fund Financial
4894    IBM 1/2/1998 143 INTERNATIONAL BUSINESS MACHINES CORPORATION COMMON STOCK Computer Manufacturing Technology
4895    IBMN 11/15/2018 2.6 ISHARES IBONDS DEC 2025 TERM MUNI BOND ETF Exchange Traded Fund Financial
4896    IBMO 4/4/2019 2.02 ISHARES IBONDS DEC 2026 TERM MUNI BOND ETF Exchange Traded Fund Financial
4897    IBMP 4/11/2019 1.73 ISHARES IBONDS DEC 2027 TERM MUNI BOND ETF Exchange Traded Fund Financial
4898    IBMQ 4/18/2019 1.57 ISHARES IBONDS DEC 2028 TERM MUNI BOND ETF Exchange Traded Fund Financial
4899    IBMR 5/15/2023 0.42 ISHARES TRUST ISHARES IBONDS DEC 2029 TERM MUNI BOND ETF Exchange Traded Fund Financial
4900    IBMS 5/29/2024 0.09 ISHARES TRUST ISHARES IBONDS DEC 2030 TERM MUNI BOND ETF Exchange Traded Fund Financial
4901    IBN 3/28/2000 102 ICICI BANK LIMITED COMMON STOCK Commercial Banks Finance
4902    IBND 5/20/2010 7.64 SPDR BLOOMBERG INTERNATIONAL CORPORATE BOND ETF Exchange Traded Fund Financial
4903    IBO 2/4/2013 1.4 IMPACT BIOMEDICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4904    IBOC 3/4/1998 54 INTERNATIONAL BANCSHARES CORPORATION COMMON STOCK Major Banks Finance
4905    IBOT 4/10/2023 0.15 VANECK ROBOTICS ETF Exchange Traded Fund Financial
4906    IBP 2/13/2014 26 INSTALLED BUILDING PRODUCTS INC. COMMON STOCK Homebuilding Consumer Discretionary
4907    IBRN 8/29/2022 0.05 ISHARES TRUST ISHARES NEUROSCIENCE AND HEALTHCARE ETF Exchange Traded Fund Financial
4908    IBRX 7/28/2015 31 IMMUNITYBIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
4909    IBTA 2/28/2020 1.88 IBOTTA INC. CLASS A COMMON STOCK Advertising Consumer Discretionary
4910    IBTF 2/28/2020 5.37 ISHARES IBONDS DEC 2025 TERM TREASURY ETF Exchange Traded Fund Financial
4911    IBTG 2/28/2020 3.74 ISHARES IBONDS DEC 2026 TERM TREASURY ETF Exchange Traded Fund Financial
4912    IBTH 2/28/2020 3.11 ISHARES IBONDS DEC 2027 TERM TREASURY ETF Exchange Traded Fund Financial
4913    IBTI 2/28/2020 2.19 ISHARES IBONDS DEC 2028 TERM TREASURY ETF Exchange Traded Fund Financial
4914    IBTJ 2/28/2020 1.59 ISHARES IBONDS DEC 2029 TERM TREASURY ETF Exchange Traded Fund Financial
4915    IBTK 7/20/2020 1.68 ISHARES IBONDS DEC 2030 TERM TREASURY ETF Exchange Traded Fund Financial
4916    IBTL 1/5/2022 1.19 ISHARES IBONDS DEC 2031 TERM TREASURY ETF Exchange Traded Fund Financial
4917    IBTM 7/8/2022 1.14 ISHARES IBONDS DEC 2032 TERM TREASURY ETF Exchange Traded Fund Financial
4918    IBTO 7/3/2023 0.6 ISHARES IBONDS DEC 2033 TERM TREASURY ETF Exchange Traded Fund Financial
4919    IBTP 6/12/2024 0.15 ISHARES IBONDS DEC 2034 TERM TREASURY ETF Exchange Traded Fund Financial
4920    IBUF 7/1/2024 0.06 SHL TELEMEDICINE LTD INNOVATOR INTERNATIONAL DEVELOPED 10 BUFF Exchange Traded Fund Financial
4921    IBUY 4/20/2016 8.98 AMPLIFY ETF TRUST AMPLIFY ONLINE RETAIL ETF Exchange Traded Fund Financial
4922    ICAD 7/1/2002 21 ICAD INC. COMMON STOCK Medical/Dental Instruments Health Care
4923    ICAP 12/29/2021 0.88 SERIES PORTFOLIOS TRUST INFRACAP EQUITY INCOME FUND ETF Exchange Traded Fund Financial
4924    ICCC 1/2/1998 3.08 IMMUCELL CORPORATION COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
4925    ICCH 3/28/2017 0.21 ICC HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
4926    ICCM 8/26/2021 3.58 ICECURE MEDICAL LTD. ORDINARY SHARES Medical/Dental Instruments Health Care
4927    ICCT 8/28/2023 2.24 ICORECONNECT INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4928    ICE 11/16/2005 91 INTERCONTINENTAL EXCHANGE INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
4929    ICF 2/2/2001 61 ISHARES COHEN & STEERS REIT ETF Exchange Traded Fund Financial
4930    ICFI 9/28/2006 31 ICF INTERNATIONAL INC. COMMON STOCK Professional Services Consumer Discretionary
4931    ICG 7/16/2009 0.85 INTCHAINS GROUP LIMITED AMERICAN DEPOSITARY SHARES Semiconductors Technology
4932    ICHR 12/9/2016 22 ICHOR HOLDINGS ORDINARY SHARES Semiconductors Technology
4933    ICL 9/24/2014 25 ICL GROUP LTD. ORDINARY SHARES Agricultural Chemicals Industrials
4934    ICLK 12/22/2017 10 ICLICK INTERACTIVE ASIA GROUP LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
4935    ICLN 6/25/2008 33 ISHARES GLOBAL CLEAN ENERGY ETF Exchange Traded Fund Financial
4936    ICLO 12/12/2022 0.95 INVESCO ACTIVELY MANAGED EXCHANGE-TRADED FUND TRUS INVESCO AAA Exchange Traded Fund Financial
4937    ICLR 3/3/1999 62 ICON PLC ORDINARY SHARES Biotechnology: Commercial Physical & Biological Resarch Health Care
4938    ICMB 2/6/2014 5.66 INVESTCORP CREDIT MANAGEMENT BDC INC. COMMON STOCK Finance: Consumer Services Finance
4939    ICON 7/1/2005 52 ICON ENERGY CORP. COMMON STOCK Marine Transportation Consumer Discretionary
4940    ICOP 6/26/2023 0.42 ISHARES COPPER AND METALS MINING ETF Exchange Traded Fund Financial
4941    ICOW 6/19/2017 5.21 PACER DEVELOPED MARKETS INTERNATIONAL CASH COWS 100 ETF Exchange Traded Fund Financial
4942    ICR.A 9/23/2021 0.31 INPOINT COMMERCIAL REAL ESTATE INCOME INC. 6.75% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
4943    ICSH 12/16/2013 20 ISHARES ULTRA SHORT-TERM BOND ACTIVE ETF Exchange Traded Fund Financial
4944    ICU 10/31/2022 6.6 SEASTAR MEDICAL HOLDING CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
4945    ICUCW 3/18/2021 0.82 SEASTAR MEDICAL HOLDING CORPORATION WARRANT Medical/Dental Instruments Health Care
4946    ICUI 1/2/1998 48 ICU MEDICAL INC. COMMON STOCK Medical/Dental Instruments Health Care
4947    ICVT 6/4/2015 12 ISHARES CONVERTIBLE BOND ETF Exchange Traded Fund Financial
4948    IDA 1/2/1998 79 IDACORP INC. COMMON STOCK Electric Utilities: Central Utilities
4949    IDAI 2/24/2021 4.06 T STAMP INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
4950    IDAT 6/14/2021 0.21 ISHARES FUTURE CLOUD 5G AND TECH ETF Exchange Traded Fund Financial
4951    IDCC 4/26/2000 86 INTERDIGITAL INC. COMMON STOCK Multi-Sector Companies Miscellaneous
4952    IDE 2/2/2010 17 VOYA INFRASTRUCTURE INDUSTRIALS AND MATERIALS FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
4953    IDEC 12/1/2023 0.06 INNOVATOR ETFS TRUST INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
4954    IDEV 3/27/2017 17 ISHARES CORE MSCI INTERNATIONAL DEVELOPED MARKETS ETF Exchange Traded Fund Financial
4955    IDGT 4/25/2007 9.1 ISHARES U.S. DIGITAL INFRASTRUCTURE AND REAL ESTATE ETF Exchange Traded Fund Financial
4956    IDHQ 6/13/2007 3.83 INVESCO S&P INTERNATIONAL DEVELOPED QUALITY ETF Exchange Traded Fund Financial
4957    IDLV 1/17/2012 11 INVESCO S&P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF Exchange Traded Fund Financial
4958    IDMO 7/5/2012 1.56 INVESCO S&P INTERNATIONAL DEVELOPED MOMENTUM ETF Exchange Traded Fund Financial
4959    IDN 11/19/1999 13 INTELLICHECK INC. COMMON STOCK Computer Software: Prepackaged Software Technology
4960    IDNA 6/14/2019 4.33 ISHARES GENOMICS IMMUNOLOGY AND HEALTHCARE ETF Exchange Traded Fund Financial
4961    IDOG 6/28/2013 6.14 ALPS INTERNATIONAL SECTOR DIVIDEND DOGS ETF Exchange Traded Fund Financial
4962    IDR 3/11/2022 1.96 IDAHO STRATEGIC RESOURCES INC. COMMON STOCK Precious Metals Basic Materials
4963    IDRV 4/18/2019 5.77 ISHARES SELF-DRIVING EV AND TECH ETF Exchange Traded Fund Financial
4964    IDT 5/16/2001 48 IDT CORPORATION CLASS B COMMON STOCK Telecommunications Equipment Telecommunications
4965    IDU 11/30/2005 28 ISHARES U.S. UTILITIES ETF Exchange Traded Fund Financial
4966    IDUB 5/1/2023 0.46 APTUS INTERNATIONAL ENHANCED YIELD ETF Exchange Traded Fund Financial
4967    IDV 6/21/2007 55 ISHARES INTERNATIONAL SELECT DIVIDEND ETF Exchange Traded Fund Financial
4968    IDVO 9/8/2022 0.79 AMPLIFY CWP INTERNATIONAL ENHANCED DIVIDEND INCOME ETF Exchange Traded Fund Financial
4969    IDX 1/20/2009 17 VANECK INDONESIA INDEX ETF Exchange Traded Fund Financial
4970    IDXG 5/2/2007 11
4971    IDXX 1/2/1998 80 IDEXX LABORATORIES INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
4972    IDYA 5/23/2019 13 IDEAYA BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4973    IE 6/28/2022 6.85 IVANHOE ELECTRIC INC. COMMON STOCK Metal Mining Basic Materials
4974    IEDI 3/23/2018 0.58 ISHARES U.S. CONSUMER FOCUSED ETF Exchange Traded Fund Financial
4975    IEF 7/30/2002 83 ISHARES 7-10 YEAR TREASURY BOND ETF Exchange Traded Fund Financial
4976    IEFA 10/24/2012 51 ISHARES CORE MSCI EAFE ETF Exchange Traded Fund Financial
4977    IEI 1/11/2007 51 ISHARES 3-7 YEAR TREASURY BOND ETF Exchange Traded Fund Financial
4978    IEMG 10/24/2012 56 ISHARES CORE MSCI EMERGING MARKETS ETF Exchange Traded Fund Financial
4979    IEO 5/5/2006 41 ISHARES U.S. OIL & GAS EXPLORATION & PRODUCTION ETF Exchange Traded Fund Financial
4980    IEP 9/18/2007 34 ICAHN ENTERPRISES L.P. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
4981    IESC 5/15/2006 14 IES HOLDINGS INC. COMMON STOCK Engineering & Construction Industrials
4982    IETC 3/23/2018 2.45 ISHARES U.S. TECH INDEPENDENCE FOCUSED ETF Exchange Traded Fund Financial
4983    IEUR 6/12/2014 29 ISHARES CORE MSCI EUROPE ETF Exchange Traded Fund Financial
4984    IEUS 11/19/2007 3.28 ISHARES MSCI EUROPE SMALL-CAP ETF Exchange Traded Fund Financial
4985    IEV 11/30/2005 57 ISHARES EUROPE ETF Exchange Traded Fund Financial
4986    IEX 1/2/1998 80 IDEX CORPORATION COMMON STOCK Fluid Controls Industrials
4987    IEZ 5/5/2006 39 ISHARES U.S. OIL EQUIPMENT & SERVICES ETF Exchange Traded Fund Financial
4988    IFBD 4/20/2021 5.73 INFOBIRD CO. LTD ORDINARY SHARES Computer Software: Prepackaged Software Technology
4989    IFEB 2/1/2024 0.06 INNOVATOR ETFS TRUST INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
4990    IFED 9/15/2021 0.64 ETRACS IFED INVEST WITH THE FED TR INDEX ETN Exchange Traded Fund Financial
4991    IFF 1/2/1998 105 INTERNATIONAL FLAVORS & FRAGRANCES INC. COMMON STOCK Major Chemicals Industrials
4992    IFGL 11/19/2007 13 ISHARES INTERNATIONAL DEVELOPED REAL ESTATE ETF Exchange Traded Fund Financial
4993    IFMK 2/13/2017 4.37
4994    IFN 1/2/1998 48 INDIA FUND INC. (THE) COMMON STOCK Finance/Investors Services Finance
4995    IFRA 4/5/2018 9.9 ISHARES U.S. INFRASTRUCTURE ETF Exchange Traded Fund Financial
4996    IFRX 11/8/2017 11 INFLARX N.V. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
4997    IFS 7/19/2019 5.02 INTERCORP FINANCIAL SERVICES INC. COMMON SHARES Commercial Banks Finance
4998    IFV 7/23/2014 11 FIRST TRUST DORSEY WRIGHT INTERNATIONAL FOCUS 5 ETF Exchange Traded Fund Financial
4999    IG 9/19/2018 0.85 PRINCIPAL INVESTMENT GRADE CORPORATE ACTIVE ETF Exchange Traded Fund Financial
5000    IGA 10/27/2005 19 VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
5001    IGBH 9/11/2015 3.11 ISHARES INTEREST RATE HEDGED LONG-TERM CORPORATE BOND ETF Exchange Traded Fund Financial
5002    IGC 5/24/2006 24 IGC PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5003    IGD 3/29/2005 47 VOYA GLOBAL EQUITY DIVIDEND AND PREMIUM OPPORTUNITY FUND Trusts Except Educational Religious and Charitable Finance
5004    IGE 11/26/2001 52 ISHARES NORTH AMERICAN NATURAL RESOURCES ETF Exchange Traded Fund Financial
5005    IGEB 7/14/2017 3.75 ISHARES INVESTMENT GRADE SYSTEMATIC BOND ETF Exchange Traded Fund Financial
5006    IGF 12/12/2007 31 ISHARES GLOBAL INFRASTRUCTURE ETF Exchange Traded Fund Financial
5007    IGHG 11/13/2013 5.93 PROSHARES INVESTMENT GRADE-INTEREST RATE HEDGED Exchange Traded Fund Financial
5008    IGI 7/1/2009 11 WESTERN ASSET INVESTMENT GRADE OPPORTUNITY TRUST INC. COMMON STOCK Investment Managers Finance
5009    IGIB 5/16/2007 51 ISHARES 5-10 YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
5010    IGIC 4/10/2018 3.21 INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD. ORDINARY SHARE Property-Casualty Insurers Finance
5011    IGLB 12/9/2009 25 ISHARES 10 YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
5012    IGLD 3/4/2021 1.02 FT VEST GOLD STRATEGY TARGET INCOME ETF Exchange Traded Fund Financial
5013    IGM 3/19/2001 22 ISHARES EXPANDED TECH SECTOR ETF Exchange Traded Fund Financial
5014    IGMS 9/18/2019 11 IGM BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5015    IGOV 1/30/2009 16 ISHARES INTERNATIONAL TREASURY BOND ETF Exchange Traded Fund Financial
5016    IGPT 5/16/2007 7.11 INVESCO AI AND NEXT GEN SOFTWARE ETF Exchange Traded Fund Financial
5017    IGR 2/25/2004 55 CBRE GLOBAL REAL ESTATE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
5018    IGRO 5/19/2016 3.37 ISHARES INTERNATIONAL DIVIDEND GROWTH ETF Exchange Traded Fund Financial
5019    IGSB 5/16/2007 62 ISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
5020    IGT 1/2/1998 119 INTERNATIONAL GAME TECHNOLOGY ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
5021    IGTA 1/21/2022 0.14
5022    IGTAR 1/25/2022 0.05
5023    IGTAU 12/9/2021 0.04
5024    IGTAW 1/24/2022 0.08
5025    IGTR 11/17/2022 0.66 INNOVATOR ETFS TRUST INNOVATOR GRADIENT TACTICAL ROTATION STRA Exchange Traded Fund Financial
5026    IGV 9/3/2002 47 ISHARES EXPANDED TECH-SOFTWARE SECTOR ETF Exchange Traded Fund Financial
5027    IH 10/9/2020 2.07 IHUMAN INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FIVE CLASS A ORDINARY SHARES Other Consumer Services Real Estate
5028    IHAK 6/14/2019 6.55 ISHARES CYBERSECURITY AND TECH ETF Exchange Traded Fund Financial
5029    IHD 4/28/2011 15 VOYA EMERGING MARKETS HIGH INCOME DIVIDEND EQUITY FUND COMMON SHARES Investment Managers Finance
5030    IHDG 5/7/2014 14 WISDOMTREE INTERNATIONAL HEDGED QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
5031    IHE 5/5/2006 10 ISHARES U.S. PHARMACEUTICAL ETF Exchange Traded Fund Financial
5032    IHF 5/5/2006 18 ISHARES U.S. HEALTH CARE PROVIDERS ETF Exchange Traded Fund Financial
5033    IHG 4/15/2003 46 INTERCONTINENTAL HOTELS GROUP AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE ORDINARY SHARE) Hotels/Resorts Consumer Discretionary
5034    IHI 5/5/2006 38 ISHARES U.S. MEDICAL DEVICES ETF Exchange Traded Fund Financial
5035    IHRT 8/4/2008 19 IHEARTMEDIA INC. CLASS A COMMON STOCK Broadcasting Consumer Discretionary
5036    IHS 11/14/2005 40 IHS HOLDING LIMITED ORDINARY SHARES Telecommunications Equipment Telecommunications
5037    IHT 11/25/2003 3.04 INNSUITES HOSPITALITY TRUST SHARES OF BENEFICIAL INTEREST Investment Bankers/Brokers/Service Finance
5038    IHY 4/3/2012 5.85 VANECK INTERNATIONAL HIGH YIELD BOND ETF Exchange Traded Fund Financial
5039    IHYF 12/3/2020 0.25 INVESCO HIGH YIELD BOND FACTOR ETF Exchange Traded Fund Financial
5040    IIF 1/2/1998 27 MORGAN STANLEY INDIA INVESTMENT FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
5041    IIGD 12/10/2018 1.47 INVESCO INVESTMENT GRADE DEFENSIVE ETF Exchange Traded Fund Financial
5042    III 2/12/2007 23 INFORMATION SERVICES GROUP INC. COMMON STOCK Professional Services Consumer Discretionary
5043    IIIN 9/28/2004 38 INSTEEL INDUSTRIES INC. COMMON STOCK Steel/Iron Ore Industrials
5044    IIIV 6/21/2018 11 I3 VERTICALS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
5045    IIM 1/2/1998 24 INVESCO VALUE MUNICIPAL INCOME TRUST COMMON STOCK Investment Managers Finance
5046    IINN 7/14/2021 4.09 INSPIRA TECHNOLOGIES OXY B.H.N. LTD. ORDINARY SHARES Medical/Dental Instruments Health Care
5047    IINNW 7/14/2021 0.34 INSPIRA TECHNOLOGIES OXY B.H.N. LTD. WARRANT Medical/Dental Instruments Health Care
5048    IIPR 12/1/2016 22 INNOVATIVE INDUSTRIAL PROPERTIES INC. COMMON STOCK Real Estate Finance
5049    IIPR.A 10/24/2017 0.57 INNOVATIVE INDUSTRIAL PROPERTIES INC. 9.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
5050    IJAN 1/2/2020 0.96 INNOVATOR INTERNATIONAL DEVELOPED POWER BUFFER ETF JANUARY Exchange Traded Fund Financial
5051    IJH 11/30/2005 87 ISHARES CORE S&P MID-CAP ETF Exchange Traded Fund Financial
5052    IJJ 11/30/2005 43 ISHARES S&P MID-CAP 400 VALUE ETF Exchange Traded Fund Financial
5053    IJK 11/30/2005 46 ISHARES S&P MID-CAP 400 GROWTH ETF Exchange Traded Fund Financial
5054    IJR 11/30/2005 89 ISHARES CORE S&P SMALL-CAP ETF Exchange Traded Fund Financial
5055    IJS 11/30/2005 47 ISHARES S&P SMALLCAP 600 VALUE ETF Exchange Traded Fund Financial
5056    IJT 11/30/2005 40 ISHARES S&P SMALLCAP 600 GROWTH ETF Exchange Traded Fund Financial
5057    IJUL 7/1/2019 1.1 INNOVATOR INTERNATIONAL DEVELOPED POWER BUFFER ETF JULY Exchange Traded Fund Financial
5058    IJUN 6/3/2024 0.08 SHL TELEMEDICINE LTD INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
5059    IKNA 3/26/2021 4.38 IKENA ONCOLOGY INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5060    IKT 12/23/2020 4.17 INHIBIKASE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5061    ILAG 7/13/2022 3.03 INTELLIGENT LIVING APPLICATION GROUP INC. ORDINARY SHARES Office Equipment/Supplies/Services Consumer Discretionary
5062    ILCB 3/22/2021 1.51 ISHARES MORNINGSTAR LARGE-CAP ETF Exchange Traded Fund Financial
5063    ILCG 5/16/2007 13 ISHARES MORNINGSTAR LARGE-CAP GROWTH ETF Exchange Traded Fund Financial
5064    ILCV 5/16/2007 7.25 ISHARES MORNINGSTAR LARGE-CAP VALUE ETF Exchange Traded Fund Financial
5065    ILDR 5/26/2021 0.32 FIRST TRUST INNOVATION LEADERS ETF Exchange Traded Fund Financial
5066    ILF 2/5/2002 81 ISHARES LATIN AMERICA 40 ETF Exchange Traded Fund Financial
5067    ILIT 7/3/2023 0.19 ISHARES LITHIUM MINERS AND PRODUCERS ETF Exchange Traded Fund Financial
5068    ILLR 7/30/2019 4.96 TRILLER GROUP INC. COMMON STOCK Investment Managers Finance
5069    ILLRW 7/30/2019 0.61 TRILLER GROUP INC. WARRANT Investment Managers Finance
5070    ILMN 7/28/2000 94 ILLUMINA INC. COMMON STOCK Medical Specialities Health Care
5071    ILOW 7/15/2024 0.14 AB ACTIVE ETFS INC. AB INTERNATIONAL LOW VOLATILITY EQUITY ET Exchange Traded Fund Financial
5072    ILPT 1/12/2018 22 INDUSTRIAL LOGISTICS PROPERTIES TRUST COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
5073    ILTB 12/9/2009 7.7 ISHARES CORE 10 YEAR USD BOND ETF Exchange Traded Fund Financial
5074    IMAB 1/17/2020 13 I-MAB AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5075    IMAQ 8/17/2021 0.46
5076    IMAQR 8/17/2021 0.15
5077    IMAQW 8/17/2021 0.27
5078    IMAR 3/1/2024 0.07 INNOVATOR ETFS TRUST INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
5079    IMAX 3/5/1999 75 IMAX CORPORATION COMMON STOCK Industrial Machinery/Components Consumer Discretionary
5080    IMAY 5/1/2024 0.02 SHL TELEMEDICINE LTD INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
5081    IMCB 3/22/2021 1.65 ISHARES MORNINGSTAR MID-CAP ETF Exchange Traded Fund Financial
5082    IMCC 3/1/2021 4.07 IM CANNABIS CORP. COMMON SHARES Medicinal Chemicals and Botanical Products Health Care
5083    IMCG 3/22/2021 5.88 ISHARES MORNINGSTAR MID-CAP GROWTH ETF Exchange Traded Fund Financial
5084    IMCR 2/5/2021 8.16 IMMUNOCORE HOLDINGS PLC AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5085    IMCV 5/16/2007 5.23 ISHARES MORNINGSTAR MID-CAP VALUE ETF Exchange Traded Fund Financial
5086    IMG 4/14/2014 3.51 CIMG INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
5087    IMKTA 3/31/2005 29 INGLES MARKETS INCORPORATED CLASS A COMMON STOCK Food Chains Consumer Staples
5088    IMMP 4/17/2012 12 IMMUTEP LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5089    IMMR 11/12/1999 59 IMMERSION CORPORATION COMMON STOCK Computer peripheral equipment Technology
5090    IMMX 12/16/2021 4.53 IMMIX BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5091    IMNM 10/2/2020 6.9 IMMUNOME INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5092    IMNN 7/6/2007 26 IMUNON INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5093    IMO 1/2/1998 71 IMPERIAL OIL LIMITED COMMON STOCK Integrated oil Companies Energy
5094    IMOM 12/23/2015 1.19 ALPHA ARCHITECT INTERNATIONAL QUANTITATIVE MOMENTUM ETF Exchange Traded Fund Financial
5095    IMOS 7/3/2003 37 CHIPMOS TECHNOLOGIES INC. AMERICAN DEPOSITARY SHARES Semiconductors Technology
5096    IMPP 12/6/2021 13 IMPERIAL PETROLEUM INC. COMMON SHARES Marine Transportation Consumer Discretionary
5097    IMPPP 12/6/2021 0.17 IMPERIAL PETROLEUM INC. 8.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES Marine Transportation Consumer Discretionary
5098    IMRN 3/2/2017 2.54 IMMURON LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5099    IMRX 7/30/2021 4.92 IMMUNEERING CORPORATION CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5100    IMTB 11/7/2016 1.64 ISHARES CORE 5-10 YEAR USD BOND ETF Exchange Traded Fund Financial
5101    IMTE 11/22/2017 5.36 INTEGRATED MEDIA TECHNOLOGY LIMITED ORDINARY SHARES Consumer Electronics/Appliances Consumer Staples
5102    IMTM 1/29/2015 8.02 ISHARES MSCI INTL MOMENTUM FACTOR ETF Exchange Traded Fund Financial
5103    IMTX 7/2/2020 9.32 IMMATICS N.V. ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5104    IMTXW 7/2/2020 0.44 IMMATICS N.V. WARRANTS Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5105    IMUX 4/17/2019 12 IMMUNIC INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5106    IMVT 6/21/2019 17 IMMUNOVANT INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5107    IMXI 3/27/2017 13 INTERNATIONAL MONEY EXPRESS INC. COMMON STOCK Business Services Consumer Discretionary
5108    INAB 7/30/2021 3.87 IN8BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5109    INBK 5/18/2007 7.45 FIRST INTERNET BANCORP COMMON STOCK Major Banks Finance
5110    INBKZ 6/17/2019 0.27 FIRST INTERNET BANCORP 6.0% FIXED-TO-FLOATING RATE SUBORDINATED NOTES DUE 2029 Major Banks Finance
5111    INBS 12/23/2020 6.5 INTELLIGENT BIO SOLUTIONS INC. COMMON STOCK Medical/Dental Instruments Health Care
5112    INBX 8/19/2020 9.34 INHIBRX BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5113    INCE 5/31/2024 0.1 FRANKLIN INCOME EQUITY FOCUS ETF Exchange Traded Fund Financial
5114    INCM 6/8/2023 1.44 FRANKLIN TEMPLETON ETF TRUST FRANKLIN INCOME FOCUS ETF Exchange Traded Fund Financial
5115    INCO 8/10/2011 4.48 COLUMBIA INDIA CONSUMER ETF Exchange Traded Fund Financial
5116    INCR 11/7/2014 12 INTERCURE LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5117    INCY 1/2/1998 101 INCYTE CORP. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
5118    INDA 2/3/2012 51 ISHARES MSCI INDIA ETF Exchange Traded Fund Financial
5119    INDB 1/2/1998 39 INDEPENDENT BANK CORP. COMMON STOCK Major Banks Finance
5120    INDE 9/22/2023 0.08 MATTHEWS INTERNATIONAL FUNDS MATTHEWS INDIA ACTIVE ETF Exchange Traded Fund Financial
5121    INDF 10/21/2020 0.21 RANGE INDIA FINANCIALS ETF Exchange Traded Fund Financial
5122    INDH 5/9/2024 0.05 WISDOMTREE INDIA HEDGED EQUITY FUND Exchange Traded Fund Financial
5123    INDI 6/11/2021 15 INDIE SEMICONDUCTOR INC. CLASS A COMMON STOCK Semiconductors Technology
5124    INDL 3/11/2010 13 DIREXION DAILY MSCI INDIA BULL 2X SHARES Exchange Traded Fund Financial
5125    INDO 12/19/2019 8.08 INDONESIA ENERGY CORPORATION LIMITED ORDINARY SHARES Oil & Gas Production Energy
5126    INDP 8/4/2021 2.03 INDAPTUS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5127    INDS 5/15/2018 3.37 PACER INDUSTRIAL REAL ESTATE ETF Exchange Traded Fund Financial
5128    INDV 6/12/2023 3.05 INDIVIOR PLC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5129    INDY 11/20/2009 22 ISHARES INDIA 50 ETF Exchange Traded Fund Financial
5130    INEQ 6/13/2016 0.27 COLUMBIA INTERNATIONAL EQUITY INCOME ETF Exchange Traded Fund Financial
5131    INFA 4/29/1999 69 INFORMATICA INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
5132    INFL 1/12/2021 7.24 HORIZON KINETICS INFLATION BENEFICIARIES ETF Exchange Traded Fund Financial
5133    INFN 6/7/2007 68
5134    INFO 10/10/2024 0.01 HARBOR ETF TRUST HARBOR PANAGORA DYNAMIC LARGE CAP CORE ETF Exchange Traded Fund Financial
5135    INFR 12/30/2016 0.27 CLEARBRIDGE SUSTAINABLE INFRASTRUCTURE ETF Exchange Traded Fund Financial
5136    INFU 12/23/2010 7.94 INFUSYSTEMS HOLDINGS INC. COMMON STOCK Medical/Dental Instruments Health Care
5137    INFY 3/11/1999 110 INFOSYS LIMITED AMERICAN DEPOSITARY SHARES EDP Services Technology
5138    ING 1/2/1998 110 ING GROUP N.V. COMMON STOCK Commercial Banks Finance
5139    INGM 10/24/2024 1.03 INGRAM MICRO HOLDING CORPORATION COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
5140    INGN 5/11/2007 28 INOGEN INC COMMON STOCK Industrial Specialties Health Care
5141    INGR 1/2/1998 89 INGREDION INCORPORATED COMMON STOCK Packaged Foods Consumer Staples
5142    INHD 12/14/2023 0.79 INNO HOLDINGS INC. COMMON STOCK Steel/Iron Ore Industrials
5143    INKM 4/26/2012 1.95 SPDR SSGA INCOME ALLOCATION ETF Exchange Traded Fund Financial
5144    INKT 10/15/2021 2.03 MINK THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5145    INLF 1/2/2025 0.33 INLIF LIMITED ORDINARY SHARES Industrial Machinery/Components Industrials
5146    INLX 2/14/2012 0.57 INTELLINETICS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5147    INM 5/5/2014 10 INMED PHARMACEUTICALS INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
5148    INMB 2/4/2019 7.49 INMUNE BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5149    INMD 1/2/1998 27 INMODE LTD. ORDINARY SHARES Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
5150    INMU 3/19/2021 0.31 ISHARES INTERMEDIATE MUNI INCOME ACTIVE ETF Exchange Traded Fund Financial
5151    INN 2/9/2011 49 SUMMIT HOTEL PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
5152    INN.E 11/14/2017 1.3 SUMMIT HOTEL PROPERTIES INC. 6.250% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK
5153    INN.F 8/16/2021 0.47 SUMMIT HOTEL PROPERTIES INC. 5.875% SERIES F CUMULATIVE REDEEMABLE PREFERRED STOCK $0.01 PAR VALUE PER SHARE
5154    INNV 3/4/2021 4.19 INNOVAGE HOLDING CORP. COMMON STOCK Medical/Nursing Services Health Care
5155    INO 4/4/2005 62 INOVIO PHARMACEUTICALS INC. COMMON STOCK Medical/Dental Instruments Health Care
5156    INOD 1/5/1998 20 INNODATA INC. COMMON STOCK EDP Services Technology
5157    INOV 2/12/2015 22 INNOVATOR ETFS TRUST INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
5158    INQQ 4/6/2022 0.69 INQQ THE INDIA INTERNET ETF Exchange Traded Fund Financial
5159    INR 3/18/2008 0.7 INFINITY NATURAL RESOURCES INC. CLASS A COMMON STOCK Oil & Gas Production Energy
5160    INRO 3/28/2024 0.06 ISHARES U.S. INDUSTRY ROTATION ACTIVE ETF Exchange Traded Fund Financial
5161    INSE 12/11/2014 7.66 INSPIRED ENTERTAINMENT INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5162    INSG 5/1/2007 50 INSEEGO CORP. COMMON STOCK Telecommunications Equipment Telecommunications
5163    INSM 8/28/2000 61 INSMED INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5164    INSP 12/15/1998 67 INSPIRE MEDICAL SYSTEMS INC. COMMON STOCK Medical/Dental Instruments Health Care
5165    INSW 11/16/2016 25 INTERNATIONAL SEAWAYS INC. COMMON STOCK Marine Transportation Consumer Discretionary
5166    INTA 6/30/2021 8.9 INTAPP INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5167    INTC 1/2/1998 178 INTEL CORPORATION COMMON STOCK Semiconductors Technology
5168    INTE 12/22/2021 0.09
5169    INTEW 12/16/2021 0.09
5170    INTF 5/4/2015 10 ISHARES INTERNATIONAL EQUITY FACTOR ETF Exchange Traded Fund Financial
5171    INTG 3/23/2004 0.86 INTERGROUP CORPORATION (THE) COMMON STOCK Building operators Real Estate
5172    INTJ 3/20/2024 0.71 INTELLIGENT GROUP LIMITED CLASS A ORDINARY SHARES Professional Services Consumer Discretionary
5173    INTL 12/2/2022 0.47
5174    INTR 6/23/2022 7.9 INTER & CO. INC. CLASS A COMMON SHARES Commercial Banks Finance
5175    INTS 6/30/2023 0.67 INTENSITY THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5176    INTT 2/4/2002 12 INTEST CORPORATION COMMON STOCK Electrical Products Industrials
5177    INTU 1/2/1998 129 INTUIT INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5178    INTZ 5/16/2007 6.84 INTRUSION INC. COMMON STOCK Computer Communications Equipment Telecommunications
5179    INUV 7/31/2009 20 INUVO INC. Advertising Consumer Discretionary
5180    INV 8/4/2009 1.09 INNVENTURE INC. COMMON STOCK Blank Checks Finance
5181    INVA 5/4/2007 64 INNOVIVA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5182    INVE 1/15/2010 14 IDENTIV INC. COMMON STOCK Computer peripheral equipment Technology
5183    INVH 2/1/2017 38 INVITATION HOMES INC. COMMON STOCK Real Estate Finance
5184    INVN 11/16/2011 23
5185    INVX 5/1/2007 35 INNOVEX INTERNATIONAL INC. COMMON STOCK Metal Fabrications Industrials
5186    INVZ 4/6/2021 15 INNOVIZ TECHNOLOGIES LTD. ORDINARY SHARES Auto Parts:O.E.M. Consumer Discretionary
5187    INVZW 4/6/2021 0.81 INNOVIZ TECHNOLOGIES LTD. WARRANT Auto Parts:O.E.M. Consumer Discretionary
5188    INZY 7/24/2020 7.84 INOZYME PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5189    IOBT 11/5/2021 2.56 IO BIOTECH INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5190    IOCT 10/1/2021 0.45 INNOVATOR INTERNATIONAL DEVELOPED POWER BUFFER ETF - OCTOBER Exchange Traded Fund Financial
5191    ION 12/1/2022 0.08 PROSHARES TRUST PROSHARES S&P GLOBAL CORE BATTERY METALS ETF Exchange Traded Fund Financial
5192    IONM 9/29/2021 2.86
5193    IONQ 1/4/2021 27 IONQ INC. COMMON STOCK EDP Services Technology
5194    IONR 6/30/2022 0.67 IONEER LTD AMERICAN DEPOSITARY SHARES Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
5195    IONS 5/8/2002 87 IONIS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5196    IOO 12/8/2000 23 ISHARES GLOBAL 100 ETF Exchange Traded Fund Financial
5197    IOPP 3/5/2024 0.13 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY TARA INDIA OPPORTUNITI Exchange Traded Fund Financial
5198    IOR 5/18/2007 0.61 INCOME OPPORTUNITY REALTY INVESTORS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
5199    IOSP 3/22/2006 36 INNOSPEC INC. COMMON STOCK Major Chemicals Industrials
5200    IOT 1/5/1998 15 SAMSARA INC. CLASS A COMMON STOCK EDP Services Technology
5201    IOVA 9/1/2009 39 IOVANCE BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5202    IP 1/2/1998 133 INTERNATIONAL PAPER COMPANY COMMON STOCK Paper Basic Materials
5203    IPA 11/14/2008 3.91 IMMUNOPRECISE ANTIBODIES LTD. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5204    IPAC 6/12/2014 9.08 ISHARES CORE MSCI PACIFIC ETF Exchange Traded Fund Financial
5205    IPAR 3/28/2000 39 INTERPARFUMS INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
5206    IPAY 7/16/2015 12 AMPLIFY DIGITAL PAYMENTS ETF Exchange Traded Fund Financial
5207    IPB 6/6/2006 0.62
5208    IPDN 6/24/2020 3.93 PROFESSIONAL DIVERSITY NETWORK INC. COMMON STOCK Computer Software: Programming Data Processing Technology
5209    IPDP 3/7/2022 0.1 LISTED FUNDS TRUST DIVIDEND PERFORMERS ETF Exchange Traded Fund Financial
5210    IPG 1/2/1998 124 INTERPUBLIC GROUP OF COMPANIES INC. (THE) COMMON STOCK Advertising Consumer Discretionary
5211    IPGP 12/13/2006 55 IPG PHOTONICS CORPORATION COMMON STOCK Semiconductors Technology
5212    IPHA 10/17/2019 1.9 INNATE PHARMA S.A. ADS Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5213    IPI 4/22/2008 55 INTREPID POTASH INC COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
5214    IPKW 2/27/2014 3.1 INVESCO INTERNATIONAL BUYBACK ACHIEVERS ETF Exchange Traded Fund Financial
5215    IPM 3/12/2018 3.52 INTELLIGENT PROTECTION MANAGEMENT CORP. COMMON STOCK Business Services Consumer Discretionary
5216    IPO 10/16/2013 8.62 RENAISSANCE IPO ETF Exchange Traded Fund Financial
5217    IPOS 10/7/2014 0.73 RENAISSANCE CAPITAL GREENWICH FUND Exchange Traded Fund Financial
5218    IPPP 3/7/2022 0.06 LISTED FUNDS TRUST PREFERRED-PLUS ETF Exchange Traded Fund Financial
5219    IPSC 6/18/2021 5.77 CENTURY THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5220    IPW 7/25/2008 3.98 IPOWER INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
5221    IPWR 11/22/2013 6.93 IDEAL POWER INC. COMMON STOCK Semiconductors Technology
5222    IPX 6/21/2022 1.05 IPERIONX LIMITED AMERICAN DEPOSITARY SHARE Other Metals and Minerals Basic Materials
5223    IPXX 7/17/2023 0.16 INFLECTION POINT ACQUISITION CORP. II CLASS A ORDINARY SHARE Blank Checks Finance
5224    IPXXU 5/25/2023 0.05 INFLECTION POINT ACQUISITION CORP. II UNIT Blank Checks Finance
5225    IPXXW 7/17/2023 0.12 INFLECTION POINT ACQUISITION CORP. II WARRANT Blank Checks Finance
5226    IQ 3/29/2018 37 IQIYI INC. AMERICAN DEPOSITARY SHARES Consumer Electronics/Video Chains Consumer Discretionary
5227    IQDF 4/16/2013 8.83 FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND Exchange Traded Fund Financial
5228    IQDG 4/7/2016 4.57 WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND Exchange Traded Fund Financial
5229    IQDY 4/16/2013 1.6 FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND Exchange Traded Fund Financial
5230    IQHI 10/25/2022 0.02 NYLI MACKAY HIGH INCOME ETF Exchange Traded Fund Financial
5231    IQI 1/2/1998 23 INVESCO QUALITY MUNICIPAL INCOME TRUST COMMON STOCK Finance Companies Finance
5232    IQLT 1/23/2015 21 ISHARES MSCI INTL QUALITY FACTOR ETF Exchange Traded Fund Financial
5233    IQM 2/27/2020 0.31 FRANKLIN INTELLIGENT MACHINES ETF Exchange Traded Fund Financial
5234    IQQQ 3/20/2024 0.34 PROSHARES NASDAQ-100 HIGH INCOME ETF Exchange Traded Fund Financial
5235    IQRA 3/25/2024 0.01 NYLI CBRE REAL ASSETS ETF Exchange Traded Fund Financial
5236    IQSI 12/17/2019 0.36 NYLI CANDRIAM INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
5237    IQSM 10/25/2022 0.01 NYLI CANDRIAM U.S. MID CAP EQUITY ETF Exchange Traded Fund Financial
5238    IQSU 12/17/2019 0.36 NYLI CANDRIAM U.S. LARGE CAP EQUITY ETF Exchange Traded Fund Financial
5239    IQV 11/15/2017 32 IQVIA HOLDINGS INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
5240    IR 5/12/2017 37 INGERSOLL RAND INC. COMMON STOCK Industrial Machinery/Components Industrials
5241    IRAA 5/26/2021 0.17
5242    IRAAU 3/5/2021 0.16
5243    IRAAW 5/19/2021 0.15
5244    IRBT 11/9/2005 63 IROBOT CORPORATION COMMON STOCK Consumer Electronics/Appliances Consumer Discretionary
5245    IRD 5/27/2008 26 OPUS GENETICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5246    IRDM 9/24/2009 58 IRIDIUM COMMUNICATIONS INC COMMON STOCK Telecommunications Equipment Telecommunications
5247    IREN 11/17/2021 14 IREN LIMITED ORDINARY SHARES EDP Services Technology
5248    IRET 3/6/2024 0.05 TIDAL TRUST II IREIT - MARKETVECTOR QUALITY REIT INDEX ETF Exchange Traded Fund Financial
5249    IRIX 12/18/2002 7.84 IRIDEX CORPORATION COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
5250    IRM 4/26/1999 104 IRON MOUNTAIN INCORPORATED (DELAWARE)COMMON STOCK REIT Real Estate Investment Trusts Real Estate
5251    IRMD 7/16/2014 9.1 IRADIMED CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
5252    IROC 2/25/2025 0.01 INVESCO ROCHESTER HIGH YIELD MUNICIPAL ETF Exchange Traded Fund Financial
5253    IROH 2/16/2024 0.04 IRON HORSE ACQUISITIONS CORP. COMMON STOCK
5254    IROHR 2/16/2024 0.03 IRON HORSE ACQUISITIONS CORP. RIGHT
5255    IROHU 12/27/2023 0.03
5256    IROHW 2/16/2024 0.03
5257    IRON 8/12/2020 6.98 DISC MEDICINE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5258    IROQ 7/8/2011 0.62 IF BANCORP INC. COMMON STOCK Savings Institutions Finance
5259    IRRX 1/3/2022 0.09
5260    IRS 1/2/1998 25 IRSA INVERSIONES Y REPRESENTACIONES S.A. GLOBAL DEPOSITARY SHARES (EACH REPRESENTING TEN SHARES OF COMMON STOCK) Homebuilding Real Estate
5261    IRT 8/13/2013 41 INDEPENDENCE REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
5262    IRTC 10/20/2016 24 IRHYTHM TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
5263    IRTR 6/5/2024 0.07 ISHARES TRUST ISHARES LIFEPATH RETIREMENT ETF Exchange Traded Fund Financial
5264    IRVH 7/8/2022 0.02 GLOBAL X FUNDS GLOBAL X INTEREST RATE VOLATILITY & INFLATION H Exchange Traded Fund Financial
5265    IRWD 2/3/2010 57 IRONWOOD PHARMACEUTICALS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5266    ISCB 3/22/2021 0.51 ISHARES MORNINGSTAR SMALL-CAP ETF Exchange Traded Fund Financial
5267    ISCF 5/1/2015 3.37 ISHARES INTERNATIONAL SMALL-CAP EQUITY FACTOR ETF Exchange Traded Fund Financial
5268    ISCG 5/16/2007 5.43 ISHARES MORNINGSTAR SMALL-CAP GROWTH ETF Exchange Traded Fund Financial
5269    ISCV 5/16/2007 6.24 ISHARES MORNINGSTAR SMALL-CAP VALUE ETF Exchange Traded Fund Financial
5270    ISD 4/27/2012 20 PGIM HIGH YIELD BOND FUND INC. Trusts Except Educational Religious and Charitable Finance
5271    ISDB 12/13/2022 0.03
5272    ISEP 9/1/2023 0.15 INNOVATOR ETFS TRUST INNOVATOR INTERNATIONAL DEVELOPED POWER B Exchange Traded Fund Financial
5273    ISHG 1/28/2009 2.24 ISHARES 1-3 YEAR INTERNATIONAL TREASURY BOND ETF Exchange Traded Fund Financial
5274    ISHP 10/11/2016 0.36 FIRST TRUST S-NETWORK E-COMMERCE ETF Exchange Traded Fund Financial
5275    ISMD 2/28/2017 1.76 INSPIRE SMALL/MID CAP ETF Exchange Traded Fund Financial
5276    ISPC 6/17/2021 4.56 ISPECIMEN INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
5277    ISPO 2/9/2021 4.3 INSPIRATO INCORPORATED CLASS A COMMON STOCK Blank Checks Finance
5278    ISPOW 2/9/2021 0.9 INSPIRATO INCORPORATED WARRANT Blank Checks Finance
5279    ISPR 4/4/2023 1.6 ISPIRE TECHNOLOGY INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
5280    ISPY 12/20/2023 1.4 PROSHARES TRUST PROSHARES S&P 500 HIGH INCOME ETF Exchange Traded Fund Financial
5281    ISRA 6/26/2013 1.36 VANECK ISRAEL ETF Exchange Traded Fund Financial
5282    ISRG 6/16/2000 88 INTUITIVE SURGICAL INC. COMMON STOCK Industrial Specialties Health Care
5283    ISRL 6/12/2002 0.92 ISRAEL ACQUISITIONS CORP CLASS A ORDINARY SHARES Blank Checks Finance
5284    ISRLW 2/28/2023 0.13 ISRAEL ACQUISITIONS CORP WARRANT Blank Checks Finance
5285    ISSC 8/4/2000 20 INNOVATIVE SOLUTIONS AND SUPPORT INC. COMMON STOCK EDP Services Technology
5286    ISTB 10/24/2012 23 ISHARES CORE 1-5 YEAR USD BOND ETF Exchange Traded Fund Financial
5287    ISTR 7/1/2014 3.64 INVESTAR HOLDING CORPORATION COMMON STOCK Major Banks Finance
5288    ISVL 3/30/2021 0.3 ISHARES TRUST ISHARES INTERNATIONAL DEVELOPED SMALL CAP VALUE Exchange Traded Fund Financial
5289    ISWN 1/26/2021 0.33 AMPLIFY BLACKSWAN ISWN ETF Exchange Traded Fund Financial
5290    IT 9/15/1998 81 GARTNER INC. COMMON STOCK Other Consumer Services Consumer Discretionary
5291    ITA 5/5/2006 37 ISHARES U.S. AEROSPACE & DEFENSE ETF Exchange Traded Fund Financial
5292    ITAN 6/29/2021 0.21 SPARKLINE INTANGIBLE VALUE ETF Exchange Traded Fund Financial
5293    ITB 5/5/2006 77 ISHARES U.S. HOME CONSTRUCTION ETF Exchange Traded Fund Financial
5294    ITCI 12/27/2013 35 INTRA-CELLULAR THERAPIES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5295    ITDB 10/23/2023 0.11 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2030 ETF Exchange Traded Fund Financial
5296    ITDC 10/23/2023 0.14 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2035 ETF Exchange Traded Fund Financial
5297    ITDD 10/23/2023 0.12 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2040 ETF Exchange Traded Fund Financial
5298    ITDE 10/23/2023 0.11 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2045 ETF Exchange Traded Fund Financial
5299    ITDF 10/23/2023 0.11 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2050 ETF Exchange Traded Fund Financial
5300    ITDG 10/27/2023 0.07 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2055 ETF Exchange Traded Fund Financial
5301    ITDH 6/4/2024 0.03 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2060 ETF Exchange Traded Fund Financial
5302    ITDI 6/4/2024 0.03 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2065 ETF Exchange Traded Fund Financial
5303    ITDJ 11/25/2024 0.01 ISHARES TRUST ISHARES LIFEPATH TARGET DATE 2070 ETF Exchange Traded Fund Financial
5304    ITEQ 11/3/2015 3.34 AMPLIFY ETF TRUST AMPLIFY BLUESTAR ISRAEL TECHNOLOGY ETF Exchange Traded Fund Financial
5305    ITGR 5/8/2007 40 INTEGER HOLDINGS CORPORATION COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
5306    ITIC 1/2/1998 2.41 INVESTORS TITLE COMPANY COMMON STOCK Specialty Insurers Finance
5307    ITM 12/6/2007 22 VANECK ETF TRUST VANECK INTERMEDIATE MUNI ETF Exchange Traded Fund Financial
5308    ITOS 7/24/2020 10 ITEOS THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5309    ITOT 5/16/2007 48 ISHARES CORE S&P TOTAL U.S. STOCK MARKET ETF Exchange Traded Fund Financial
5310    ITP 10/1/2007 16 IT TECH PACKAGING INC. COMMON STOCK Containers/Packaging Consumer Discretionary
5311    ITRG 12/5/2017 3.56 INTEGRA RESOURCES CORP. COMMON SHARES Precious Metals Basic Materials
5312    ITRI 1/2/1998 73 ITRON INC. COMMON STOCK Electrical Products Industrials
5313    ITRM 5/25/2018 14 ITERUM THERAPEUTICS PLC ORDINARY SHARE Biotechnology: Pharmaceutical Preparations Health Care
5314    ITRN 9/28/2005 14 ITURAN LOCATION AND CONTROL LTD. ORDINARY SHARES Electronic Components Technology
5315    ITT 9/5/2000 100 ITT INC. COMMON STOCK Fluid Controls Industrials
5316    ITUB 5/20/2009 79 ITAU UNIBANCO BANCO HOLDING SA AMERICAN DEPOSITARY SHARES (EACH REPSTG 500 PREFERRED SHARES) Major Banks Finance
5317    ITW 1/2/1998 122 ILLINOIS TOOL WORKS INC. COMMON STOCK Industrial Machinery/Components Industrials
5318    ITWO 9/5/2024 0.09
5319    IUS 4/15/2019 2.56 INVESCO RAFI STRATEGIC US ETF Exchange Traded Fund Financial
5320    IUSB 6/12/2014 26 ISHARES CORE TOTAL USD BOND MARKET ETF Exchange Traded Fund Financial
5321    IUSG 6/12/2014 30 ISHARES CORE S&P U.S. GROWTH ETF Exchange Traded Fund Financial
5322    IUSV 6/12/2014 28 ISHARES CORE S&P U.S. VALUE ETF Exchange Traded Fund Financial
5323    IVA 8/7/2007 1.41 INVENTIVA S.A. AMERICAN DEPOSITORY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5324    IVAC 1/2/1998 38 INTEVAC INC. COMMON STOCK Industrial Machinery/Components Technology
5325    IVAL 12/17/2014 2.04 ALPHA ARCHITECT INTERNATIONAL QUANTITATIVE VALUE ETF Exchange Traded Fund Financial
5326    IVCA 6/30/2022 0.11 INVESTCORP AI ACQUISITION CORP. CLASS A ORDINARY SHARE Blank Checks Finance
5327    IVCAW 6/30/2022 0.1
5328    IVDA 3/7/2011 3.44 IVEDA SOLUTIONS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5329    IVDAW 4/1/2022 0.12 IVEDA SOLUTIONS INC. WARRANT Computer Software: Prepackaged Software Technology
5330    IVE 11/30/2005 77 ISHARES S&P 500 VALUE ETF Exchange Traded Fund Financial
5331    IVEG 4/27/2022 0.11 ISHARES EMERGENT FOOD AND AGTECH MULTISECTOR ETF Exchange Traded Fund Financial
5332    IVLU 7/15/2015 13 ISHARES MSCI INTL VALUE FACTOR ETF Exchange Traded Fund Financial
5333    IVOG 9/9/2010 4.84 VANGUARD S&P MID-CAP 400 GROWTH ETF Exchange Traded Fund Financial
5334    IVOL 5/14/2019 12 QUADRATIC INTEREST RATE VOLATILITY AND INFLATION HEDGE ETF Exchange Traded Fund Financial
5335    IVOO 9/9/2010 8.18 VANGUARD S&P MID-CAP 400 ETF Exchange Traded Fund Financial
5336    IVOV 9/9/2010 4.63 VANGUARD S&P MID-CAP 400 VALUE ETF Exchange Traded Fund Financial
5337    IVP 8/30/2023 5.04 INSPIRE VETERINARY PARTNERS INC. CLASS A COMMON STOCK Farming/Seeds/Milling Consumer Staples
5338    IVR 7/1/2009 69 INVESCO MORTGAGE CAPITAL INC COMMON STOCK Real Estate Investment Trusts Real Estate
5339    IVR.C 8/21/2017 3.09 INVESCO MORTGAGE CAPITAL INC 7.5% FIXED-TO-FLOATING SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK LIQUATION PREFERENCE $25.00 PER SHARE
5340    IVRA 12/22/2020 0.23 INVESCO REAL ASSETS ESG ETF Exchange Traded Fund Financial
5341    IVRS 2/17/2023 0.02 ISHARES TRUST ISHARES FUTURE METAVERSE TECH AND COMMUNICATIONS Exchange Traded Fund Financial
5342    IVT 10/12/2021 9.31 INVENTRUST PROPERTIES CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
5343    IVV 11/30/2005 101 ISHARES CORE S&P 500 ETF Exchange Traded Fund Financial
5344    IVVB 7/3/2023 0.16 BLACKROCK ETF TRUST II ISHARES LARGE CAP DEEP BUFFER ETF Exchange Traded Fund Financial
5345    IVVD 8/6/2021 10 INVIVYD INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5346    IVVM 7/3/2023 0.14 BLACKROCK ETF TRUST II ISHARES LARGE CAP MODERATE BUFFER ETF Exchange Traded Fund Financial
5347    IVVW 3/15/2024 0.13 ISHARES TRUST ISHARES S&P 500 BUYWRITE ETF Exchange Traded Fund Financial
5348    IVW 11/30/2005 81 ISHARES S&P 500 GROWTH ETF Exchange Traded Fund Financial
5349    IVZ 5/24/2007 89 INVESCO LTD COMMON STOCK Investment Managers Finance
5350    IWB 5/19/2000 81 ISHARES RUSSELL 1000 ETF Exchange Traded Fund Financial
5351    IWC 8/16/2005 23 ISHARES MICROCAP ETF Exchange Traded Fund Financial
5352    IWD 5/26/2000 98 ISHARES RUSSELL 1000 VALUE ETF Exchange Traded Fund Financial
5353    IWDL 2/5/2021 0.22 ETRACS 2X LEVERAGED US VALUE FACTOR TR ETN Exchange Traded Fund Financial
5354    IWF 5/26/2000 96 ISHARES RUSSELL 1000 GROWTH ETF Exchange Traded Fund Financial
5355    IWFG 6/23/2022 0.01 NYLI WINSLOW FOCUSED LARGE CAP GROWTH ETF Exchange Traded Fund Financial
5356    IWFL 2/5/2021 0.25 ETRACS 2X LEVERAGED US GROWTH FACTOR TR ETN Exchange Traded Fund Financial
5357    IWL 9/28/2009 6.86 ISHARES RUSSELL TOP 200 ETF Exchange Traded Fund Financial
5358    IWLG 6/23/2022 0.03 NYLI WINSLOW LARGE CAP GROWTH ETF Exchange Traded Fund Financial
5359    IWM 5/26/2000 159 ISHARES RUSSELL 2000 ETF Exchange Traded Fund Financial
5360    IWMI 6/25/2024 0.71 NEOS ETF TRUST NEOS RUSSELL 2000 HIGH INCOME ETF Exchange Traded Fund Financial
5361    IWML 2/5/2021 0.14 ETRACS 2X LEVERAGED US SIZE FACTOR TR ETN Exchange Traded Fund Financial
5362    IWMW 3/19/2024 0.08 ISHARES TRUST ISHARES RUSSELL 2000 BUYWRITE ETF Exchange Traded Fund Financial
5363    IWMY 11/1/2023 2.87 DEFIANCE R2000 ENHANCED OPTIONS & 0DTE INCOME ETF Exchange Traded Fund Financial
5364    IWN 7/28/2000 94 ISHARES RUSSELL 2000 VALUE ETF Exchange Traded Fund Financial
5365    IWO 7/28/2000 89 ISHARES RUSSELL 2000 GROWTH ETF Exchange Traded Fund Financial
5366    IWP 8/3/2001 66 ISHARES RUSSELL MIDCAP GROWTH ETF Exchange Traded Fund Financial
5367    IWR 2/4/2002 73 ISHARES RUSSELL MID-CAP ETF Exchange Traded Fund Financial
5368    IWS 8/3/2001 69 ISHARES RUSSELL MID-CAP VALUE ETF Exchange Traded Fund Financial
5369    IWTR 9/27/2022 0.06 ISHARES MSCI WATER MANAGEMENT MULTISECTOR ETF Exchange Traded Fund Financial
5370    IWV 5/26/2000 51 ISHARES RUSSELL 3000 ETF Exchange Traded Fund Financial
5371    IWX 9/28/2009 8.17 ISHARES RUSSELL TOP 200 VALUE ETF Exchange Traded Fund Financial
5372    IWY 9/28/2009 21 ISHARES RUSSELL TOP 200 GROWTH ETF Exchange Traded Fund Financial
5373    IX 9/16/1998 15 ORIX CORPORATION AMERICAN DEPOSITARY SHARES Diversified Financial Services Finance
5374    IXC 11/26/2001 47 ISHARES GLOBAL ENERGY ETF Exchange Traded Fund Financial
5375    IXG 10/28/2002 16 ISHARES GLOBAL FINANCIAL ETF Exchange Traded Fund Financial
5376    IXHL 3/2/2022 1.17 INCANNEX HEALTHCARE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5377    IXJ 6/24/2002 26 ISHARES GLOBAL HEALTHCARE ETF Exchange Traded Fund Financial
5378    IXN 7/25/2002 24 ISHARES GLOBAL TECH ETF Exchange Traded Fund Financial
5379    IXP 8/14/2002 12 ISHARES GLOBAL COMM SERVICES ETF Exchange Traded Fund Financial
5380    IXUS 10/24/2012 38 ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF Exchange Traded Fund Financial
5381    IYC 11/30/2005 20 ISHARES U.S. CONSUMER DISCRETIONARY ETF Exchange Traded Fund Financial
5382    IYE 11/30/2005 68 ISHARES U.S. ENERGY ETF Exchange Traded Fund Financial
5383    IYF 11/30/2005 58 ISHARES U.S. FINANCIAL ETF Exchange Traded Fund Financial
5384    IYG 11/30/2005 33 ISHARES U.S. FINANCIAL SERVICES ETF Exchange Traded Fund Financial
5385    IYH 11/30/2005 30 ISHARES U.S. HEALTHCARE ETF Exchange Traded Fund Financial
5386    IYJ 11/30/2005 24 ISHARES U.S. INDUSTRIALS ETF Exchange Traded Fund Financial
5387    IYK 11/30/2005 16 ISHARES U.S. CONSUMER STAPLES ETF Exchange Traded Fund Financial
5388    IYLD 4/9/2012 6.54 ISHARES MORNINGSTAR MULTI-ASSET INCOME ETF Exchange Traded Fund Financial
5389    IYM 11/30/2005 39 ISHARES U.S. BASIC MATERIALS ETF Exchange Traded Fund Financial
5390    IYR 11/30/2005 94 ISHARES U.S. REAL ESTATE ETF Exchange Traded Fund Financial
5391    IYT 11/30/2005 60 ISHARES TRUST ISHARES U.S. TRANSPORTATION ETF Exchange Traded Fund Financial
5392    IYW 11/30/2005 56 ISHARES U.S. TECHNOLOGY ETF Exchange Traded Fund Financial
5393    IYY 11/30/2005 16 ISHARES DOW JONES U.S. ETF Exchange Traded Fund Financial
5394    IYZ 11/30/2005 56 ISHARES U.S. TELECOMMUNICATIONS ETF Exchange Traded Fund Financial
5395    IZEA 2/9/2012 15 IZEA WORLDWIDE INC. COMMON STOCK Advertising Consumer Discretionary
5396    IZM 3/15/2023 2.38 ICZOOM GROUP INC. CLASS A ORDINARY SHARES Consumer Electronics/Video Chains Consumer Discretionary
5397    IZRL 12/5/2017 3.61 ARK ISRAEL INNOVATIVE TECHNOLOGY ETF Exchange Traded Fund Financial
5398    IZTC 11/13/2024 0.11
5399    J 5/2/2007 78 JACOBS SOLUTIONS INC. COMMON STOCK Military/Government/Technical Industrials
5400    JAAA 10/19/2020 9.91 JANUS HENDERSON AAA CLO ETF Exchange Traded Fund Financial
5401    JACK 12/15/2008 61 JACK IN THE BOX INC. COMMON STOCK Restaurants Consumer Discretionary
5402    JACS 1/30/2025 0.01 JACKSON ACQUISITION COMPANY II CLASS A ORDINARY SHARES
5403    JADE 10/11/2001 12 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN ACTIVE DEVELOP Exchange Traded Fund Financial
5404    JAGX 5/13/2015 33 JAGUAR HEALTH INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5405    JAJL 7/1/2024 0.26 SHL TELEMEDICINE LTD INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
5406    JAKK 1/2/1998 64 JAKKS PACIFIC INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
5407    JAMF 3/29/2019 14 JAMF HOLDING CORP. COMMON STOCK Computer Software: Prepackaged Software Technology
5408    JANH 1/2/2024 0.06 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 20 BARRIER ETF - Exchange Traded Fund Financial
5409    JANJ 1/2/2024 0.08 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 30 BARRIER ETF - Exchange Traded Fund Financial
5410    JANP 1/3/2024 0.02 PGIM S&P 500 BUFFER 12 ETF - JANUARY Exchange Traded Fund Financial
5411    JANT 1/4/2021 0.58 ALLIANZIM U.S. LARGE CAP BUFFER10 JAN ETF Exchange Traded Fund Financial
5412    JANW 1/4/2021 0.91 ALLIANZIM U.S. LARGE CAP BUFFER20 JAN ETF Exchange Traded Fund Financial
5413    JANX 5/25/2007 6.5 JANUX THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5414    JANZ 1/5/2021 0.15 TRUESHARES STRUCTURED OUTCOME (JANUARY) ETF Exchange Traded Fund Financial
5415    JAVA 10/5/2021 3.5 JPMORGAN ACTIVE VALUE ETF Exchange Traded Fund Financial
5416    JAZZ 6/1/2007 61 JAZZ PHARMACEUTICALS PLC COMMON STOCK (IRELAND) Biotechnology: Pharmaceutical Preparations Health Care
5417    JBBB 1/12/2022 2.82 JANUS DETROIT STREET TRUST JANUS HENDERSON B-BBB CLO ETF Exchange Traded Fund Financial
5418    JBDI 8/27/2024 1.33 JBDI HOLDINGS LIMITED ORDINARY SHARES
5419    JBGS 7/6/2017 29 JBG SMITH PROPERTIES COMMON SHARES Real Estate Investment Trusts Real Estate
5420    JBHT 1/2/1998 106 J.B. HUNT TRANSPORT SERVICES INC. COMMON STOCK Trucking Freight/Courier Services Industrials
5421    JBI 11/26/2010 15 JANUS INTERNATIONAL GROUP INC. COMMON STOCK Building Products Industrials
5422    JBK 7/21/2006 0.69 LEHMAN ABS 3.50 3.50% ADJUSTABLE CORP BACKED TR CERTS GS CAP I Finance: Consumer Services Finance
5423    JBL 5/5/1998 124 JABIL INC. COMMON STOCK Electrical Products Technology
5424    JBLU 5/10/2002 105 JETBLUE AIRWAYS CORPORATION COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
5425    JBND 10/12/2023 1.07 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN ACTIVE BOND ET Exchange Traded Fund Financial
5426    JBSS 1/6/1998 25 JOHN B. SANFILIPPO & SON INC. COMMON STOCK Specialty Foods Consumer Staples
5427    JBTM 8/1/2008 39 JBT MAREL CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
5428    JCE 3/28/2007 16 NUVEEN CORE EQUITY ALPHA FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
5429    JCHI 3/16/2023 0.05 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN ACTIVE CHINA E Exchange Traded Fund Financial
5430    JCI 1/2/1998 122 JOHNSON CONTROLS INTERNATIONAL PLC ORDINARY SHARE Industrial Machinery/Components Industrials
5431    JCPB 3/12/2019 6.24 JPMORGAN CORE PLUS BOND ETF Exchange Traded Fund Financial
5432    JCSE 4/22/2022 1.85 JE CLEANTECH HOLDINGS LIMITED ORDINARY SHARES Miscellaneous manufacturing industries Consumer Discretionary
5433    JCTC 5/16/2007 1.07 JEWETT-CAMERON TRADING COMPANY COMMON SHARES RETAIL: Building Materials Consumer Discretionary
5434    JCTR 12/10/2020 0.1 JPMORGAN CARBON TRANSITION U.S. EQUITY ETF Exchange Traded Fund Financial
5435    JD 5/22/2014 60 JD.COM INC. AMERICAN DEPOSITARY SHARES Other Specialty Stores Consumer Discretionary
5436    JDIV 11/9/2017 0.53 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN DIVIDEND LEADE Exchange Traded Fund Financial
5437    JDOC 11/2/2023 0.04 JPMORGAN HEALTHCARE LEADERS ETF Exchange Traded Fund Financial
5438    JDST 10/3/2013 63 DIREXION DAILY JUNIOR GOLD MINERS INDEX BEAR 2X SHARES Exchange Traded Fund Financial
5439    JDVI 12/20/2023 0.01 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK DISCIPLIN Exchange Traded Fund Financial
5440    JDZG 5/15/2024 1.45 JIADE LIMITED COMMON STOCK Other Consumer Services Real Estate
5441    JEF 1/2/1998 107 JEFFERIES FINANCIAL GROUP INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
5442    JELD 1/27/2017 27 JELD-WEN HOLDING INC. COMMON STOCK Forest Products Basic Materials
5443    JEMA 3/18/2021 1.57 JPMORGAN ACTIVEBUILDERS EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
5444    JEMB 8/14/2024 0.01 JANUS DETROIT STREET TRUST JANUS HENDERSON EMERGING MARKETS DE Exchange Traded Fund Financial
5445    JEPI 5/21/2020 21 JPMORGAN EQUITY PREMIUM INCOME ETF Exchange Traded Fund Financial
5446    JEPQ 5/4/2022 13 JPMORGAN NASDAQ EQUITY PREMIUM INCOME ETF Exchange Traded Fund Financial
5447    JEQ 1/2/1998 9.64 ABRDN JAPAN EQUITY FUND INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
5448    JETD 6/21/2023 0.08 BANK OF MONTREAL MAX AIRLINES -3X INVERSE LEVERAGED ETNS Exchange Traded Fund Financial
5449    JETS 4/30/2015 28 U.S. GLOBAL JETS ETF Exchange Traded Fund Financial
5450    JETU 6/21/2023 0.03 BANK OF MONTREAL MAX AIRLINES 3X LEVERAGED ETNS Exchange Traded Fund Financial
5451    JEWL 12/9/2022 1.23
5452    JFB 3/6/2025 0.02 JFB CONSTRUCTION HOLDINGS CLASS A COMMON STOCK
5453    JFBR 8/26/2022 3.32 JEFFS' BRANDS LTD ORDINARY SHARES Other Specialty Stores Consumer Discretionary
5454    JFBRW 8/26/2022 0.1 JEFFS' BRANDS LTD WARRANT Other Specialty Stores Consumer Discretionary
5455    JFIN 5/10/2019 5.91 JIAYIN GROUP INC. AMERICAN DEPOSITARY SHARES Finance: Consumer Services Finance
5456    JFR 3/26/2004 38 NUVEEN FLOATING RATE INCOME FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
5457    JFU 8/15/2019 5.98 9F INC. AMERICAN DEPOSITARY SHARES Finance: Consumer Services Finance
5458    JG 7/26/2018 7.68 AURORA MOBILE LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Programming Data Processing Technology
5459    JGH 11/24/2014 11 NUVEEN GLOBAL HIGH INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
5460    JGLO 3/13/2024 1.29 JPMORGAN GLOBAL SELECT EQUITY ETF Exchange Traded Fund Financial
5461    JGRO 8/9/2022 3.87 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN ACTIVE GROWTH Exchange Traded Fund Financial
5462    JGRW 8/13/2024 0.07 TRUST FOR PROFESSIONAL MANAGERS JENSEN QUALITY GROWTH ETF Exchange Traded Fund Financial
5463    JHAC 11/6/2023 0.05 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK FUNDAMENT Exchange Traded Fund Financial
5464    JHCB 3/31/2021 0.27 JOHN HANCOCK CORPORATE BOND ETF Exchange Traded Fund Financial
5465    JHDV 9/30/2022 0.01 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK U.S. HIGH Exchange Traded Fund Financial
5466    JHEM 9/28/2018 2 JOHN HANCOCK MULTIFACTOR EMERGING MARKETS ETF Exchange Traded Fund Financial
5467    JHG 5/30/2017 34 JANUS HENDERSON GROUP PLC ORDINARY SHARES Investment Managers Finance
5468    JHHY 5/2/2024 0.02 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK HIGH YIEL Exchange Traded Fund Financial
5469    JHI 1/2/1998 9.17 JOHN HANCOCK INVESTORS TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
5470    JHID 12/21/2022 0.02 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK INTERNATI Exchange Traded Fund Financial
5471    JHMB 7/11/2022 0.17 JOHN HANCOCK MORTGAGE-BACKED SECURITIES ETF Exchange Traded Fund Financial
5472    JHMD 12/22/2016 3.29 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK MULTIFACT Exchange Traded Fund Financial
5473    JHML 9/30/2015 5.06 JOHN HANCOCK MULTIFACTOR LARGE CAP ETF Exchange Traded Fund Financial
5474    JHMM 9/29/2015 14 JOHN HANCOCK MULTIFACTOR MID CAP ETF Exchange Traded Fund Financial
5475    JHMU 11/2/2023 0.05 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK DYNAMIC M Exchange Traded Fund Financial
5476    JHPI 12/15/2021 0.33 JOHN HANCOCK EXCHANGE-TRADED FUND TRUST JOHN HANCOCK PREFERRED Exchange Traded Fund Financial
5477    JHS 1/2/1998 9.76 JOHN HANCOCK INCOME SECURITIES TRUST COMMON STOCK Finance Companies Finance
5478    JHSC 11/9/2017 2.86 JOHN HANCOCK MULTIFACTOR SMALL CAP ETF Exchange Traded Fund Financial
5479    JHX 10/22/2001 7.61 JAMES HARDIE INDUSTRIES PLC AMERICAN DEPOSITARY SHARES (IRELAND) Building Materials Industrials
5480    JIG 6/1/2020 0.78 JPMORGAN INTERNATIONAL GROWTH ETF Exchange Traded Fund Financial
5481    JIII 11/14/2024 0.02 JANUS DETROIT STREET TRUST JANUS HENDERSON INCOME ETF Exchange Traded Fund Financial
5482    JILL 3/9/2017 16 J. JILL INC. COMMON STOCK Apparel Consumer Discretionary
5483    JIRE 6/15/2022 3.04 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN INTERNATIONAL Exchange Traded Fund Financial
5484    JIVE 9/14/2023 0.11 JPMORGAN INTERNATIONAL VALUE ETF Exchange Traded Fund Financial
5485    JJSF 1/2/1998 31 J & J SNACK FOODS CORP. COMMON STOCK Specialty Foods Consumer Staples
5486    JKHY 1/2/1998 95 JACK HENRY & ASSOCIATES INC. COMMON STOCK EDP Services Technology
5487    JKS 5/14/2010 60 JINKOSOLAR HOLDING COMPANY LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 4 COMMON SHARES) Semiconductors Technology
5488    JL 1/24/2024 2.09 J-LONG GROUP LIMITED ORDINARY SHARES Clothing/Shoe/Accessory Stores Consumer Discretionary
5489    JLL 3/12/1999 70 JONES LANG LASALLE INCORPORATED COMMON STOCK Real Estate Finance
5490    JLQD 9/9/2021 0.03 JANUS HENDERSON CORPORATE BOND ETF Exchange Traded Fund Financial
5491    JLS 11/27/2009 9.54 NUVEEN MORTGAGE AND INCOME FUND Investment Managers Finance
5492    JMBS 9/13/2018 8.14 JANUS HENDERSON MORTGAGE-BACKED SECURITIES ETF Exchange Traded Fund Financial
5493    JMEE 5/9/2022 1.74 JPMORGAN SMALL & MID CAP ENHANCED EQUITY ETF Exchange Traded Fund Financial
5494    JMHI 7/17/2023 0.38 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN HIGH YIELD MUN Exchange Traded Fund Financial
5495    JMIA 4/12/2019 28 JUMIA TECHNOLOGIES AG AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
5496    JMID 9/18/2024 0.05 JANUS HENDERSON MID CAP GROWTH ALPHA ETF Exchange Traded Fund Financial
5497    JMM 5/16/2007 3.58 NUVEEN MULTI-MARKET INCOME FUND (MA) Trusts Except Educational Religious and Charitable Finance
5498    JMOM 11/9/2017 2.08 JPMORGAN U.S. MOMENTUM FACTOR ETF Exchange Traded Fund Financial
5499    JMSB 11/21/2013 1.08 JOHN MARSHALL BANCORP INC. COMMON STOCK Major Banks Finance
5500    JMSI 7/17/2023 0.36 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN SUSTAINABLE MU Exchange Traded Fund Financial
5501    JMST 10/22/2018 8.88 JPMORGAN ULTRA-SHORT MUNICIPAL INCOME ETF Exchange Traded Fund Financial
5502    JMUB 11/5/2018 3.77 JPMORGAN MUNICIPAL ETF Exchange Traded Fund Financial
5503    JNEU 6/3/2024 0.03 SHL TELEMEDICINE LTD ALLIANZIM U.S. EQUITY BUFFER15 UNCAPPED J Exchange Traded Fund Financial
5504    JNJ 1/2/1998 139 JOHNSON & JOHNSON COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5505    JNK 12/4/2007 77 SPDR BLOOMBERG HIGH YIELD BOND ETF Exchange Traded Fund Financial
5506    JNPR 6/25/1999 135 JUNIPER NETWORKS INC. COMMON STOCK Computer Communications Equipment Telecommunications
5507    JNUG 10/3/2013 64 DIREXION DAILY JUNIOR GOLD MINERS INDEX BULL 2X SHARES Exchange Traded Fund Financial
5508    JNVR 7/25/2023 0.77 JANOVER INC. COMMON STOCK Finance: Consumer Services Finance
5509    JOB 9/27/2002 12 GEE GROUP INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
5510    JOBY 8/11/2021 21 JOBY AVIATION INC. COMMON STOCK Aerospace Industrials
5511    JOE 7/22/1998 76 ST. JOE COMPANY (THE) COMMON STOCK Homebuilding Real Estate
5512    JOET 11/19/2020 2.58 VIRTUS ETF TRUST II VIRTUS TERRANOVA U.S. QUALITY MOMENTUM ETF Exchange Traded Fund Financial
5513    JOF 1/2/1998 19 JAPAN SMALLER CAPITALIZATION FUND INC COMMON STOCK Trusts Except Educational Religious and Charitable Finance
5514    JOJO 7/16/2021 0.16 ATAC CREDIT ROTATION ETF Exchange Traded Fund Financial
5515    JOUT 3/2/2000 12 JOHNSON OUTDOORS INC. CLASS A COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
5516    JPAN 9/22/2023 0.04 MATTHEWS INTERNATIONAL FUNDS MATTHEWS JAPAN ACTIVE ETF Exchange Traded Fund Financial
5517    JPC 3/31/2003 48 NUVEEN PREFERRED & INCOME OPPORTUNITIES FUND Investment Managers Finance
5518    JPEF 7/31/2023 1.5 JPMORGAN EQUITY FOCUS ETF Exchange Traded Fund Financial
5519    JPEM 1/9/2015 3.68 JPMORGAN DIVERSIFIED RETURN EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
5520    JPI 7/27/2012 12 NUVEEN PREFERRED SECURITIES & INCOME OPPORTUNITIES FUND COMMON SHARES Finance Companies Finance
5521    JPIB 9/14/2020 2.4 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN INTERNATIONAL Exchange Traded Fund Financial
5522    JPIE 11/2/2021 3.89 JPMORGAN INCOME ETF Exchange Traded Fund Financial
5523    JPIN 11/10/2014 9.5 JPMORGAN DIVERSIFIED RETURN INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
5524    JPLD 7/31/2023 0.75 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN LIMITED DURATI Exchange Traded Fund Financial
5525    JPM 1/2/1998 150 JP MORGAN CHASE & CO. COMMON STOCK Major Banks Finance
5526    JPM.C 4/6/2010 16 J P MORGAN CHASE & CO DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 6.00% NON-CUMULATIVE PREFERRED STOCK SERIES EE
5527    JPM.D 9/6/2012 17 J P MORGAN CHASE & CO DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 5.75% NON-CUMULATIVE PREFERRED STOCK SERIES DD
5528    JPM.J 5/16/2007 12 J P MORGAN CHASE & CO DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF JPMORGAN CHASE & CO. 4.75% NON-CUMULATIVE PREFERRED STOCK SERIES GG
5529    JPM.K 5/16/2007 12 J P MORGAN CHASE & CO DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.55% NON-CUMULATIVE PREFERRED STOCK SERIES JJ
5530    JPM.L 5/25/2021 6.39 J P MORGAN CHASE & CO DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.625% NON-CUMULATIVE PREFERRED STOCK SERIES LL
5531    JPM.M 8/4/2021 7.46 J P MORGAN CHASE & CO DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.20% NON-CUMULATIVE PREFERRED STOCK SERIES MM
5532    JPMB 1/31/2018 1.03 JPMORGAN USD EMERGING MARKETS SOVEREIGN BOND ETF Exchange Traded Fund Financial
5533    JPME 6/21/2016 1.95 JPMORGAN DIVERSIFIED RETURN U.S. MID CAP EQUITY ETF Exchange Traded Fund Financial
5534    JPMO 9/12/2023 0.55 TIDAL TRUST II YIELDMAX JPM OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
5535    JPRE 5/23/2022 0.61 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN REALTY INCOME Exchange Traded Fund Financial
5536    JPSE 11/22/2016 3.32 JPMORGAN DIVERSIFIED RETURN U.S. SMALL CAP EQUITY ETF Exchange Traded Fund Financial
5537    JPST 5/19/2017 30 JPMORGAN ULTRA-SHORT INCOME ETF Exchange Traded Fund Financial
5538    JPSV 11/29/2023 0.04 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN ACTIVE SMALL C Exchange Traded Fund Financial
5539    JPUS 9/30/2015 3.17 JPMORGAN DIVERSIFIED RETURN U.S. EQUITY ETF Exchange Traded Fund Financial
5540    JPXN 5/16/2007 3.39 ISHARES JPX-NIKKEI 400 ETF Exchange Traded Fund Financial
5541    JQC 6/26/2003 57 NUVEEN CREDIT STRATEGIES INCOME FUND SHARES OF BENEFICIAL INTEREST Finance Companies Finance
5542    JQUA 8/9/2018 7.75 JPMORGAN U.S. QUALITY FACTOR ETF Exchange Traded Fund Financial
5543    JRE 6/23/2021 0.09 JANUS HENDERSON U.S. REAL ESTATE ETF Exchange Traded Fund Financial
5544    JRI 4/27/2012 13 NUVEEN REAL ASSET INCOME AND GROWTH FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
5545    JRS 11/19/2001 24 NUVEEN REAL ESTATE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
5546    JRSH 5/4/2018 1.65 JERASH HOLDINGS (US) INC. COMMON STOCK Apparel Consumer Discretionary
5547    JRVR 12/12/2014 21 JAMES RIVER GROUP HOLDINGS LTD. COMMON SHARES Property-Casualty Insurers Finance
5548    JSCP 3/2/2021 1.62 JPMORGAN SHORT DURATION CORE PLUS ETF Exchange Traded Fund Financial
5549    JSI 11/9/2023 0.65 JANUS DETROIT STREET TRUST JANUS HENDERSON SECURITIZED INCOME Exchange Traded Fund Financial
5550    JSM 12/30/2003 8.73 NAVIENT CORPORATION 6% SENIOR NOTES DUE DECEMBER 15 2043 Investment Bankers/Brokers/Service Finance
5551    JSMD 2/25/2016 2.03 JANUS HENDERSON SMALL/MID CAP GROWTH ALPHA ETF Exchange Traded Fund Financial
5552    JSML 2/25/2016 1.51 JANUS HENDERSON SMALL CAP GROWTH ALPHA ETF Exchange Traded Fund Financial
5553    JSPR 1/10/2020 5.74 JASPER THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5554    JSPRW 1/10/2020 0.45
5555    JSTC 12/10/2020 0.71 ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF Exchange Traded Fund Financial
5556    JTAI 10/1/2021 3.82 JET.AI INC. COMMON STOCK Transportation Services Consumer Discretionary
5557    JTEK 10/5/2023 1.24 JPMORGAN U.S. TECH LEADERS ETF Exchange Traded Fund Financial
5558    JUCY 11/1/2022 1.09 ETF SERIES SOLUTIONS APTUS ENHANCED YIELD ETF Exchange Traded Fund Financial
5559    JULD 7/3/2023 0.04 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 10 BARRIER ETF - Exchange Traded Fund Financial
5560    JULH 7/3/2023 0.11 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 20 BARRIER ETF - Exchange Traded Fund Financial
5561    JULJ 7/3/2023 0.11 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 30 BARRIER ETF - Exchange Traded Fund Financial
5562    JULP 6/11/2024 0.02 PGIM S&P 500 BUFFER 12 ETF - JULY Exchange Traded Fund Financial
5563    JULQ 7/3/2023 0.05 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 40 BARRIER ETF - Exchange Traded Fund Financial
5564    JULT 7/1/2020 0.56 ALLIANZIM U.S. LARGE CAP BUFFER10 JUL ETF Exchange Traded Fund Financial
5565    JULU 7/1/2024 0.06 SHL TELEMEDICINE LTD ALLIANZIM U.S. EQUITY BUFFER15 UNCAPPED J Exchange Traded Fund Financial
5566    JULW 7/1/2020 0.86 ALLIANZIM U.S. LARGE CAP BUFFER20 JUL ETF Exchange Traded Fund Financial
5567    JULZ 7/2/2020 0.17 TRUESHARES STRUCTURED OUTCOME (JULY) ETF Exchange Traded Fund Financial
5568    JUNE 4/4/2016 0.37 JUNEE LIMITED ORDINARY SHARES
5569    JUNM 6/24/2024 0.13 SHL TELEMEDICINE LTD FT VEST U.S. EQUITY MAX BUFFER ETF - JUNE Exchange Traded Fund Financial
5570    JUNP 9/11/2009 0.57 PGIM S&P 500 BUFFER 12 ETF - JUNE Exchange Traded Fund Financial
5571    JUNS 12/3/2024 0.51 JUPITER NEUROSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5572    JUNT 6/1/2023 0.12 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 JUN E Exchange Traded Fund Financial
5573    JUNW 6/1/2023 0.26 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 JUN E Exchange Traded Fund Financial
5574    JUNZ 6/1/2021 0.07 TRUESHARES STRUCTURED OUTCOME (JUNE) ETF Exchange Traded Fund Financial
5575    JUST 6/14/2018 1.64 GOLDMAN SACHS JUST U.S. LARGE CAP EQUITY ETF Exchange Traded Fund Financial
5576    JVA 5/3/2005 13 COFFEE HOLDING CO. INC. COMMON STOCK Packaged Foods Consumer Staples
5577    JVAL 11/9/2017 3.34 JPMORGAN U.S. VALUE FACTOR ETF Exchange Traded Fund Financial
5578    JVSA 3/11/2024 0.03 JV SPAC ACQUISITION CORP. CLASS A ORDINARY SHARE
5579    JVSAR 3/11/2024 0.02
5580    JVSAU 1/19/2024 0.04
5581    JWEL 3/17/2021 2.67 JOWELL GLOBAL LTD. ORDINARY SHARES Other Consumer Services Consumer Discretionary
5582    JWN 6/10/1999 120 NORDSTROM INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
5583    JXG 3/7/2013 5.3 JX LUXVENTURE GROUP INC. COMMON STOCK Apparel Consumer Staples
5584    JXI 9/22/2006 8.46 ISHARES GLOBAL UTILITIES ETF Exchange Traded Fund Financial
5585    JXN 9/1/2021 15 JACKSON FINANCIAL INC. CLASS A COMMON STOCK Life Insurance Finance
5586    JXN.A 3/22/2023 1.42 JACKSON FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF FIXED-RATE RESET NONCUMULATIVE PERPETUAL PREFERRED STOCK SERIES A
5587    JYD 4/21/2023 1.21 JAYUD GLOBAL LOGISTICS LIMITED CLASS A ORDINARY SHARES Oil Refining/Marketing Consumer Discretionary
5588    JYNT 11/11/2014 11 THE JOINT CORP. COMMON STOCK Multi-Sector Companies Miscellaneous
5589    JZ 8/26/2022 1.76 JIANZHI EDUCATION TECHNOLOGY GROUP COMPANY LIMITED AMERICAN DEPOSITARY SHS Other Consumer Services Real Estate
5590    JZXN 5/18/2021 5.45 JIUZI HOLDINGS INC. ORDINARY SHARES Retail-Auto Dealers and Gas Stations Consumer Discretionary
5591    K 1/2/1998 121 KELLANOVA COMMON STOCK Packaged Foods Consumer Staples
5592    KAI 5/14/2003 28 KADANT INC COMMON STOCK Industrial Machinery/Components Industrials
5593    KALA 7/20/2017 17 KALA BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5594    KALL 8/1/2018 0.37 KRANESHARES MSCI ALL CHINA INDEX ETF Exchange Traded Fund Financial
5595    KALU 7/7/2006 42 KAISER ALUMINUM CORPORATION COMMON STOCK Metal Fabrications Industrials
5596    KALV 4/9/2015 15 KALVISTA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5597    KAPA 9/16/2024 0.58 KAIROS PHARMA LTD. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5598    KAPR 4/1/2020 0.95 INNOVATOR U.S. SMALL CAP POWER BUFFER ETF - APRIL Exchange Traded Fund Financial
5599    KAR 12/11/2009 56 OPENLANE INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
5600    KARO 4/1/2021 1.1 KAROOOOO LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
5601    KARS 1/25/2018 4.22 KRANESHARES ELECTRIC VEHICLES AND FUTURE MOBILITY INDEX ETF Exchange Traded Fund Financial
5602    KAUG 8/1/2024 0.13 INNOVATOR ETFS TRUST INNOVATOR US SMALL CAP POWER BUFFER ETF - Exchange Traded Fund Financial
5603    KAVL 7/29/2021 6.14 KAIVAL BRANDS INNOVATIONS GROUP INC. COMMON STOCK Other Consumer Services Consumer Discretionary
5604    KB 11/13/2001 57 KB FINANCIAL GROUP INC Commercial Banks Finance
5605    KBA 3/5/2014 13 KRANESHARES BOSERA MSCI CHINA A 50 CONNECT INDEX ETF Exchange Traded Fund Financial
5606    KBDC 5/22/2024 0.89 KAYNE ANDERSON BDC INC. COMMON STOCK
5607    KBE 11/15/2005 82 SPDR S&P BANK ETF Exchange Traded Fund Financial
5608    KBH 1/2/1998 120 KB HOME COMMON STOCK Homebuilding Consumer Discretionary
5609    KBNT 8/12/2020 3.61
5610    KBR 11/16/2006 85 KBR INC. COMMON STOCK Military/Government/Technical Industrials
5611    KBSX 1/16/2025 0.04 FST CORP. ORDINARY SHARES Recreational Games/Products/Toys Consumer Discretionary
5612    KBUF 2/8/2024 0.02 KRANESHARES 90% KWEB DEFINED OUTCOME JANUARY 2027 ETF Exchange Traded Fund Financial
5613    KBWB 11/1/2011 34 INVESCO KBW BANK ETF Exchange Traded Fund Financial
5614    KBWD 12/2/2010 16 INVESCO KBW HIGH DIVIDEND YIELD FINANCIAL ETF Exchange Traded Fund Financial
5615    KBWP 12/22/2010 2.86 INVESCO KBW PROPERTY & CASUALTY INSURANCE ETF Exchange Traded Fund Financial
5616    KBWR 11/1/2011 2.93 INVESCO KBW REGIONAL BANKING ETF Exchange Traded Fund Financial
5617    KBWY 12/2/2010 15 INVESCO KBW PREMIUM YIELD EQUITY REIT ETF Exchange Traded Fund Financial
5618    KC 5/8/2020 20 KINGSOFT CLOUD HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
5619    KCAI 8/28/2024 0.01 KRANESHARES TRUST KRANESHARES CHINA ALPHA INDEX ETF Exchange Traded Fund Financial
5620    KCCA 10/5/2021 2.04 KRANESHARES CALIFORNIA CARBON ALLOWANCE STRATEGY ETF Exchange Traded Fund Financial
5621    KCE 11/15/2005 13 SPDR S&P CAPITAL MARKETS ETF Exchange Traded Fund Financial
5622    KCSH 7/26/2024 0.01 KRANESHARES TRUST KRANESHARES SUSTAINABLE ULTRA SHORT DURATION Exchange Traded Fund Financial
5623    KD 10/22/2021 15 KYNDRYL HOLDINGS INC. COMMON STOCK EDP Services Technology
5624    KDEC 12/2/2024 0.12 INNOVATOR ETFS TRUST INNOVATOR U.S. SMALL CAP POWER BUFFER ETF Exchange Traded Fund Financial
5625    KDLY 5/31/2024 0.92 KINDLY MD INC. COMMON STOCK Medical/Nursing Services Health Care
5626    KDLYW 5/31/2024 0.04 KINDLY MD INC. WARRANTS Medical/Nursing Services Health Care
5627    KDP 5/7/2008 81 KEURIG DR PEPPER INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
5628    KDRN 12/21/2021 0.03 ETF OPPORTUNITIES TRUST KINGSBARN TACTICAL BOND ETF Exchange Traded Fund Financial
5629    KE 11/3/2014 12 KIMBALL ELECTRONICS INC. COMMON STOCK Electrical Products Technology
5630    KEAT 3/27/2024 0.02 KEATING ACTIVE ETF Exchange Traded Fund Financial
5631    KELYA 1/2/1998 56 KELLY SERVICES INC. CLASS A COMMON STOCK Professional Services Consumer Discretionary
5632    KELYB 11/19/2001 0.37 KELLY SERVICES INC. CLASS B COMMON STOCK Professional Services Consumer Discretionary
5633    KEM 9/1/2023 0.02 KRANESHARES TRUST KRANESHARES DYNAMIC EMERGING MARKETS STRATEG Exchange Traded Fund Financial
5634    KEMQ 10/12/2017 1.97 KRANESHARES EMERGING MARKETS CONSUMER TECHNOLOGY INDEX ETF Exchange Traded Fund Financial
5635    KEMX 4/12/2019 0.72 KRANESHARES MSCI EMERGING MARKETS EX CHINA INDEX ETF Exchange Traded Fund Financial
5636    KEN 1/15/2015 1.97 KENON HOLDINGS LTD. ORDINARY SHARES Electric Utilities: Central Utilities
5637    KEP 1/2/1998 69 KOREA ELECTRIC POWER CORPORATION COMMON STOCK Electric Utilities: Central Utilities
5638    KEQU 1/5/2004 2.21 KEWAUNEE SCIENTIFIC CORPORATION COMMON STOCK Medical Specialities Industrials
5639    KEUA 10/5/2021 0.75 KRANESHARES EUROPEAN CARBON ALLOWANCE STRATEGY ETF Exchange Traded Fund Financial
5640    KEX 1/2/1998 73 KIRBY CORPORATION COMMON STOCK Marine Transportation Consumer Discretionary
5641    KEY 1/2/1998 132 KEYCORP COMMON STOCK Major Banks Finance
5642    KEY.I 12/15/2016 5.94 KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED-TO-FLOATING RATE PERPETUAL NON-CUMULATIVE PREFERRED STOCK SERIES E
5643    KEY.J 8/1/2018 4.31 KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE PERPETUAL NON-CUMULATIVE PREFERRED STOCK SERIES F
5644    KEY.K 5/2/2019 3.84 KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE PERPETUAL NON-CUMULATIVE PREFERRED STOCK SERIES G
5645    KEY.L 8/26/2022 2.39 KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE PERPETUAL NON-CUMULATIVE PREFERRED STOCK SERIES H
5646    KEYS 11/3/2014 43 KEYSIGHT TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Industrials
5647    KF 1/2/1998 17 KOREA FUND INC. (THE) NEW COMMON STOCK Investment Managers Finance
5648    KFFB 3/3/2005 1.08 KENTUCKY FIRST FEDERAL BANCORP COMMON STOCK Savings Institutions Finance
5649    KFIIU 2/5/2025 0.03 K&F GROWTH ACQUISITION CORP. II UNIT Blank Checks Finance
5650    KFRC 1/31/2000 51 KFORCE INC. COMMON STOCK Professional Services Consumer Discretionary
5651    KFS 7/11/2001 8.36 KINGSWAY FINANCIAL SERVICES INC. COMMON STOCK (DE) Property-Casualty Insurers Finance
5652    KFY 2/11/1999 77 KORN FERRY COMMON STOCK Diversified Commercial Services Consumer Discretionary
5653    KGC 2/3/2003 109 KINROSS GOLD CORPORATION COMMON STOCK Precious Metals Basic Materials
5654    KGEI 10/11/2023 0.5 KOLIBRI GLOBAL ENERGY INC. COMMON STOCK Oil & Gas Production Energy
5655    KGJI 2/18/2010 7.07
5656    KGRN 10/13/2017 3 KRANESHARES MSCI CHINA CLEAN TECHNOLOGY INDEX ETF Exchange Traded Fund Financial
5657    KGS 6/29/2023 5.49 KODIAK GAS SERVICES INC. COMMON STOCK Natural Gas Distribution Utilities
5658    KHC 7/6/2015 49 THE KRAFT HEINZ COMPANY COMMON STOCK Packaged Foods Consumer Staples
5659    KHYB 11/19/2018 0.52 KRANESHARES ASIA PACIFIC HIGH INCOME USD BOND ETF Exchange Traded Fund Financial
5660    KIDS 9/2/2008 10 ORTHOPEDIATRICS CORP. COMMON STOCK Medical/Dental Instruments Health Care
5661    KIE 11/15/2005 47 SPDR S&P INSURANCE ETF Exchange Traded Fund Financial
5662    KIM 1/2/1998 113 KIMCO REALTY CORPORATION (HC) COMMON STOCK Real Estate Investment Trusts Real Estate
5663    KIM.L 8/17/2017 2.64 KIMCO REALTY CORPORATION CLASS L DEPOSITARY SHARES EACH OF WHICH REPRESENTS A ONE-ONE THOUSANDTH FRACTIONAL INTEREST IN A SHARE OF 5.125% CLASS L CUMULATIVE REDEEMABLE PREFERRED STOCK LIQUIDATION PREFERENCE $25000.00 PER SHARE
5664    KIM.M 12/20/2017 2.77 KIMCO REALTY CORPORATION CLASS M DEPOSITARY SHARES EACH OF WHICH REPRESENTS A ONE-ONE THOUSANDTH FRACTIONAL INTEREST IN A SHARE OF 5.25% CLASS M CUMULATIVE REDEEMABLE PREFERRED STOCK LIQUIDATION PREFERENCE $25000.00 PER SHARE
5665    KIM.N 1/4/2024 0.1 KIMCO REALTY CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 7.25% CLASS N CUMULATIVE CONVERTIBLE PERPETUAL PREFERRED STOCK
5666    KIND 3/24/2021 14 NEXTDOOR HOLDINGS INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
5667    KINS 7/2/2009 5.95 KINGSTONE COMPANIES INC. COMMON STOCK Property-Casualty Insurers Finance
5668    KIO 7/26/2013 15 KKR INCOME OPPORTUNITIES FUND COMMON SHARES Investment Managers Finance
5669    KIRK 7/30/2002 41 KIRKLAND'S INC. COMMONSTOCK Other Specialty Stores Consumer Discretionary
5670    KITT 8/4/2021 6.17 NAUTICUS ROBOTICS INC. COMMON STOCK Industrial Machinery/Components Industrials
5671    KITTW 8/4/2021 0.69 NAUTICUS ROBOTICS INC. WARRANT Industrial Machinery/Components Industrials
5672    KJAN 1/2/2020 1.42 INNOVATOR U.S. SMALL CAP POWER BUFFER ETF - JANUARY Exchange Traded Fund Financial
5673    KJUL 7/1/2020 0.85 INNOVATOR U.S. SMALL CAP POWER BUFFER ETF - JULY Exchange Traded Fund Financial
5674    KJUN 6/3/2024 0.04 SHL TELEMEDICINE LTD INNOVATOR U.S. SMALL CAP POWER BUFFER ETF Exchange Traded Fund Financial
5675    KKR 7/15/2010 70 KKR & CO. INC. COMMON STOCK Investment Managers Finance
5676    KKRS 4/21/2021 2.08 KKR GROUP FINANCE CO. IX LLC 4.625% SUBORDINATED NOTES DUE 2061
5677    KLAC 1/2/1998 132 KLA CORPORATION COMMON STOCK Electronic Components Technology
5678    KLC 10/9/2024 1.15 KINDERCARE LEARNING COMPANIES INC. COMMON STOCK Other Consumer Services Consumer Discretionary
5679    KLDO 7/17/2008 5.18
5680    KLG 10/2/2023 6.35 WK KELLOGG CO COMMON STOCK Packaged Foods Consumer Staples
5681    KLIC 1/2/1998 102 KULICKE AND SOFFA INDUSTRIES INC. COMMON STOCK Semiconductors Technology
5682    KLIP 1/12/2023 3.73 KRANESHARES KWEB COVERED CALL STRATEGY ETF Exchange Traded Fund Financial
5683    KLMT 6/27/2024 0.01 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO MSCI GLOBAL CLIM Exchange Traded Fund Financial
5684    KLTO 4/29/2022 1.42 KLOTHO NEUROSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5685    KLTOW 4/29/2022 0.19 KLOTHO NEUROSCIENCES INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5686    KLTR 7/21/2021 6.25 KALTURA INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5687    KLXE 8/29/2018 13 KLX ENERGY SERVICES HOLDINGS INC. COMMON STOCK Oilfield Services/Equipment Energy
5688    KLXY 9/22/2023 0.04 KRANESHARES TRUST KRANESHARES GLOBAL LUXURY INDEX ETF Exchange Traded Fund Financial
5689    KMB 1/2/1998 128 KIMBERLY-CLARK CORPORATION COMMON STOCK Containers/Packaging Consumer Discretionary
5690    KMDA 5/31/2013 6.72 KAMADA LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5691    KMI 2/11/2011 75 KINDER MORGAN INC. COMMON STOCK Natural Gas Distribution Utilities
5692    KMID 10/16/2024 0.03 VIRTUS ETF TRUST II VIRTUS KAR MID-CAP ETF Exchange Traded Fund Financial
5693    KMLM 12/2/2020 2.95 KRANESHARES MOUNT LUCAS MANAGED FUTURES INDEX STRATEGY ETF Exchange Traded Fund Financial
5694    KMPB 3/16/2022 1.11 KEMPER CORPORATION 5.875% FIXED-RATE RESET JUNIOR SUBORDINATED DEBENTURES DUE 2062 Property-Casualty Insurers Finance
5695    KMPR 5/24/2001 63 KEMPER CORPORATION Property-Casualty Insurers Finance
5696    KMT 1/2/1998 97 KENNAMETAL INC. COMMON STOCK Industrial Machinery/Components Industrials
5697    KMTS 3/6/2025 0.06 KESTRA MEDICAL TECHNOLOGIES LTD. COMMON STOCK Medical/Dental Instruments Health Care
5698    KMX 1/2/1998 101 CARMAX INC Retail-Auto Dealers and Gas Stations Consumer Discretionary
5699    KN 3/3/2014 41 KNOWLES CORPORATION COMMON STOCK Consumer Electronics/Appliances Consumer Staples
5700    KNCT 5/16/2007 3.57 INVESCO NEXT GEN CONNECTIVITY ETF Exchange Traded Fund Financial
5701    KNDI 9/24/2007 34 KANDI TECHNOLOGIES GROUP INC. ORDINARY SHARES Auto Manufacturing Consumer Discretionary
5702    KNF 6/1/2023 4.99 KNIFE RIV HOLDING CO. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
5703    KNG 3/27/2018 7.8 FT VEST S&P 500 DIVIDEND ARISTOCRATS TARGET INCOME ETF Exchange Traded Fund Financial
5704    KNGZ 6/26/2017 0.41 FIRST TRUST S&P 500 DIVERSIFIED DIVIDEND ARISTOCRATS ETF Exchange Traded Fund Financial
5705    KNO 4/20/2005 0.92 INVESTMENT MANAGERS SERIES TRUST II AXS KNOWLEDGE LEADERS ETF Exchange Traded Fund Financial
5706    KNOP 4/10/2013 17 KNOT OFFSHORE PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Marine Transportation Consumer Discretionary
5707    KNOV 11/1/2024 0.04 INNOVATOR ETFS TRUST INNOVATOR U.S. SMALL CAP POWER BUFFER ETF Exchange Traded Fund Financial
5708    KNOW 12/8/2011 2.59 FUNDAMENTALS FIRST ETF FUNDAMENTALS FIRST ETF Exchange Traded Fund Financial
5709    KNSA 5/24/2018 16 KINIKSA PHARMACEUTICALS INTERNATIONAL PLC CLASS A ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5710    KNSL 7/28/2016 14 KINSALE CAPITAL GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
5711    KNTK 11/13/2018 15 KINETIK HOLDINGS INC. CLASS A COMMON STOCK Natural Gas Distribution Utilities
5712    KNW 9/16/2022 2.79 KNOW LABS INC. COMMON STOCK Industrial Machinery/Components Industrials
5713    KNX 12/30/2004 90 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC. Trucking Freight/Courier Services Industrials
5714    KO 1/2/1998 144 COCA-COLA COMPANY (THE) COMMON STOCK Beverages (Production/Distribution) Consumer Staples
5715    KOCG 7/14/2021 0.08 NEOS ETF TRUST FIS KNIGHTS OF COLUMBUS GLOBAL BELIEF ETF Exchange Traded Fund Financial
5716    KOCT 10/1/2019 0.8 INNOVATOR U.S. SMALL CAP POWER BUFFER ETF - OCTOBER Exchange Traded Fund Financial
5717    KOD 10/4/2018 16 KODIAK SCIENCES INC COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5718    KODK 11/1/2013 30 EASTMAN KODAK COMPANY COMMON NEW Industrial Machinery/Components Consumer Discretionary
5719    KOF 1/2/1998 51 COCA COLA FEMSA S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES EACH REPRESENTING 10 UNITS (EACH UNIT CONSISTS OF 3 SERIES B SHARES AND 5 SERIES L SHARES) Beverages (Production/Distribution) Consumer Staples
5720    KOKU 4/8/2020 0.11 XTRACKERS MSCI KOKUSAI EQUITY ETF Exchange Traded Fund Financial
5721    KOLD 10/6/2011 34 PROSHARES ULTRASHORT BLOOMBERG NATURAL GAS Exchange Traded Fund Financial
5722    KOMP 10/23/2018 6.94 SPDR S&P KENSHO NEW ECONOMIES COMPOSITE ETF Exchange Traded Fund Financial
5723    KONG 7/22/2021 0.09 ETF OPPORTUNITIES TRUST FORMIDABLE FORTRESS ETF Exchange Traded Fund Financial
5724    KOOL 4/2/2024 0.1 SPINNAKER ETF SERIES NORTH SHORE EQUITY ROTATION ETF Exchange Traded Fund Financial
5725    KOP 2/1/2006 42 KOPPERS HOLDINGS INC. COMMON STOCK Forest Products Basic Materials
5726    KOPN 1/2/1998 67 KOPIN CORPORATION COMMON STOCK Semiconductors Technology
5727    KORE 10/1/2021 3.19 KORE GROUP HOLDINGS INC. COMMON STOCK Telecommunications Equipment Telecommunications
5728    KORP 6/7/2018 1.29 AMERICAN CENTURY DIVERSIFIED CORPORATE BOND ETF Exchange Traded Fund Financial
5729    KORU 4/10/2013 14 DIREXION DAILY SOUTH KOREA BULL 3X SHARES Exchange Traded Fund Financial
5730    KOS 5/11/2011 58 KOSMOS ENERGY LTD. COMMON SHARES (DE) Oil & Gas Production Energy
5731    KOSS 1/14/2005 8.33 KOSS CORPORATION COMMON STOCK Consumer Electronics/Appliances Consumer Staples
5732    KPLT 1/3/2020 9 KATAPULT HOLDINGS INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
5733    KPLTW 12/27/2019 1.3 KATAPULT HOLDINGS INC. WARRANT Diversified Commercial Services Consumer Discretionary
5734    KPOP 9/1/2022 0.04 JAKOTA K-POP AND KOREAN ENTERTAINMENT ETF Exchange Traded Fund Financial
5735    KPRO 2/8/2024 0.01 KRANESHARES 100% KWEB DEFINED OUTCOME JANUARY 2027 ETF Exchange Traded Fund Financial
5736    KPRX 2/13/2015 10 KIORA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5737    KPTI 11/6/2013 39 KARYOPHARM THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5738    KQQQ 7/23/2024 0.14 KURV TECHNOLOGY TITANS SELECT ETF Exchange Traded Fund Financial
5739    KR 1/2/1998 130 KROGER COMPANY (THE) COMMON STOCK Food Chains Consumer Staples
5740    KRBN 7/31/2020 7.75 KRANESHARES GLOBAL CARBON STRATEGY ETF Exchange Traded Fund Financial
5741    KRBP 10/16/2020 3.15
5742    KRC 1/2/1998 88 KILROY REALTY CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
5743    KRE 6/22/2006 86 SPDR S&P REGIONAL BANKING ETF Exchange Traded Fund Financial
5744    KREF 5/5/2017 23 KKR REAL ESTATE FINANCE TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
5745    KREF.A 4/26/2021 1.43 KKR REAL ESTATE FINANCE TRUST INC. 6.50% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
5746    KRG 8/12/2004 71 KITE REALTY GROUP TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
5747    KRKR 11/8/2019 2.85 36KR HOLDINGS INC. AMERICAN DEPOSITARY SHARES Business Services Consumer Discretionary
5748    KRMA 7/12/2016 1.74 GLOBAL X CONSCIOUS COMPANIES ETF Exchange Traded Fund Financial
5749    KRMD 5/17/2007 7.31 KORU MEDICAL SYSTEMS INC. COMMON STOCK (DE) Medical/Dental Instruments Health Care
5750    KRMN 2/13/2025 0.28 KARMAN HOLDINGS INC. COMMON STOCK Military/Government/Technical Industrials
5751    KRNT 4/2/2015 23 KORNIT DIGITAL LTD. ORDINARY SHARES Industrial Machinery/Components Industrials
5752    KRNY 2/24/2005 39 KEARNY FINANCIAL CORP COMMON STOCK Savings Institutions Finance
5753    KRO 12/9/2003 47 KRONOS WORLDWIDE INC COMMON STOCK Major Chemicals Industrials
5754    KRON 10/9/2020 7.3 KRONOS BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5755    KROP 7/14/2021 0.29 GLOBAL X AGTECH & FOOD INNOVATION ETF Exchange Traded Fund Financial
5756    KROS 4/8/2020 9.1 KEROS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5757    KRP 2/3/2017 15 KIMBELL ROYALTY PARTNERS COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Oil & Gas Production Energy
5758    KRRO 10/3/2019 9.3 KORRO BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5759    KRT 4/15/2021 2.23 KARAT PACKAGING INC. COMMON STOCK Plastic Products Industrials
5760    KRUS 8/1/2019 7.34 KURA SUSHI USA INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
5761    KRUZ 2/7/2023 0.38 UNUSUAL WHALES SUBVERSIVE REPUBLICAN TRADING ETF Exchange Traded Fund Financial
5762    KRYS 9/20/2017 12 KRYSTAL BIOTECH INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5763    KSA 9/17/2015 20 ISHARES TRUST ISHARES MSCI SAUDI ARABIA ETF Exchange Traded Fund Financial
5764    KSCP 1/27/2022 9.05 KNIGHTSCOPE INC. CLASS A COMMON STOCK Telecommunications Equipment Telecommunications
5765    KSEA 6/26/2024 0.01 KRANESHARES TRUST KRANESHARES ROCKEFELLER OCEAN ENGAGEMENT ETF Exchange Traded Fund Financial
5766    KSEP 9/3/2024 0.04 INNOVATOR U.S. SMALL CAP POWER BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
5767    KSPI 1/19/2024 2.88 JOINT STOCK COMPANY KASPI.KZ AMERICAN DEPOSITORY SHARES
5768    KSPY 7/16/2024 0.1 KRANESHARES TRUST KRANESHARES HEDGEYE HEDGED EQUITY INDEX ETF Exchange Traded Fund Financial
5769    KSS 1/2/1998 129 KOHL'S CORPORATION COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
5770    KSTR 1/27/2021 2.19 KRANESHARES SSE STAR MARKET 50 INDEX ETF Exchange Traded Fund Financial
5771    KT 1/4/2010 54 KT CORPORATION COMMON STOCK Telecommunications Equipment Telecommunications
5772    KTB 5/28/2019 20 KONTOOR BRANDS INC. COMMON STOCK Apparel Consumer Discretionary
5773    KTCC 1/2/1998 9.7 KEY TRONIC CORPORATION COMMON STOCK Electrical Products Technology
5774    KTEC 6/9/2021 0.87 KRANESHARES HANG SENG TECH INDEX ETF Exchange Traded Fund Financial
5775    KTF 1/2/1998 22 DWS MUNICIPAL INCOME TRUST Finance Companies Finance
5776    KTH 10/31/2006 0.7 STRUCTURES PRODUCTS CP 8% CORTS ISSUED BY PECO ENERGY CAP TR II PREFERRED STOCK Finance: Consumer Services Finance
5777    KTN 5/6/2004 1.14 STRUCTURED PRODUCTS CORP 8.205% CORTS 8.205% CORPORATE BACKED TRUST SECURITIES (CORTS) Finance: Consumer Services Finance
5778    KTOS 9/17/2007 53 KRATOS DEFENSE & SECURITY SOLUTIONS INC. COMMON STOCK Military/Government/Technical Industrials
5779    KTTA 9/15/2021 2.94 PASITHEA THERAPEUTICS CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5780    KTTAW 9/15/2021 0.23 PASITHEA THERAPEUTICS CORP. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
5781    KUKE 1/12/2021 2.41 KUKE MUSIC HOLDING LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE ORDINARY SHARE Other Consumer Services Real Estate
5782    KULR 7/18/2018 14 KULR TECHNOLOGY GROUP INC. COMMON STOCK Electrical Products Technology
5783    KURA 9/16/2015 24 KURA ONCOLOGY INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5784    KURE 2/1/2018 3.94 KRANESHARES MSCI ALL CHINA HEALTH CARE INDEX ETF Exchange Traded Fund Financial
5785    KVAC 9/15/2023 0.08 KEEN VISION ACQUISITION CORPORATION ORDINARY SHARES
5786    KVACU 7/25/2023 0.04
5787    KVACW 9/15/2023 0.07 KEEN VISION ACQUISITION CORPORATION WARRANT
5788    KVHI 1/2/1998 23 KVH INDUSTRIES INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
5789    KVLE 11/24/2020 0.24 KRANESHARES VALUE LINE DYNAMIC DIVIDEND EQUITY INDEX ETF Exchange Traded Fund Financial
5790    KVUE 5/4/2023 9.46 KENVUE INC. COMMON STOCK Specialty Chemicals Consumer Discretionary
5791    KVYO 9/20/2023 5.65 KLAVIYO INC. SERIES A COMMON STOCK Computer Software: Prepackaged Software Technology
5792    KW 3/19/2010 48 KENNEDY-WILSON HOLDINGS INC. COMMON STOCK Real Estate Finance
5793    KWE 12/7/2022 2.68 KWESST MICRO SYSTEMS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5794    KWEB 8/1/2013 46 KRANESHARES TRUST KRANESHARES CSI CHINA INTERNET ETF Exchange Traded Fund Financial
5795    KWESW 12/7/2022 0.08 KWESST MICRO SYSTEMS INC. WARRANT Computer Software: Prepackaged Software Technology
5796    KWR 1/2/1998 30 QUAKER HOUGHTON COMMON STOCK Major Chemicals Industrials
5797    KWT 9/3/2020 0.44 ISHARES TRUST ISHARES MSCI KUWAIT ETF Exchange Traded Fund Financial
5798    KXI 9/22/2006 13 ISHARES GLOBAL CONSUMER STAPLES ETF Exchange Traded Fund Financial
5799    KXIN 11/6/2017 11 KAIXIN HOLDINGS ORDINARY SHARES Retail-Auto Dealers and Gas Stations Consumer Discretionary
5800    KYMR 8/21/2020 13 KYMERA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5801    KYN 9/28/2004 56 KAYNE ANDERSON ENERGY INFRASTRUCTURE FUND INC. Finance/Investors Services Finance
5802    KYTX 2/8/2024 2.58 KYVERNA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5803    KZIA 5/16/2007 9.34 KAZIA THERAPEUTICS LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5804    KZR 6/21/2018 14 KEZAR LIFE SCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5805    L 6/23/2008 73 LOEWS CORPORATION COMMON STOCK Property-Casualty Insurers Finance
5806    LAB 6/23/2000 68 STANDARD BIOTOOLS INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
5807    LABD 5/28/2015 53 DIREXION DAILY S&P BIOTECH BEAR 3X SHARES Exchange Traded Fund Financial
5808    LABU 5/28/2015 59 DIREXION DAILY S&P BIOTECH BULL 3X SHARES Exchange Traded Fund Financial
5809    LAC 10/28/2008 32 LITHIUM AMERICAS CORP. COMMON SHARES Metal Mining Basic Materials
5810    LAD 1/20/1999 66 LITHIA MOTORS INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
5811    LADR 2/6/2014 38 LADDER CAPITAL CORP CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
5812    LAES 5/22/2023 5.69 SEALSQ CORP ORDINARY SHARES Semiconductors Technology
5813    LAKE 1/2/1998 17 LAKELAND INDUSTRIES INC. COMMON STOCK Industrial Specialties Health Care
5814    LALT 2/7/2023 0.07 FIRST TRUST EXCHANGE-TRADED FUND VIII FIRST TRUST MULTI-STRATE Exchange Traded Fund Financial
5815    LAMR 1/2/1998 97 LAMAR ADVERTISING COMPANY CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
5816    LANC 1/2/1998 52 LANCASTER COLONY CORPORATION COMMON STOCK Packaged Foods Consumer Staples
5817    LAND 1/29/2013 19 GLADSTONE LAND CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
5818    LANDM 1/25/2021 0.32 GLADSTONE LAND CORPORATION 5.00% SERIES D CUMULATIVE TERM PREFERRED STOCK Real Estate Investment Trusts Real Estate
5819    LANDO 10/19/2020 1.57 GLADSTONE LAND CORPORATION 6.00% SERIES B CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
5820    LANDP 6/8/2023 0.64 GLADSTONE LAND CORPORATION 6.00% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
5821    LANV 12/15/2022 1.11 LANVIN GROUP HOLDINGS LIMITED ORDINARY SHARES Blank Checks Finance
5822    LAPR 4/1/2024 0.01 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 15 BUFFER ETF - Exchange Traded Fund Financial
5823    LAR 1/27/2025 0.51 LITHIUM ARGENTINA AG COMMON SHARES Metal Mining Basic Materials
5824    LARK 6/14/2005 1.53 LANDMARK BANCORP INC. COMMON STOCK Major Banks Finance
5825    LASE 9/30/2022 3.99 LASER PHOTONICS CORPORATION COMMON STOCK Industrial Machinery/Components Miscellaneous
5826    LASR 4/26/2018 16 NLIGHT INC. COMMON STOCK Semiconductors Technology
5827    LAUR 2/1/2017 28 LAUREATE EDUCATION INC. COMMON STOCK Other Consumer Services Real Estate
5828    LAW 7/21/2021 7.9 CS DISCO INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5829    LAZ 5/5/2005 81 LAZARD INC. COMMON STOCK Investment Managers Finance
5830    LAZR 3/25/2019 25 LUMINAR TECHNOLOGIES INC. CLASS A COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
5831    LB 6/28/2024 2.28 LANDBRIDGE COMPANY LLC CLASS A SHARES REPRESENTING LIMITED LIABILITY COMPANY INTERESTS Oil & Gas Production Energy
5832    LBAY 11/17/2020 0.56 LEATHERBACK LONG/SHORT ALTERNATIVE YIELD ETF Exchange Traded Fund Financial
5833    LBGJ 10/23/2024 0.24 LI BANG INTERNATIONAL CORPORATION INC. ORDINARY SHARES
5834    LBO 11/30/2023 0.03 EA SERIES TRUST WHITEWOLF PUBLICLY LISTED PRIVATE EQUITY ETF Exchange Traded Fund Financial
5835    LBRDA 11/4/2014 20 LIBERTY BROADBAND CORPORATION CLASS A COMMON STOCK Cable & Other Pay Television Services Telecommunications
5836    LBRDK 11/5/2014 38 LIBERTY BROADBAND CORPORATION CLASS C COMMON STOCK Cable & Other Pay Television Services Telecommunications
5837    LBRDP 12/22/2020 0.59 LIBERTY BROADBAND CORPORATION SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK Cable & Other Pay Television Services Telecommunications
5838    LBRT 1/12/2018 32 LIBERTY ENERGY INC. CLASS A COMMON STOCK Oilfield Services/Equipment Energy
5839    LBTYA 6/8/2004 88 LIBERTY GLOBAL LTD. CLASS A COMMON SHARES Cable & Other Pay Television Services Telecommunications
5840    LBTYB 6/9/2004 0.44 LIBERTY GLOBAL LTD. CLASS B COMMON SHARES Cable & Other Pay Television Services Telecommunications
5841    LBTYK 9/8/2005 80 LIBERTY GLOBAL LTD. CLASS C COMMON SHARES Cable & Other Pay Television Services Telecommunications
5842    LC 12/11/2014 43 LENDINGCLUB CORPORATION COMMON STOCK Finance: Consumer Services Finance
5843    LCDS 8/13/2024 0.01 JPMORGAN FUNDAMENTAL DATA SCIENCE LARGE CORE ETF Exchange Traded Fund Financial
5844    LCF 7/29/2022 0.03 TOUCHSTONE ETF TRUST TOUCHSTONE US LARGE CAP FOCUSED ETF Exchange Traded Fund Financial
5845    LCFY 3/25/2022 1.04 LOCAFY LIMITED ORDINARY SHARE Computer Software: Programming Data Processing Technology
5846    LCFYW 3/25/2022 0.07 LOCAFY LIMITED WARRANT Computer Software: Programming Data Processing Technology
5847    LCG 8/26/2009 0.54 STERLING CAPITAL FOCUS EQUITY ETF Exchange Traded Fund Financial
5848    LCID 9/18/2020 35 LUCID GROUP INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
5849    LCII 1/3/2017 18 LCI INDUSTRIES Auto Parts:O.E.M. Consumer Discretionary
5850    LCLG 8/8/2022 0.03 ADVISORS SERIES TRUST LOGAN CAPITAL BROAD INNOVATIVE GROWTH ET Exchange Traded Fund Financial
5851    LCNB 5/16/2007 4.7 LCNB CORPORATION COMMON STOCK Major Banks Finance
5852    LCR 1/6/2020 0.38 MANAGED PORTFOLIO SERIES LEUTHOLD CORE ETF Exchange Traded Fund Financial
5853    LCTD 4/8/2021 0.5 BLACKROCK WORLD EX U.S. CARBON TRANSITION READINESS ETF Exchange Traded Fund Financial
5854    LCTU 4/8/2021 1.79 BLACKROCK U.S. CARBON TRANSITION READINESS ETF Exchange Traded Fund Financial
5855    LCTX 5/16/2007 35 LINEAGE CELL THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5856    LCUT 1/2/1998 20 LIFETIME BRANDS INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
5857    LDEM 2/12/2020 0.51 ISHARES ESG MSCI EM LEADERS ETF Exchange Traded Fund Financial
5858    LDI 2/11/2021 11 LOANDEPOT INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
5859    LDOS 4/27/2007 77 LEIDOS HOLDINGS INC. COMMON STOCK EDP Services Technology
5860    LDP 7/30/2012 17 COHEN & STEERS LIMITED DURATION PREFERRED AND INCOME FUND INC. Finance Companies Finance
5861    LDRC 11/8/2024 0.01 ISHARES TRUST ISHARES IBONDS 1-5 YEAR CORPORATE LADDER ETF Exchange Traded Fund Financial
5862    LDRH 11/26/2024 0.01 ISHARES TRUST ISHARES IBONDS 1-5 YEAR HIGH YIELD AND INCOME L Exchange Traded Fund Financial
5863    LDRI 11/12/2024 0.02 ISHARES TRUST ISHARES IBONDS 1-5 YEAR TIPS LADDER ETF Exchange Traded Fund Financial
5864    LDRT 11/11/2024 0.03 ISHARES TRUST ISHARES IBONDS 1-5 YEAR TREASURY LADDER ETF Exchange Traded Fund Financial
5865    LDSF 1/9/2019 2.24 FIRST TRUST LOW DURATION STRATEGIC FOCUS ETF Exchange Traded Fund Financial
5866    LDTC 3/1/2021 2.09 LEDDARTECH HOLDINGS INC. COMMON SHARES Computer Software: Prepackaged Software Technology
5867    LDTCW 3/1/2021 0.66 LEDDARTECH HOLDINGS INC. WARRANTS Computer Software: Prepackaged Software Technology
5868    LDUR 1/23/2014 5.61 PIMCO ENHANCED LOW DURATION ACTIVE EXCHANGE-TRADED FUND Exchange Traded Fund Financial
5869    LDWY 5/16/2007 6.12 LENDWAY INC. COMMON STOCK (DE) Advertising Consumer Discretionary
5870    LE 3/20/2014 23 LANDS' END INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
5871    LEA 11/20/2009 64 LEAR CORPORATION COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
5872    LEAD 1/6/2016 0.91 SIREN DIVCON LEADERS DIVIDEND ETF Exchange Traded Fund Financial
5873    LECO 1/2/1998 74 LINCOLN ELECTRIC HOLDINGS INC. COMMON SHARES Industrial Machinery/Components Industrials
5874    LEDS 12/9/2010 11 SEMILEDS CORPORATION COMMON STOCK Semiconductors Technology
5875    LEE 1/2/1998 42 LEE ENTERPRISES INCORPORATED COMMON STOCK Newspapers/Magazines Consumer Discretionary
5876    LEG 1/2/1998 112 LEGGETT & PLATT INCORPORATED COMMON STOCK Home Furnishings Consumer Discretionary
5877    LEGH 12/14/2018 4.14 LEGACY HOUSING CORPORATION COMMON STOCK (TX) Homebuilding Consumer Discretionary
5878    LEGN 6/5/2020 15 LEGEND BIOTECH CORPORATION AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
5879    LEGR 1/25/2018 1.84 FIRST TRUST INDXX INNOVATIVE TRANSACTION & PROCESS ETF Exchange Traded Fund Financial
5880    LEGT 3/28/2024 0.07 LEGATO MERGER CORP. III ORDINARY SHARES
5881    LEMB 10/20/2011 12 ISHARES J.P. MORGAN EM LOCAL CURRENCY BOND Exchange Traded Fund Financial
5882    LEN 1/2/1998 121 LENNAR CORPORATION CLASS A COMMON STOCK Homebuilding Consumer Discretionary
5883    LEN.B 4/23/2003 24
5884    LENS 5/16/2007 1.22
5885    LENZ 6/25/2021 6.02 LENZ THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
5886    LEO 1/2/1998 28 BNY MELLON STRATEGIC MUNICIPALS INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
5887    LESL 10/29/2020 18 LESLIE'S INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
5888    LEU 9/30/2014 13 CENTRUS ENERGY CORP. CLASS A COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
5889    LEVI 3/21/2019 29 LEVI STRAUSS & CO CLASS A COMMON STOCK Apparel Consumer Discretionary
5890    LEXI 7/2/2021 0.13 ALEXIS PRACTICAL TACTICAL ETF Exchange Traded Fund Financial
5891    LEXX 1/12/2021 3.67 LEXARIA BIOSCIENCE CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5892    LEXXW 1/12/2021 0.25
5893    LFCR 5/11/2007 27 LIFECORE BIOMEDICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5894    LFEQ 10/9/2017 0.73 VANECK LONG/FLAT TREND ETF Exchange Traded Fund Financial
5895    LFLY 2/7/2022 3.53
5896    LFLYW 12/12/2019 0.83
5897    LFMD 2/22/2021 9.12 LIFEMD INC. COMMON STOCK Medical/Nursing Services Health Care
5898    LFMDP 10/5/2021 0.33 LIFEMD INC. 8.875% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK Medical/Nursing Services Health Care
5899    LFSC 10/31/2024 0.02 F/M EMERALD LIFE SCIENCES INNOVATION ETF Exchange Traded Fund Financial
5900    LFST 6/10/2021 12 LIFESTANCE HEALTH GROUP INC. COMMON STOCK Medical/Nursing Services Health Care
5901    LFT 3/22/2013 12 LUMENT FINANCE TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
5902    LFT.A 5/10/2021 0.2 LUMENT FINANCE TRUST INC. 7.875% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
5903    LFUS 1/2/1998 51 LITTELFUSE INC. COMMON STOCK Electrical Products Energy
5904    LFVN 5/16/2007 21 LIFEVANTAGE CORPORATION COMMON STOCK (DELAWARE) Biotechnology: Pharmaceutical Preparations Health Care
5905    LFWD 9/12/2014 18 LIFEWARD LTD. ORDINARY SHARES Industrial Specialties Health Care
5906    LGCB 12/19/2023 1.04 LINKAGE GLOBAL INC. CLASS A ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
5907    LGCF 12/13/2023 0.04 THEMES US CASH FLOW CHAMPIONS ETF Exchange Traded Fund Financial
5908    LGCL 3/5/2024 1.55 LUCAS GC LIMITED ORDINARY SHARES Computer Software: Programming Data Processing Technology
5909    LGCY 1/12/2007 28 LEGACY EDUCATION INC. COMMON STOCK Other Consumer Services Real Estate
5910    LGF.A 12/9/2016 29
5911    LGF.B 12/9/2016 28
5912    LGH 10/10/2019 1.85 HCM DEFENDER 500 INDEX ETF Exchange Traded Fund Financial
5913    LGHL 6/21/2019 10 LION GROUP HOLDING LTD. AMERICAN DEPOSITARY SHARE Investment Bankers/Brokers/Service Finance
5914    LGHLW 6/21/2019 1.82 LION GROUP HOLDING LTD. WARRANT Investment Bankers/Brokers/Service Finance
5915    LGHT 1/10/2024 0.03 SPINNAKER ETF SERIES LANGAR GLOBAL HEALTHTECH ETF Exchange Traded Fund Financial
5916    LGI 4/28/2004 12 LAZARD GLOBAL TOTAL RETURN AND INCOME FUND COMMON STOCK
5917    LGIH 11/7/2013 29 LGI HOMES INC. COMMON STOCK Homebuilding Consumer Discretionary
5918    LGL 12/4/2006 2.75 LGL GROUP INC. (THE) COMMON STOCK Industrial Machinery/Components Technology
5919    LGLV 2/21/2013 4.53 SPDR SSGA US LARGE CAP LOW VOLATILITY INDEX ETF Exchange Traded Fund Financial
5920    LGMK 8/23/2013 21 LOGICMARK INC. COMMON STOCK (NV) Industrial Specialties Health Care
5921    LGND 6/14/2006 47 LIGAND PHARMACEUTICALS INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5922    LGO 4/19/2021 3.86 LARGO INC. COMMON SHARES Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
5923    LGOV 1/23/2019 3.19 FIRST TRUST LONG DURATION OPPORTUNITIES ETF Exchange Traded Fund Financial
5924    LGRO 8/23/2023 0.11 LEVEL FOUR LARGE CAP GROWTH ACTIVE ETF Exchange Traded Fund Financial
5925    LGTY 1/2/1998 22 LOGILITY SUPPLY CHAIN SOLUTIONS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
5926    LGVN 2/12/2021 7.34 LONGEVERON INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5927    LH 1/2/1998 106 LABCORP HOLDINGS INC. COMMON STOCK Medical Specialities Health Care
5928    LHX 5/1/2007 80 L3HARRIS TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Industrials
5929    LI 7/30/2020 30 LI AUTO INC. AMERICAN DEPOSITARY SHARES Auto Manufacturing Consumer Discretionary
5930    LICN 2/6/2023 3.41 LICHEN INTERNATIONAL LIMITED CLASS A ORDINARY SHARES Professional Services Consumer Discretionary
5931    LICY 8/11/2021 15
5932    LIDR 1/11/2021 12 AEYE INC. CLASS A COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
5933    LIDRW 1/6/2021 0.98 AEYE INC. WARRANT Auto Parts:O.E.M. Consumer Discretionary
5934    LIEN 2/4/2022 0.36 CHICAGO ATLANTIC BDC INC. COMMON STOCK Finance: Consumer Services Finance
5935    LIF 6/6/2024 1.84 LIFE360 INC. COMMON STOCK
5936    LII 7/29/1999 81 LENNOX INTERNATIONAL INC. COMMON STOCK Industrial Machinery/Components Industrials
5937    LILA 6/22/2015 22 LIBERTY LATIN AMERICA LTD. CLASS A COMMON STOCK Cable & Other Pay Television Services Telecommunications
5938    LILAK 6/23/2015 32 LIBERTY LATIN AMERICA LTD. CLASS C COMMON STOCK Cable & Other Pay Television Services Telecommunications
5939    LIN 5/7/2007 70 LINDE PLC ORDINARY SHARES Major Chemicals Industrials
5940    LINC 6/23/2005 24 LINCOLN EDUCATIONAL SERVICES CORPORATION COMMON STOCK Other Consumer Services Real Estate
5941    LIND 7/3/2013 18 LINDBLAD EXPEDITIONS HOLDINGS INC. COMMON STOCK Transportation Services Consumer Discretionary
5942    LINE 7/25/2024 2.35 LINEAGE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
5943    LINK 5/16/2007 1.03 INTERLINK ELECTRONICS INC. COMMON STOCK Computer peripheral equipment Technology
5944    LION 1/2/1998 12 LIONSGATE STUDIOS CORP. COMMON SHARES Movies/Entertainment Consumer Discretionary
5945    LIPO 12/20/2022 1.72 LIPELLA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5946    LIQT 8/31/2011 10 LIQTECH INTERNATIONAL INC. COMMON STOCK Industrial Machinery/Components Technology
5947    LIT 7/23/2010 32 GLOBAL X LITHIUM & BATTERY TECH ETF Exchange Traded Fund Financial
5948    LITB 6/6/2013 13 LIGHTINTHEBOX HOLDING CO. LTD. AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWELVE ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
5949    LITE 7/23/2015 39 LUMENTUM HOLDINGS INC. COMMON STOCK Telecommunications Equipment Telecommunications
5950    LITM 11/19/2021 5.53 SNOW LAKE RESOURCES LTD. COMMON SHARES Other Metals and Minerals Basic Materials
5951    LITP 2/2/2023 0.39 SPROTT LITHIUM MINERS ETF Exchange Traded Fund Financial
5952    LIVE 2/1/2008 7.53 LIVE VENTURES INCORPORATED COMMON STOCK Other Specialty Stores Consumer Discretionary
5953    LIVN 10/19/2015 28 LIVANOVA PLC ORDINARY SHARES Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
5954    LIVR 9/18/2024 0.14 INTELLIGENT LIVERMORE ETF Exchange Traded Fund Financial
5955    LIXT 11/25/2020 2.82 LIXTE BIOTECHNOLOGY HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5956    LIXTW 11/25/2020 0.29
5957    LJAN 1/2/2024 0.04 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 15 BUFFER ETF - Exchange Traded Fund Financial
5958    LJUL 7/1/2024 0.01 SHL TELEMEDICINE LTD INNOVATOR PREMIUM INCOME 15 BUFFER ETF - Exchange Traded Fund Financial
5959    LKCO 1/15/2019 14 LUOKUNG TECHNOLOGY CORP ORDINARY SHARES EDP Services Technology
5960    LKFN 1/5/1998 25 LAKELAND FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
5961    LKOR 9/24/2015 0.67 FLEXSHARES TRUST FLEXSHARES CREDIT-SCORED US LONG CORPORATE BO Exchange Traded Fund Financial
5962    LKQ 10/6/2003 89 LKQ CORPORATION COMMON STOCK Motor Vehicles Consumer Discretionary
5963    LLDR 9/10/2024 0.01 GLOBAL X FUNDS GLOBAL X LONG-TERM TREASURY LADDER ETF Exchange Traded Fund Financial
5964    LLY 1/2/1998 133 ELI LILLY AND COMPANY COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
5965    LLYVA 8/4/2023 2.55 LIBERTY MEDIA CORPORATION SERIES A LIBERTY LIVE COMMON STOCK Broadcasting Industrials
5966    LLYVK 8/4/2023 3.64 LIBERTY MEDIA CORPORATION SERIES C LIBERTY LIVE COMMON STOCK Broadcasting Industrials
5967    LLYX 8/8/2024 0.76 TIDAL TRUST II DEFIANCE DAILY TARGET 2X LONG LLY ETF Exchange Traded Fund Financial
5968    LMAT 10/19/2006 19 LEMAITRE VASCULAR INC. COMMON STOCK Medical/Dental Instruments Health Care
5969    LMB 11/16/2016 7.12 LIMBACH HOLDINGS INC. COMMON STOCK Engineering & Construction Consumer Discretionary
5970    LMBO 7/17/2024 0.07 DIREXION SHARES ETF TRUST DIREXION DAILY CRYPTO INDUSTRY BULL Exchange Traded Fund Financial
5971    LMBS 11/5/2014 25 FIRST TRUST LOW DURATION OPPORTUNITIES ETF Exchange Traded Fund Financial
5972    LMFA 12/17/2015 10 LM FUNDING AMERICA INC. COMMON STOCK Finance: Consumer Services Finance
5973    LMND 7/2/2020 22 LEMONADE INC. COMMON STOCK Property-Casualty Insurers Finance
5974    LMNR 12/15/2006 13 LIMONEIRA CO COMMON STOCK Farming/Seeds/Milling Consumer Staples
5975    LMPX 12/5/2019 3.45
5976    LMT 1/2/1998 125 LOCKHEED MARTIN CORPORATION COMMON STOCK Military/Government/Technical Industrials
5977    LNC 1/2/1998 121 LINCOLN NATIONAL CORPORATION COMMON STOCK Life Insurance Finance
5978    LNC.D 12/2/2022 1.68 LINCOLN NATIONAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 9.000% NON-CUMULATIVE PREFERRED STOCK SERIES D
5979    LND 11/8/2012 3.53 BRASILAGRO BRAZILIAN AGRIC REAL ESTATE CO SPONSORED ADR (BRAZIL) Farming/Seeds/Milling Consumer Staples
5980    LNG 3/24/2003 94 CHENIERE ENERGY INC. COMMON STOCK Oil/Gas Transmission Utilities
5981    LNGZ 3/18/2024 0.03 EXCHANGE TRADED CONCEPTS TRUST RANGE GLOBAL LNG ECOSYSTEM INDE Exchange Traded Fund Financial
5982    LNKB 9/14/2022 1.16 LINKBANCORP INC. COMMON STOCK Major Banks Finance
5983    LNKS 12/5/2024 0.32 LINKERS INDUSTRIES LIMITED CLASS A ORDINARY SHARES Electrical Products Technology
5984    LNN 1/2/1998 46 LINDSAY CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
5985    LNSR 10/2/2020 1.68 LENSAR INC. COMMON STOCK Medical/Dental Instruments Health Care
5986    LNT 4/21/1998 104 ALLIANT ENERGY CORPORATION COMMON STOCK Power Generation Utilities
5987    LNTH 6/25/2015 29 LANTHEUS HOLDINGS INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
5988    LNW 5/2/2007 66 LIGHT & WONDER INC. COMMON STOCK EDP Services Technology
5989    LNZA 9/24/2021 4.88 LANZATECH GLOBAL INC. COMMON STOCK Major Chemicals Industrials
5990    LNZAW 9/27/2021 0.48 LANZATECH GLOBAL INC. WARRANT Major Chemicals Industrials
5991    LOAN 7/29/2008 4.69 MANHATTAN BRIDGE CAPITAL INC Real Estate Investment Trusts Real Estate
5992    LOAR 4/25/2024 2.05 LOAR HOLDINGS INC. COMMON STOCK Military/Government/Technical Industrials
5993    LOB 7/23/2015 20 LIVE OAK BANCSHARES INC. COMMON STOCK Major Banks Finance
5994    LOBO 3/21/2024 0.26 LOBO EV TECHNOLOGIES LTD. ORDINARY SHARES Motor Vehicles Consumer Discretionary
5995    LOCL 11/22/2021 3.32 LOCAL BOUNTI CORPORATION COMMON STOCK Farming/Seeds/Milling Consumer Staples
5996    LOCM 11/2/2006 11
5997    LOCO 7/25/2014 30 EL POLLO LOCO HOLDINGS INC. COMMON STOCK Restaurants Consumer Discretionary
5998    LOCT 10/2/2023 0.08 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 15 BUFFER ETF - Exchange Traded Fund Financial
5999    LODE 7/21/2010 27 COMSTOCK INC. COMMON STOCK Major Chemicals Industrials
6000    LOGC 1/2/1998 14 CONTEXTLOGIC INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
6001    LOGI 1/2/2002 72 LOGITECH INTERNATIONAL S.A. ORDINARY SHARES Computer peripheral equipment Technology
6002    LOKVU 2/28/2025 0.01 LIVE OAK ACQUISITION CORP. V UNITS Blank Checks Finance
6003    LOMA 11/1/2017 17 LOMA NEGRA COMPANIA INDUSTRIAL ARGENTINA SOCIEDAD ANONIMA ADS Building Materials Industrials
6004    LONZ 6/9/2022 1.17 PIMCO U.S. TREASURY INDEX FUND PIMCO SENIOR LOAN ACTIVE EXCHAN Exchange Traded Fund Financial
6005    LOOP 6/7/2006 21 LOOP INDUSTRIES INC. COMMON STOCK Major Chemicals Industrials
6006    LOPE 11/20/2008 45 GRAND CANYON EDUCATION INC. COMMON STOCK Other Consumer Services Real Estate
6007    LOPP 2/1/2021 0.09 GABELLI LOVE OUR PLANET & PEOPLE ETF GABELLI LOVE OUR PLANET & Exchange Traded Fund Financial
6008    LOT 2/23/2024 1.05 LOTUS TECHNOLOGY INC. AMERICAN DEPOSITARY SHARES
6009    LOTWW 2/23/2024 0.09 LOTUS TECHNOLOGY INC. WARRANTS Auto Manufacturing Consumer Discretionary
6010    LOUP 7/25/2018 1.23 INNOVATOR DEEPWATER FRONTIER TECH ETF Exchange Traded Fund Financial
6011    LOVE 6/27/2018 17 THE LOVESAC COMPANY COMMON STOCK Other Specialty Stores Consumer Discretionary
6012    LOW 1/2/1998 135 LOWE'S COMPANIES INC. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
6013    LOWV 3/28/2023 0.06 AB ACTIVE ETFS INC. AB US LOW VOLATILITY EQUITY ETF Exchange Traded Fund Financial
6014    LPA 3/28/2024 0.86 LOGISTIC PROPERTIES OF THE AMERICAS ORDINARY SHARES Real Estate Finance
6015    LPAA 9/3/2024 0.02 LAUNCH ONE ACQUISITION CORP. CLASS A ORDINARY SHARES
6016    LPAAU 7/12/2024 0.03 LAUNCH ONE ACQUISITION CORP. UNIT Blank Checks Finance
6017    LPAAW 9/3/2024 0.01 LAUNCH ONE ACQUISITION CORP. WARRANT Blank Checks Finance
6018    LPBB 11/29/2024 0.02 LAUNCH TWO ACQUISITION CORP. CLASS A ORDINARY SHARES
6019    LPBBU 10/8/2024 0.04 LAUNCH TWO ACQUISITION CORP. UNIT Blank Checks Finance
6020    LPBBW 11/29/2024 0.01 LAUNCH TWO ACQUISITION CORP. WARRANT
6021    LPCN 10/22/2013 18 LIPOCINE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6022    LPG 5/8/2014 34 DORIAN LPG LTD. COMMON STOCK Marine Transportation Consumer Discretionary
6023    LPL 7/22/2004 63 LG DISPLAY CO LTD AMERICAN DEPOSITORY SHARES Industrial Machinery/Components Technology
6024    LPLA 11/18/2010 54 LPL FINANCIAL HOLDINGS INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6025    LPRO 6/11/2020 15 OPEN LENDING CORPORATION COMMON STOCK Finance: Consumer Services Finance
6026    LPSN 4/7/2000 61 LIVEPERSON INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6027    LPTH 7/12/2000 18 LIGHTPATH TECHNOLOGIES INC. CLASS A COMMON STOCK Semiconductors Technology
6028    LPTV 9/21/2022 2.61
6029    LPTX 1/25/2017 14 LEAP THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6030    LPX 1/2/1998 114 LOUISIANA-PACIFIC CORPORATION COMMON STOCK Forest Products Basic Materials
6031    LQAI 11/7/2023 0.04 EXCHANGE LISTED FUNDS TRUST LG QRAFT AI-POWERED U.S. LARGE CAP Exchange Traded Fund Financial
6032    LQD 7/30/2002 88 ISHARES IBOXX $ INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
6033    LQDA 7/26/2018 16 LIQUIDIA CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6034    LQDB 5/21/2021 0.1 ISHARES TRUST ISHARES BBB RATED CORPORATE BOND ETF Exchange Traded Fund Financial
6035    LQDH 6/17/2014 3.45 ISHARES INTEREST RATE HEDGED CORPORATE BOND ETF Exchange Traded Fund Financial
6036    LQDI 5/15/2018 0.93 ISHARES INFLATION HEDGED CORPORATE BOND ETF Exchange Traded Fund Financial
6037    LQDT 2/27/2006 40 LIQUIDITY SERVICES INC. COMMON STOCK Business Services Consumer Discretionary
6038    LQIG 5/12/2022 0.07 SPDR SERIES TRUST SPDR MARKETAXESS INVESTMENT GRADE 400 CORPOR Exchange Traded Fund Financial
6039    LRCX 1/2/1998 135 LAM RESEARCH CORPORATION COMMON STOCK Industrial Machinery/Components Technology
6040    LRE 11/11/2011 6.91 LEAD REAL ESTATE CO. LTD AMERICAN DEPOSITARY SHARES Homebuilding Consumer Discretionary
6041    LRFC 9/25/2013 9.04 LOGAN RIDGE FINANCE CORPORATION COMMON STOCK Finance: Consumer Services Finance
6042    LRGC 3/13/2024 0.09 AB ACTIVE ETFS INC. AB US LARGE CAP STRATEGIC EQUITIES ETF Exchange Traded Fund Financial
6043    LRGE 9/5/2017 1.57 CLEARBRIDGE LARGE CAP GROWTH ESG ETF Exchange Traded Fund Financial
6044    LRGF 4/30/2015 12 ISHARES U.S. EQUITY FACTOR ETF Exchange Traded Fund Financial
6045    LRGG 5/15/2024 0.08 MACQUARIE ETF TRUST MACQUARIE FOCUSED LARGE GROWTH ETF Exchange Traded Fund Financial
6046    LRHC 10/10/2023 1.7 LA ROSA HOLDINGS CORP. COMMON STOCK Real Estate Finance
6047    LRMR 6/19/2014 19 LARIMAR THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6048    LRN 12/13/2007 49 STRIDE INC. COMMON STOCK Other Consumer Services Real Estate
6049    LRND 2/8/2022 0.05 NYLI U.S. LARGE CAP R&D LEADERS ETF Exchange Traded Fund Financial
6050    LRNZ 3/2/2020 0.9 TRUESHARES TECHNOLOGY AI & DEEP LEARNING ETF Exchange Traded Fund Financial
6051    LSAF 10/2/2018 1.29 LEADERSHARES ALPHAFACTOR US CORE EQUITY ETF Exchange Traded Fund Financial
6052    LSAK 4/30/2007 35 LESAKA TECHNOLOGIES INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6053    LSAT 10/27/2020 0.95 LEADERSHARES ALPHAFACTOR TACTICAL FOCUSED ETF Exchange Traded Fund Financial
6054    LSB 3/17/2023 1.97 LAKESHORE BIOPHARMA CO. LTD ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6055    LSBK 4/5/2006 0.6 LAKE SHORE BANCORP INC. COMMON STOCK Savings Institutions Finance
6056    LSBPW 3/17/2023 0.19 LAKESHORE BIOPHARMA CO. LTD WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
6057    LSCC 1/2/1998 96 LATTICE SEMICONDUCTOR CORPORATION COMMON STOCK Semiconductors Technology
6058    LSE 3/19/2004 23 LEISHEN ENERGY HOLDING CO. LTD. ORDINARY SHARES Metal Fabrications Industrials
6059    LSEA 6/29/2018 5.44 LANDSEA HOMES CORPORATION COMMON STOCK Homebuilding Consumer Discretionary
6060    LSEAW 6/29/2018 1.23 LANDSEA HOMES CORPORATION WARRANT Homebuilding Consumer Discretionary
6061    LSEQ 12/7/2023 0.01 HARBOR ETF TRUST HARBOR LONG-SHORT EQUITY ETF Exchange Traded Fund Financial
6062    LSF 9/23/2020 3.75 LAIRD SUPERFOOD INC. COMMON STOCK Packaged Foods Consumer Staples
6063    LSGR 6/29/2023 0.07 NATIXIS ETF TRUST II NATIXIS LOOMIS SAYLES FOCUSED GROWTH ETF Exchange Traded Fund Financial
6064    LSH 6/28/2024 0.48 LAKESIDE HOLDING LIMITED COMMON STOCK
6065    LSPD 9/11/2020 18 LIGHTSPEED COMMERCE INC. SUBORDINATE VOTING SHARES Computer Software: Prepackaged Software Technology
6066    LSTA 8/9/2007 20 LISATA THERAPEUTICS INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
6067    LSTR 1/2/1998 81 LANDSTAR SYSTEM INC. COMMON STOCK Trucking Freight/Courier Services Industrials
6068    LTBR 10/9/2009 15 LIGHTBRIDGE CORPORATION COMMON STOCK Professional Services Consumer Discretionary
6069    LTC 1/2/1998 60 LTC PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6070    LTCH 12/31/2020 8.9
6071    LTH 10/7/2021 12 LIFE TIME GROUP HOLDINGS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
6072    LTL 5/22/2008 1.14 PROSHARES ULTRA COMMUNICATION SERVICES Exchange Traded Fund Financial
6073    LTM 6/30/2004 54 LATAM AIRLINES GROUP S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO THOUSAND (2000) SHARES OF COMMON STOCK) Air Freight/Delivery Services Consumer Discretionary
6074    LTPZ 9/8/2009 9.7 PIMCO 15 YEAR U.S. TIPS INDEX EXCHANGE-TRADED FUND Exchange Traded Fund Financial
6075    LTRN 6/11/2020 3.46 LANTERN PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6076    LTRPA 8/27/2014 29
6077    LTRPB 8/29/2014 0.48
6078    LTRX 8/4/2000 16 LANTRONIX INC. COMMON STOCK Computer Communications Equipment Telecommunications
6079    LTRY 6/15/2023 1.71 LOTTERY.COM INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6080    LTRYW 6/13/2018 3.12 LOTTERY.COM INC. WARRANTS Computer Software: Prepackaged Software Technology
6081    LTSF 7/5/2018 0.4
6082    LTSH 5/31/2019 0.46
6083    LTSK 8/23/2018 0.46
6084    LTSL 11/28/2017 0.52
6085    LU 10/30/2020 22 LUFAX HOLDING LTD AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO (2) ORDINARY SHARES Finance: Consumer Services Finance
6086    LUCD 10/14/2021 3.57 LUCID DIAGNOSTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
6087    LUCK 4/23/2021 13 LUCKY STRIKE ENTERTAINMENT CORPORATION CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
6088    LUCY 8/15/2022 3.49 INNOVATIVE EYEWEAR INC. COMMON STOCK Ophthalmic Goods Health Care
6089    LUCYW 8/15/2022 0.17 INNOVATIVE EYEWEAR INC. SERIES A WARRANTS 8/16/27 Ophthalmic Goods Health Care
6090    LUD 2/27/2025 0.03 LUDA TECHNOLOGY GROUP LIMITED ORDINARY SHARES
6091    LULU 7/30/2007 80 LULULEMON ATHLETICA INC. COMMON STOCK Apparel Consumer Discretionary
6092    LUMN 4/30/2007 87 LUMEN TECHNOLOGIES INC. COMMON STOCK Telecommunications Equipment Telecommunications
6093    LUNA 6/5/2006 16
6094    LUNG 10/1/2020 10 PULMONX CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
6095    LUNR 11/17/2021 10 INTUITIVE MACHINES INC. CLASS A COMMON STOCK Industrial Machinery/Components Industrials
6096    LUNRW 11/16/2021 2.14
6097    LUV 1/2/1998 137 SOUTHWEST AIRLINES COMPANY COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
6098    LUX 5/11/2023 0.04 TEMA ETF TRUST TEMA LUXURY ETF Exchange Traded Fund Financial
6099    LUXH 8/12/2022 4.82
6100    LUXHP 10/27/2023 0.11
6101    LVHD 12/29/2015 8.1 FRANKLIN U.S. LOW VOLATILITY HIGH DIVIDEND INDEX ETF Exchange Traded Fund Financial
6102    LVHI 7/28/2016 5.42 FRANKLIN INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND INDEX ETF Exchange Traded Fund Financial
6103    LVLU 11/11/2021 3.12 LULU'S FASHION LOUNGE HOLDINGS INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
6104    LVO 12/14/2017 14 LIVEONE INC. COMMON STOCK Restaurants Consumer Discretionary
6105    LVOL 5/27/2011 0.19 AMERICAN CENTURY LOW VOLATILITY ETF Exchange Traded Fund Financial
6106    LVRO 3/1/2023 0.45 LAVORO LIMITED CLASS A ORDINARY SHARES Other Specialty Stores Consumer Discretionary
6107    LVROW 3/1/2023 0.12 LAVORO LIMITED WARRANT Other Specialty Stores Consumer Discretionary
6108    LVS 12/15/2004 106 LAS VEGAS SANDS CORP. COMMON STOCK Hotels/Resorts Consumer Discretionary
6109    LVTX 3/25/2021 2.32 LAVA THERAPEUTICS N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6110    LVWR 11/23/2020 2.36 LIVEWIRE GROUP INC. COMMON STOCK Motor Vehicles Consumer Discretionary
6111    LW 11/10/2016 37 LAMB WESTON HOLDINGS INC. COMMON STOCK Packaged Foods Consumer Staples
6112    LWAY 4/10/2000 13 LIFEWAY FOODS INC. COMMON STOCK Packaged Foods Consumer Staples
6113    LWLG 3/10/2008 16 LIGHTWAVE LOGIC INC. COMMON STOCK Containers/Packaging Industrials
6114    LX 12/21/2017 27 LEXINFINTECH HOLDINGS LTD. AMERICAN DEPOSITARY SHARES Finance: Consumer Services Finance
6115    LXEH 10/1/2020 1.75 LIXIANG EDUCATION HOLDING CO. LTD. AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
6116    LXEO 11/3/2023 2.28 LEXEO THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6117    LXFR 10/3/2012 17 LUXFER HOLDINGS PLC ORDINARY SHARES Major Chemicals Industrials
6118    LXP 1/2/1998 93 LXP INDUSTRIAL TRUST COMMON STOCK (MARYLAND REIT) Real Estate Investment Trusts Real Estate
6119    LXP.C 5/16/2007 1.01 LXP INDUSTRIAL TRUST 6.5% SERIES C CUMULATIVE CONVERTIBLE PREFERRED STOCK
6120    LXRX 4/27/2007 57 LEXICON PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6121    LXU 12/15/2003 46 LSB INDUSTRIES INC. COMMON STOCK Major Chemicals Industrials
6122    LYB 10/14/2010 69 LYONDELLBASELL INDUSTRIES NV ORDINARY SHARES CLASS A (NETHERLANDS) Major Chemicals Industrials
6123    LYEL 6/17/2021 12 LYELL IMMUNOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6124    LYFT 3/29/2019 33 LYFT INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
6125    LYG 11/28/2001 93 LLOYDS BANKING GROUP PLC AMERICAN DEPOSITARY SHARES Commercial Banks Finance
6126    LYLD 7/12/2024 0.03 CAMBRIA ETF TRUST CAMBRIA LARGE CAP SHAREHOLDER YIELD ETF Exchange Traded Fund Financial
6127    LYRA 5/1/2020 6.82 LYRA THERAPEUTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
6128    LYT 6/15/2022 4.15 LYTUS TECHNOLOGIES HOLDINGS PTV. LTD. COMMON SHARES EDP Services Technology
6129    LYTS 1/2/1998 35 LSI INDUSTRIES INC. COMMON STOCK Building Products Consumer Discretionary
6130    LYV 12/22/2005 77 LIVE NATION ENTERTAINMENT INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
6131    LZ 1/2/1998 54 LEGALZOOM.COM INC. COMMON STOCK EDP Services Technology
6132    LZB 1/2/1998 83 LA-Z-BOY INCORPORATED COMMON STOCK Home Furnishings Consumer Discretionary
6133    LZM 7/6/2023 1.47 LIFEZONE METALS LIMITED ORDINARY SHARES Metal Mining Basic Materials
6134    LZMH 2/27/2025 0.12 LZ TECHNOLOGY HOLDINGS LIMITED CLASS B ORDINARY SHARES EDP Services Technology
6135    M 10/14/1999 132 MACY'S INC COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
6136    MA 5/25/2006 94 MASTERCARD INCORPORATED COMMON STOCK Business Services Consumer Discretionary
6137    MAA 1/2/1998 81 MID-AMERICA APARTMENT COMMUNITIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6138    MAA.I 12/5/2016 0.25 MID-AMERICA APARTMENT COMMUNITIES INC. 8.50% SERIES I CUMULATIVE REDEEMABLE PREFERRED STOCK
6139    MAC 1/2/1998 102 MACERICH COMPANY (THE) COMMON STOCK Real Estate Investment Trusts Real Estate
6140    MACI 7/17/2024 0.02 MELAR ACQUISITION CORP. I CLASS A ORDINARY SHARES
6141    MACIW 7/17/2024 0.02 MELAR ACQUISITION CORP. I WARRANT
6142    MADE 7/18/2024 0.09 ISHARES TRUST ISHARES U.S. MANUFACTURING ETF Exchange Traded Fund Financial
6143    MAG 1/2/1998 44 MAG SILVER CORPORATION ORDINARY SHARES Precious Metals Basic Materials
6144    MAGA 9/14/2017 0.61 POINT BRIDGE AMERICA FIRST ETF Exchange Traded Fund Financial
6145    MAGG 8/29/2023 0.03 MADISON ETFS TRUST MADISON AGGREGATE BOND ETF Exchange Traded Fund Financial
6146    MAGN 4/30/2007 45 MAGNERA CORPORATION COMMON STOCK Paper Basic Materials
6147    MAGS 4/11/2023 4.81 ROUNDHILL MAGNIFICENT SEVEN ETF Exchange Traded Fund Financial
6148    MAGX 2/29/2024 0.9 ROUNDHILL DAILY 2X LONG MAGNIFICENT SEVEN ETF Exchange Traded Fund Financial
6149    MAIA 7/28/2022 2.73 MAIA BIOTECHNOLOGY INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6150    MAIN 10/9/2007 47 MAIN STREET CAPITAL CORPORATION COMMON STOCK Finance/Investors Services Finance
6151    MAKX 9/30/2021 0.05 PROSHARES S&P KENSHO SMART FACTORIES ETF Exchange Traded Fund Financial
6152    MAMA 5/22/2013 5.32 MAMA'S CREATIONS INC. COMMON STOCK Specialty Foods Consumer Staples
6153    MAMB 3/29/2021 0.51 MONARCH AMBASSADOR INCOME INDEX ETF Exchange Traded Fund Financial
6154    MAMO 4/2/2024 0.38 MASSIMO GROUP COMMON STOCK Industrial Specialties Consumer Discretionary
6155    MAN 1/2/1998 97 MANPOWERGROUP COMMON STOCK Professional Services Consumer Discretionary
6156    MANH 4/23/1998 77 MANHATTAN ASSOCIATES INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6157    MANU 8/10/2012 22 MANCHESTER UNITED LTD. CLASS A ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
6158    MAPP 10/9/2007 10 HARBOR ETF TRUST HARBOR MULTI-ASSET EXPLORER ETF Exchange Traded Fund Financial
6159    MAPS 10/1/2019 13 WM TECHNOLOGY INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6160    MAPSW 10/1/2019 1.48 WM TECHNOLOGY INC. WARRANTS Computer Software: Prepackaged Software Technology
6161    MAQCW 6/7/2021 0.4
6162    MAR 3/23/1998 123 MARRIOTT INTERNATIONAL CLASS A COMMON STOCK Hotels/Resorts Consumer Discretionary
6163    MARA 11/6/2012 49 MARA HOLDINGS INC. COMMON STOCK EDP Services Technology
6164    MARB 2/5/2020 0.95 FIRST TRUST MERGER ARBITRAGE ETF Exchange Traded Fund Financial
6165    MARK 10/3/2007 26
6166    MARM 3/27/2024 0.29 SHL TELEMEDICINE LTD FT VEST U.S. EQUITY MAX BUFFER ETF - MARC Exchange Traded Fund Financial
6167    MARPS 1/2/1998 3.7 MARINE PETROLEUM TRUST UNITS OF BENEFICIAL INTEREST Oil & Gas Production Energy
6168    MART 3/1/2023 0.13 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 MAR E Exchange Traded Fund Financial
6169    MARW 3/1/2023 0.28 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 MAR E Exchange Traded Fund Financial
6170    MARZ 3/1/2021 0.13 TRUESHARES STRUCTURED OUTCOME (MARCH) ETF Exchange Traded Fund Financial
6171    MAS 1/2/1998 126 MASCO CORPORATION COMMON STOCK Industrial Specialties Industrials
6172    MASI 8/8/2007 59 MASIMO CORPORATION COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
6173    MASK 1/8/2025 0.07 3 E NETWORK TECHNOLOGY GROUP LTD CLASS A ORDINARY SHARES
6174    MASS 12/18/2020 9.19 908 DEVICES INC. COMMON STOCK Industrial Machinery/Components Industrials
6175    MAT 1/2/1998 120 MATTEL INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
6176    MATH 6/23/2011 3.39 METALPHA TECHNOLOGY HOLDING LIMITED ORDINARY SHARES Finance/Investors Services Finance
6177    MATV 5/2/2007 47 MATIV HOLDINGS INC. COMMON STOCK Paper Basic Materials
6178    MATW 1/2/1998 47 MATTHEWS INTERNATIONAL CORPORATION CLASS A COMMON STOCK Metal Fabrications Telecommunications
6179    MATX 5/6/2009 45 MATSON INC. COMMON STOCK Marine Transportation Consumer Discretionary
6180    MAV 11/24/2003 17 PIONEER MUNICIPAL HIGH INCOME ADVANTAGE FUND INC. Finance Companies Finance
6181    MAX 10/28/2020 9.75 MEDIAALPHA INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
6182    MAXI 9/30/2022 0.99 SIMPLIFY BITCOIN STRATEGY PLUS INCOME ETF Exchange Traded Fund Financial
6183    MAXN 8/26/2020 17 MAXEON SOLAR TECHNOLOGIES LTD. ORDINARY SHARES Semiconductors Technology
6184    MAYA 3/7/2025 0.01 MAYWOOD ACQUISITION CORP. CLASS A ORDINARY SHARES
6185    MAYAR 3/7/2025 0.01 MAYWOOD ACQUISITION CORP. RIGHT Blank Checks Finance
6186    MAYAU 2/13/2025 0.02 MAYWOOD ACQUISITION CORP. UNIT Blank Checks Finance
6187    MAYP 5/1/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - MAY Exchange Traded Fund Financial
6188    MAYS 4/16/2008 0.27 J. W. MAYS INC. COMMON STOCK Building operators Real Estate
6189    MAYT 5/1/2023 0.11 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 MAY E Exchange Traded Fund Financial
6190    MAYU 5/1/2024 0.02 SHL TELEMEDICINE LTD ALLIANZIM U.S. EQUITY BUFFER15 UNCAPPED M Exchange Traded Fund Financial
6191    MAYW 5/1/2023 0.21 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 MAY E Exchange Traded Fund Financial
6192    MAZE 1/31/2025 0.26 MAZE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6193    MBAV 9/23/2024 0.01 M3-BRIGADE ACQUISITION V CORP. CLASS A ORDINARY SHARES
6194    MBAVU 8/1/2024 0.02
6195    MBAVW 9/23/2024 0.01 M3-BRIGADE ACQUISITION V CORP. WARRANT Blank Checks Finance
6196    MBB 3/16/2007 56 ISHARES MBS ETF Exchange Traded Fund Financial
6197    MBBB 12/2/2020 0.08 VANECK MOODY'S ANALYTICS BBB CORPORATE BOND ETF Exchange Traded Fund Financial
6198    MBC 5/31/2012 8.29 MASTERBRAND INC. COMMON STOCK Home Furnishings Consumer Discretionary
6199    MBCC 3/29/2021 0.41 MONARCH BLUE CHIPS CORE INDEX ETF Exchange Traded Fund Financial
6200    MBCN 5/16/2007 1.65 MIDDLEFIELD BANC CORP. COMMON STOCK Major Banks Finance
6201    MBI 1/2/1998 103 MBIA INC. COMMON STOCK Property-Casualty Insurers Finance
6202    MBIN 10/27/2017 7.33 MERCHANTS BANCORP COMMON STOCK Major Banks Finance
6203    MBINL 11/25/2024 0.18 MERCHANTS BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40THINTEREST IN A SHARE OF 7.25% FIXED RATE SERIES E NON-CUMULATIVEPERPETUAL PREFERRED STOCK WITHOUT PAR VALUE
6204    MBINM 9/27/2022 0.56 MERCHANTS BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 8.25% FIXED-RATE RESET SERIES D NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
6205    MBINN 3/23/2021 0.89 MERCHANTS BANCORP DEPOSITARY SHARES PREFERRED SERIES C Major Banks Finance
6206    MBIO 8/22/2017 17 MUSTANG BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6207    MBLY 8/1/2014 26 MOBILEYE GLOBAL INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6208    MBND 7/16/2004 2.92 SPDR NUVEEN MUNICIPAL BOND ETF Exchange Traded Fund Financial
6209    MBNE 4/5/2022 0.05 SPDR SERIES TRUST SPDR NUVEEN MUNICIPAL BOND ESG ETF Exchange Traded Fund Financial
6210    MBNKP 12/17/2019 0.33 MEDALLION BANK FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES F Commercial Banks Finance
6211    MBOT 4/27/2007 40 MICROBOT MEDICAL INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6212    MBOX 5/5/2021 0.36 FREEDOM DAY DIVIDEND ETF Exchange Traded Fund Financial
6213    MBRX 6/2/2016 13 MOLECULIN BIOTECH INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6214    MBS 2/21/2024 0.26 ANGEL OAK MORTGAGE-BACKED SECURITIES ETF Exchange Traded Fund Financial
6215    MBSD 9/4/2014 1.2 FLEXSHARES TRUST FLEXSHARES DISCIPLINED DURATION MBS INDEX FUN Exchange Traded Fund Financial
6216    MBSF 2/28/2024 0.24 VALUED ADVISERS TRUST REGAN FLOATING RATE MBS ETF Exchange Traded Fund Financial
6217    MBUU 1/31/2014 22 MALIBU BOATS INC. CLASS A COMMON STOCK Marine Transportation Industrials
6218    MBWM 7/20/1999 16 MERCANTILE BANK CORPORATION COMMON STOCK Major Banks Finance
6219    MBX 9/13/2024 0.85 MBX BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6220    MC 4/16/2014 34 MOELIS & COMPANY CLASS A COMMON STOCK Investment Managers Finance
6221    MCAGR 12/3/2021 0.07
6222    MCAGU 11/12/2021 0.03
6223    MCB 11/8/2017 6.9 METROPOLITAN BANK HOLDING CORP. COMMON STOCK Major Banks Finance
6224    MCBS 9/5/2019 2.83 METROCITY BANKSHARES INC. COMMON STOCK Major Banks Finance
6225    MCD 1/2/1998 138 MCDONALD'S CORPORATION COMMON STOCK Restaurants Consumer Discretionary
6226    MCDS 8/13/2024 0.01 JPMORGAN FUNDAMENTAL DATA SCIENCE MID CORE ETF Exchange Traded Fund Financial
6227    MCFT 7/17/2015 18 MASTERCRAFT BOAT HOLDINGS INC. COMMON STOCK Marine Transportation Industrials
6228    MCH 7/14/2022 0.3 MATTHEWS INTERNATIONAL FUNDS MATTHEWS CHINA ACTIVE ETF Exchange Traded Fund Financial
6229    MCHI 3/31/2011 52 ISHARES MSCI CHINA ETF Exchange Traded Fund Financial
6230    MCHP 1/2/1998 129 MICROCHIP TECHNOLOGY INCORPORATED COMMON STOCK Semiconductors Technology
6231    MCHS 1/11/2024 0.03 MATTHEWS CHINA DISCOVERY ACTIVE ETF Exchange Traded Fund Financial
6232    MCHX 3/31/2004 34 MARCHEX INC. CLASS B COMMON STOCK Business Services Consumer Discretionary
6233    MCI 1/2/1998 7.36 BARINGS CORPORATE INVESTORS COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6234    MCK 1/2/1998 121 MCKESSON CORPORATION COMMON STOCK Other Pharmaceuticals Health Care
6235    MCN 8/2/2004 17 XAI MADISON EQUITY PREMIUM INCOME FUND COMMON SHARES
6236    MCO 10/3/2000 105 MOODY'S CORPORATION COMMON STOCK Finance: Consumer Services Finance
6237    MCOM 12/9/2019 13
6238    MCOMW 12/9/2019 1.23
6239    MCR 1/2/1998 30 MFS CHARTER INCOME TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6240    MCRB 6/26/2015 30 SERES THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6241    MCRI 1/2/1998 30 MONARCH CASINO & RESORT INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
6242    MCRP 3/7/2025 0.03 MICROPOLIS HOLDING COMPANY ORDINARY SHARES
6243    MCS 1/2/1998 48 MARCUS CORPORATION (THE) COMMON STOCK Movies/Entertainment Consumer Discretionary
6244    MCSE 10/31/2022 0.08 MARTIN CURRIE SUSTAINABLE INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
6245    MCTR 1/22/2025 0.14 CTRL GROUP LIMITED ORDINARY SHARES
6246    MCVT 5/27/2009 0.76 MILL CITY VENTURES III LTD. COMMON STOCK Finance Companies Finance
6247    MCW 6/25/2021 14 MISTER CAR WASH INC. COMMON STOCK Automotive Aftermarket Consumer Discretionary
6248    MCY 1/2/1998 66 MERCURY GENERAL CORPORATION COMMON STOCK Property-Casualty Insurers Finance
6249    MD 10/27/2008 57 PEDIATRIX MEDICAL GROUP INC. COMMON STOCK Hospital/Nursing Management Health Care
6250    MDAI 4/6/2021 3.68 SPECTRAL AI INC. CLASS A COMMON STOCK Medical/Dental Instruments Health Care
6251    MDAIW 4/5/2021 0.48 SPECTRAL AI INC. WARRANTS Medical/Dental Instruments Health Care
6252    MDB 10/19/2017 33 MONGODB INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6253    MDBH 9/21/2023 0.24 MDB CAPITAL HOLDINGS LLC CLASS A COMMON Finance: Consumer Services Finance
6254    MDCP 10/6/2021 0.05 VICTORYSHARES THB MID CAP ETF Exchange Traded Fund Financial
6255    MDCX 11/14/2024 0.14 MEDICUS PHARMA LTD. COMMON STOCK
6256    MDCXW 11/14/2024 0.02 MEDICUS PHARMA LTD. WARRANT
6257    MDEV 6/23/2021 0.08 FIRST TRUST INDXX MEDICAL DEVICES ETF Exchange Traded Fund Financial
6258    MDGL 5/16/2007 40 MADRIGAL PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6259    MDIA 1/6/2020 3.31 MEDIACO HOLDING INC. CLASS A COMMON STOCK Broadcasting Consumer Discretionary
6260    MDIV 8/14/2012 17 MULTI-ASSET DIVERSIFIED INCOME INDEX FUND Exchange Traded Fund Financial
6261    MDLZ 6/13/2001 119 MONDELEZ INTERNATIONAL INC. CLASS A COMMON STOCK Packaged Foods Consumer Staples
6262    MDPL 3/7/2024 0.07 NORTHERN LIGHTS FUND TRUST IV MONARCH DIVIDEND PLUS INDEX ETF Exchange Traded Fund Financial
6263    MDRR 11/28/2018 3.97 MEDALIST DIVERSIFIED REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6264    MDRX 7/26/1999 88
6265    MDST 4/10/2024 0.3 ULTIMUS MANAGERS TRUST WESTWOOD SALIENT ENHANCED MIDSTREAM INC Exchange Traded Fund Financial
6266    MDT 1/2/1998 131 MEDTRONIC PLC. ORDINARY SHARES Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
6267    MDU 1/2/1998 101 MDU RESOURCES GROUP INC. COMMON STOCK (HOLDING COMPANY) Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
6268    MDV 2/11/2022 1.32 MODIV INDUSTRIAL INC. CLASS C COMMON STOCK Real Estate Investment Trusts Real Estate
6269    MDV.A 2/11/2022 0.2 MODIV INDUSTRIAL INC. 7.375% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
6270    MDWD 3/20/2014 7.45 MEDIWOUND LTD. ORDINARY SHARES Medicinal Chemicals and Botanical Products Health Care
6271    MDXG 4/2/2008 35 MIMEDX GROUP INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6272    MDXH 11/4/2021 1.63 MDXHEALTH SA ORDINARY SHARES Medical Specialities Health Care
6273    MDY 1/2/1998 114 SPDR S&P MIDCAP 400 ETF TRUST Exchange Traded Fund Financial
6274    MDYG 5/16/2007 12 SPDR S&P 400 MID CAP GROWTH ETF (BASED ON S&P MIDCAP 400 GROWT Exchange Traded Fund Financial
6275    MDYV 5/16/2007 13 SPDR S&P 400 MID CAP VALUE ETF (BASED ON S&P MIDCAP 400 VALUE Exchange Traded Fund Financial
6276    ME 6/17/2021 16 23ANDME HOLDING CO. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6277    MEAR 3/5/2015 3.49 ISHARES SHORT MATURITY MUNICIPAL BOND ACTIVE ETF Exchange Traded Fund Financial
6278    MEC 5/9/2019 5.37 MAYVILLE ENGINEERING COMPANY INC. COMMON STOCK Industrial Specialties Industrials
6279    MED 12/20/2002 51 MEDIFAST INC COMMON STOCK Packaged Foods Consumer Staples
6280    MEDI 11/17/2022 0.07 HARBOR ETF TRUST HARBOR HEALTH CARE ETF Exchange Traded Fund Financial
6281    MEDP 8/11/2016 22 MEDPACE HOLDINGS INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
6282    MEDX 1/31/2023 0.07 HORIZON KINETICS MEDICAL ETF Exchange Traded Fund Financial
6283    MEG 9/19/2001 47 MONTROSE ENVIRONMENTAL GROUP INC. COMMON STOCK Professional Services Consumer Discretionary
6284    MEGI 10/27/2021 6.01 NYLI CBRE GLOBAL INFRASTRUCTURE MEGATRENDS TERM FUND COMMON SHARES Investment Managers Finance
6285    MEGL 8/5/2022 4.57 MAGIC EMPIRE GLOBAL LIMITED CLASS A ORDINARY SHARES Finance: Consumer Services Finance
6286    MEI 10/17/2007 47 METHODE ELECTRONICS INC. COMMON STOCK Electrical Products Technology
6287    MEIP 12/18/2003 26 MEI PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6288    MELI 8/10/2007 65 MERCADOLIBRE INC. COMMON STOCK Business Services Consumer Discretionary
6289    MEM 7/14/2022 0.29 MATTHEWS INTERNATIONAL FUNDS MATTHEWS EMERGING MARKETS EQUITY Exchange Traded Fund Financial
6290    MEMS 12/14/2007 2.98 MATTHEWS EMERGING MARKETS DISCOVERY ACTIVE ETF Exchange Traded Fund Financial
6291    MEMX 1/11/2023 0.12 MATTHEWS INTERNATIONAL FUNDS MATTHEWS EMERGING MARKETS EX CHIN Exchange Traded Fund Financial
6292    MEOH 4/5/1999 83 METHANEX CORPORATION COMMON STOCK Major Chemicals Industrials
6293    MER.K 5/16/2007 13 BANK OF AMERICA CORPORATION INCOME CAPITAL OBLIGATION NOTES INITIALLY DUE DECEMBER 15 2066
6294    MERC 3/3/2006 46 MERCER INTERNATIONAL INC. COMMON STOCK Paper Basic Materials
6295    MESA 4/27/2007 23 MESA AIR GROUP INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
6296    MESO 7/6/2010 11 MESOBLAST LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6297    MET 4/5/2000 120 METLIFE INC. COMMON STOCK Life Insurance Finance
6298    MET.A 5/16/2007 11 METLIFE INC. PREFERRED SERIES A FLOATING RATE
6299    MET.E 6/7/2018 6.25 METLIFE INC. DEPOSITARY SHARES
6300    MET.F 1/17/2020 6.49 METLIFE INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.75% NON-CUMULATIVE PREFERRED STOCK SERIES F
6301    META 5/18/2012 98 META PLATFORMS INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
6302    METC 2/3/2017 18 RAMACO RESOURCES INC. CLASS A COMMON STOCK Coal Mining Energy
6303    METCB 6/16/2023 1.03 RAMACO RESOURCES INC. CLASS B COMMON STOCK Coal Mining Energy
6304    METCL 7/14/2021 0.38 RAMACO RESOURCES INC. 9.00% SENIOR NOTES DUE 2026 Coal Mining Energy
6305    METCZ 12/3/2024 0.07 RAMACO RESOURCES INC. 8.375% SENIOR NOTES DUE 2029
6306    METD 6/11/2024 0.74 DIREXION DAILY META BEAR 1X SHARES Exchange Traded Fund Financial
6307    METU 6/6/2024 1.94 DIREXION DAILY META BULL 2X SHARES Exchange Traded Fund Financial
6308    METV 6/30/2021 10 ROUNDHILL BALL METAVERSE ETF Exchange Traded Fund Financial
6309    MEXX 5/3/2017 2.86 DIREXION DAILY MSCI MEXICO BULL 3X SHARES Exchange Traded Fund Financial
6310    MFA 4/13/1998 100 MFA FINANCIAL INC. Real Estate Investment Trusts Real Estate
6311    MFA.B 4/18/2013 4.08 MFA FINANCIAL INC. PREFERRED SERIES B
6312    MFA.C 3/4/2020 2.13 MFA FINANCIAL INC. 6.50% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
6313    MFAN 1/24/2024 0.53 MFA FINANCIAL INC. 8.875% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
6314    MFAO 4/24/2024 0.3 MFA FINANCIAL INC. 9.000% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
6315    MFC 9/27/1999 107 MANULIFE FINANCIAL CORPORATION COMMON STOCK Life Insurance Finance
6316    MFDX 9/7/2017 1.13 PIMCO EQUITIY SERIES PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATI Exchange Traded Fund Financial
6317    MFEM 9/7/2017 1.82 PIMCO EQUITIY SERIES PIMCO RAFI DYNAMIC MULTI-FACTOR EMERGING Exchange Traded Fund Financial
6318    MFG 11/8/2006 42 MIZUHO FINANCIAL GROUP INC. SPONOSRED ADR (JAPAN) Major Banks Finance
6319    MFH 4/8/2015 6.15 MERCURITY FINTECH HOLDING INC. ORDINARY SHARES Finance: Consumer Services Finance
6320    MFI 1/17/2006 4.05 MF INTERNATIONAL LIMITED CLASS A ORDINARY SHARES EDP Services Technology
6321    MFIC 4/30/2007 68 MIDCAP FINANCIAL INVESTMENT CORPORATION COMMON STOCK Finance/Investors Services Finance
6322    MFICL 12/19/2023 0.31 MIDCAP FINANCIAL INVESTMENT CORPORATION 8.00% NOTES DUE 2028 Finance/Investors Services Finance
6323    MFIN 5/11/2007 23 MEDALLION FINANCIAL CORP. COMMON STOCK Finance: Consumer Services Finance
6324    MFLX 9/29/2016 0.43 FIRST TRUST FLEXIBLE MUNICIPAL HIGH INCOME ETF Exchange Traded Fund Financial
6325    MFM 1/2/1998 21 MFS MUNICIPAL INCOME TRUST COMMON STOCK Finance Companies Finance
6326    MFUL 11/3/2021 0.49 MINDFUL CONSERVATIVE ETF Exchange Traded Fund Financial
6327    MFUS 9/7/2017 0.78 PIMCO EQUITIY SERIES PIMCO RAFI DYNAMIC MULTI-FACTOR U.S. EQUI Exchange Traded Fund Financial
6328    MFUT 5/29/2024 0.14 TIDAL TRUST II CAMBRIA CHESAPEAKE PURE TREND ETF Exchange Traded Fund Financial
6329    MG 10/8/2009 23 MISTRAS GROUP INC COMMON STOCK Military/Government/Technical Consumer Discretionary
6330    MGA 1/2/1998 105 MAGNA INTERNATIONAL INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
6331    MGAM 1/2/1998 37
6332    MGC 12/27/2007 19 VANGUARD MEGA CAP ETF Exchange Traded Fund Financial
6333    MGEE 8/12/2002 32 MGE ENERGY INC Electric Utilities: Central Energy
6334    MGF 1/2/1998 24 MFS GOVERNMENT MARKETS INCOME TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6335    MGIC 4/12/1999 19 MAGIC SOFTWARE ENTERPRISES LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
6336    MGIH 4/4/2023 1.64 MILLENNIUM GROUP INTERNATIONAL HOLDINGS LIMITED ORDINARY SHARES Publishing Consumer Discretionary
6337    MGK 12/27/2007 35 VANGUARD MEGA CAP GROWTH ETF Exchange Traded Fund Financial
6338    MGLD 3/10/2022 0.77 THE MARYGOLD COMPANIES INC. COMMON STOCK Finance: Consumer Services Finance
6339    MGM 1/2/1998 115 MGM RESORTS INTERNATIONAL COMMON STOCK Hotels/Resorts Consumer Discretionary
6340    MGMT 12/7/2020 0.62 BALLAST SMALL/MID CAP ETF Exchange Traded Fund Financial
6341    MGNI 4/2/2014 40 MAGNITE INC. COMMON STOCK Computer Software: Programming Data Processing Technology
6342    MGNR 2/6/2024 0.22 AMERICAN BEACON SELECT FUNDS AMERICAN BEACON GLG NATURAL RESOU Exchange Traded Fund Financial
6343    MGNX 10/10/2013 34 MACROGENICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6344    MGOL 1/13/2023 4.61
6345    MGOV 8/7/2023 0.22 FIRST TRUST EXCHANGE-TRADED FUND IV FIRST TRUST INTERMEDIATE G Exchange Traded Fund Financial
6346    MGPI 10/11/2002 35 MGP INGREDIENTS INC. Beverages (Production/Distribution) Consumer Staples
6347    MGR 3/29/2019 3.12 AFFILIATED MANAGERS GROUP INC. 5.875% JUNIOR SUBORDINATED NOTES DUE 2059 Investment Managers Finance
6348    MGRB 9/29/2020 1.83 AFFILIATED MANAGERS GROUP INC. 4.750% JUNIOR SUBORDINATED NOTES DUE 2060 Investment Managers Finance
6349    MGRC 1/2/1998 37 MCGRATH RENTCORP COMMON STOCK Diversified Commercial Services Consumer Discretionary
6350    MGRD 7/23/2021 1.02 AFFILIATED MANAGERS GROUP INC. 4.200% JUNIOR SUBORDINATED NOTES DUE 2061 Investment Managers Finance
6351    MGRE 3/27/2024 0.56 AFFILIATED MANAGERS GROUP INC. 6.750% JUNIOR SUBORDINATED NOTES DUE 2064
6352    MGRM 5/18/2023 1.46 MONOGRAM TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
6353    MGRO 4/1/2024 0.01 VANECK ETF TRUST VANECK MORNINGSTAR WIDE MOAT GROWTH ETF Exchange Traded Fund Financial
6354    MGRX 3/21/2023 3 MANGOCEUTICALS INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
6355    MGTX 6/8/2018 10 MEIRAGTX HOLDINGS PLC ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6356    MGV 12/27/2007 23 VANGUARD MEGA CAP VALUE ETF Exchange Traded Fund Financial
6357    MGX 2/9/2024 2.02 METAGENOMI INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6358    MGY 6/29/2017 32 MAGNOLIA OIL & GAS CORPORATION CLASS A COMMON STOCK Oil & Gas Production Energy
6359    MGYR 1/24/2006 0.87 MAGYAR BANCORP INC. COMMON STOCK Savings Institutions Finance
6360    MHD 1/2/1998 15 BLACKROCK MUNIHOLDINGS FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6361    MHF 1/2/1998 13 WESTERN ASSET MUNICIPAL HIGH INCOME FUND INC. COMMON STOCK Finance/Investors Services Finance
6362    MHH 11/19/2008 4.13 MASTECH DIGITAL INC COMMON STOCK Professional Services Consumer Discretionary
6363    MHI 7/18/2003 18 PIONEER MUNICIPAL HIGH INCOME FUND INC. Investment Managers Finance
6364    MHK 1/2/1998 94 MOHAWK INDUSTRIES INC. COMMON STOCK Home Furnishings Consumer Discretionary
6365    MHLA 6/15/2016 1.66 MAIDEN HOLDINGS LTD. 6.625% NOTES DUE 2046 Property-Casualty Insurers Finance
6366    MHLD 5/6/2008 37 MAIDEN HOLDINGS LTD. Property-Casualty Insurers Finance
6367    MHN 1/2/1998 17 BLACKROCK MUNIHOLDINGS NEW YORK QUALITY FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6368    MHNC 11/27/2013 2.55 MAIDEN HOLDINGS NORTH AMERICA LTD. 7.75% NOTES DUE 2043 Property-Casualty Insurers Finance
6369    MHO 1/2/1998 59 M/I HOMES INC. COMMON STOCK Homebuilding Consumer Discretionary
6370    MHUA 2/16/2022 2.03 MEIHUA INTERNATIONAL MEDICAL TECHNOLOGIES CO. LTD. ORDINARY SHARES Medical/Dental Instruments Health Care
6371    MI 9/18/2023 1.1 NFT LIMITED CLASS A ORDINARY SHARE Other Specialty Stores Consumer Discretionary
6372    MID 7/27/2020 0.37 AMERICAN CENTURY MID CAP GROWTH IMPACT ETF Exchange Traded Fund Financial
6373    MIDD 1/2/1998 60 MIDDLEBY CORPORATION (THE) COMMON STOCK Industrial Machinery/Components Industrials
6374    MIDE 2/24/2021 0.11 XTRACKERS S&P MIDCAP 400 SCORED & SCREENED ETF Exchange Traded Fund Financial
6375    MIDU 1/8/2009 19 DIREXION MID CAP BULL 3X SHARES Exchange Traded Fund Financial
6376    MIG 1/2/1998 28 VANECK MOODY'S ANALYTICS IG CORPORATE BOND ETF Exchange Traded Fund Financial
6377    MIGI 4/3/2018 5.68 MAWSON INFRASTRUCTURE GROUP INC. COMMON STOCK Finance: Consumer Services Finance
6378    MILN 5/6/2016 2.78 GLOBAL X MILLENNIAL CONSUMER ETF Exchange Traded Fund Financial
6379    MIMI 1/10/2025 0.12 MINT INCORPORATION LIMITED CLASS A ORDINARY SHARES
6380    MIN 1/2/1998 49 MFS INTERMEDIATE INCOME TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6381    MIND 1/2/1998 21 MIND TECHNOLOGY INC. COMMON STOCK (DE) Industrial Machinery/Components Industrials
6382    MINM 10/15/2009 3.92
6383    MINO 9/10/2021 0.87 PIMCO MUNICIPAL INCOME OPPORTUNITIES ACTIVE EXCHANGE-TRADED FU Exchange Traded Fund Financial
6384    MINT 11/17/2009 45 PIMCO ENHANCED SHORT MATURITY ACTIVE EXCHANGE-TRADED FUND Exchange Traded Fund Financial
6385    MINV 7/14/2022 0.28 MATTHEWS INTERNATIONAL FUNDS MATTHEWS ASIA INNOVATORS ACTIVE E Exchange Traded Fund Financial
6386    MIO 8/6/2021 2.52 PIONEER MUNICIPAL HIGH INCOME OPPORTUNITIES FUND INC. COMMON STOCK Investment Managers Finance
6387    MIR 1/13/2006 37 MIRION TECHNOLOGIES INC. CLASS A COMMON STOCK Industrial Machinery/Components Industrials
6388    MIRA 8/3/2023 2.59 MIRA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6389    MIRM 7/18/2019 11 MIRUM PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6390    MISL 10/28/2022 0.46 FIRST TRUST EXCHANGE-TRADED FUND FIRST TRUST INDXX AEROSPACE & Exchange Traded Fund Financial
6391    MIST 5/9/2019 7.03 MILESTONE PHARMACEUTICALS INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
6392    MITI 5/9/2006 13
6393    MITK 7/27/2005 36 MITEK SYSTEMS INC. COMMON STOCK Computer peripheral equipment Technology
6394    MITN 2/6/2024 0.16 AG MORTGAGE INVESTMENT TRUST INC. 9.500% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
6395    MITP 5/20/2024 0.18 AG MORTGAGE INVESTMENT TRUST INC. 9.500% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
6396    MITQ 7/8/2021 3.18 MOVING IMAGE TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
6397    MITT 6/30/2011 35 AG MORTGAGE INVESTMENT TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6398    MITT.A 8/7/2012 1.47 AG MORTGAGE INVESTMENT TRUST INC. 8.25% PREFERRED SERIES A
6399    MITT.B 9/28/2012 2.54 AG MORTGAGE INVESTMENT TRUST INC. PREFERRED SERIES B
6400    MITT.C 9/19/2019 1.37 AG MORTGAGE INVESTMENT TRUST INC. 8.00% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK $0.01 PAR VALUE PER SHARE
6401    MIY 1/2/1998 13 BLACKROCK MUNIYIELD MICHIGAN QUALITY FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6402    MJ 12/3/2015 29 AMPLIFY ETF TRUST AMPLIFY ALTERNATIVE HARVEST ETF Exchange Traded Fund Financial
6403    MKAM 4/12/2023 0.04 MKAM ETF Exchange Traded Fund Financial
6404    MKC 5/25/1999 104 MCCORMICK & COMPANY INCORPORATED COMMON STOCK Packaged Foods Consumer Staples
6405    MKC.V 10/9/2003 1.05
6406    MKDW 8/1/2024 0.89 MKDWELL TECH INC. ORDINARY SHARE Consumer Electronics/Appliances Technology
6407    MKDWW 8/1/2024 0.04
6408    MKFG 10/8/2020 12 MARKFORGED HOLDING CORPORATION COMMON STOCK Computer peripheral equipment Technology
6409    MKL 1/2/1998 42 MARKEL GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
6410    MKOR 7/18/2023 0.12 MATTHEWS INTERNATIONAL FUNDS MATTHEWS KOREA ACTIVE ETF Exchange Traded Fund Financial
6411    MKSI 3/30/1999 86 MKS INSTRUMENTS INC. COMMON STOCK Industrial Machinery/Components Industrials
6412    MKTW 9/14/2020 6.28 MARKETWISE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6413    MKTX 11/5/2004 54 MARKETAXESS HOLDINGS INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6414    MKZR 7/9/2024 0.29 MACKENZIE REALTY CAPITAL INC. COMMON STOCK
6415    ML 8/14/2020 11 MONEYLION INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
6416    MLAB 5/16/2006 7.44 MESA LABORATORIES INC. COMMON STOCK Industrial Machinery/Components Industrials
6417    MLAC 8/14/2020 0.46 MOUNTAIN LAKE ACQUISITION CORP. CLASS A ORDINARY SHARES Auto Manufacturing Consumer Discretionary
6418    MLACR 2/3/2025 0.01
6419    MLACU 7/15/2020 0.18
6420    MLCO 5/14/2007 81 MELCO RESORTS & ENTERTAINMENT LIMITED AMERICAN DEPOSITARY SHARES Hotels/Resorts Consumer Discretionary
6421    MLDR 9/10/2024 0.01 GLOBAL X FUNDS GLOBAL X INTERMEDIATE-TERM TREASURY LADDER ETF Exchange Traded Fund Financial
6422    MLEC 1/3/2023 0.85 MOOLEC SCIENCE SA ORDINARY SHARES Blank Checks Finance
6423    MLECW 1/3/2023 0.13 MOOLEC SCIENCE SA WARRANT Blank Checks Finance
6424    MLGO 12/13/2022 8.72 MICROALGO INC. ORDINARY SHARES EDP Services Technology
6425    MLI 1/2/1998 70 MUELLER INDUSTRIES INC. COMMON STOCK Metal Fabrications Industrials
6426    MLKN 4/30/2007 64 MILLERKNOLL INC. COMMON STOCK Office Equipment/Supplies/Services Consumer Discretionary
6427    MLM 1/2/1998 93 MARTIN MARIETTA MATERIALS INC. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
6428    MLN 1/16/2008 9.92 VANECK ETF TRUST VANECK LONG MUNI ETF Exchange Traded Fund Financial
6429    MLNK 9/30/2008 23 MERIDIANLINK INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6430    MLP 5/1/1998 7.65 MAUI LAND & PINEAPPLE COMPANY INC. COMMON STOCK Real Estate Finance
6431    MLPA 4/19/2012 22 GLOBAL X MLP ETF Exchange Traded Fund Financial
6432    MLPB 12/10/2018 1.49 NO NAME Exchange Traded Fund Financial
6433    MLPD 5/17/2024 0.04 GLOBAL X FUNDS GLOBAL X MLP & ENERGY INFRASTRUCTURE COVERED CA Exchange Traded Fund Financial
6434    MLPR 6/3/2020 0.33 ETRACS QUARTERLY PAY 1.5X LEVERAGED ALERIAN MLP INDEX ETN Exchange Traded Fund Financial
6435    MLPX 8/7/2013 17 GLOBAL X MLP & ENERGY INFRASTRUCTURE ETF Exchange Traded Fund Financial
6436    MLR 1/2/1998 21 MILLER INDUSTRIES INC. COMMON STOCK Construction/Ag Equipment/Trucks Consumer Discretionary
6437    MLSS 5/16/2007 8.01 MILESTONE SCIENTIFIC INC. COMMON STOCK Industrial Specialties Health Care
6438    MLTX 11/2/2020 5.98 MOONLAKE IMMUNOTHERAPEUTICS CLASS A ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6439    MLYS 2/10/2023 3.31 MINERALYS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6440    MMA 3/28/2024 0.33 MIXED MARTIAL ARTS GROUP LIMITED ORDINARY SHARES Other Consumer Services Consumer Discretionary
6441    MMC 1/2/1998 125 MARSH & MCLENNAN COMPANIES INC. COMMON STOCK Specialty Insurers Finance
6442    MMCA 12/21/2021 0.11 NYLI MACKAY CALIFORNIA MUNI INTERMEDIATE ETF Exchange Traded Fund Financial
6443    MMD 8/3/2012 13 NYLI MACKAY DEFINEDTERM MUNI OPPORTUNITIES FUND COMMON SHARES Investment Managers Finance
6444    MMI 10/31/2013 21 MARCUS & MILLICHAP INC. COMMON STOCK Real Estate Finance
6445    MMIN 3/27/2018 3.99 NYLI MACKAY MUNI INSURED ETF Exchange Traded Fund Financial
6446    MMIT 11/5/2018 3.61 NYLI MACKAY MUNI INTERMEDIATE ETF Exchange Traded Fund Financial
6447    MMLG 7/22/2020 1.01 FIRST TRUST MULTI-MANAGER LARGE GROWTH ETF Exchange Traded Fund Financial
6448    MMLP 11/1/2002 29 MARTIN MIDSTREAM PARTNERS L.P. LIMITED PARTNERSHIP Oil Refining/Marketing Energy
6449    MMM 1/2/1998 133 3M COMPANY COMMON STOCK Medical/Dental Instruments Health Care
6450    MMS 1/2/1998 70 MAXIMUS INC. COMMON STOCK Business Services Consumer Discretionary
6451    MMSC 10/14/2021 0.19 FIRST TRUST MULTI-MANAGER SMALL CAP OPPORTUNITIES ETF Exchange Traded Fund Financial
6452    MMSI 1/2/1998 61 MERIT MEDICAL SYSTEMS INC. COMMON STOCK Medical/Dental Instruments Health Care
6453    MMT 1/2/1998 34 MFS MULTIMARKET INCOME TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6454    MMTM 2/22/2013 0.63 SPDR S&P 1500 MOMENTUM TILT ETF Exchange Traded Fund Financial
6455    MMU 1/2/1998 23 WESTERN ASSET MANAGED MUNICIPALS FUND INC. COMMON STOCK Investment Managers Finance
6456    MMYT 8/12/2010 35 MAKEMYTRIP LIMITED ORDINARY SHARES Transportation Services Consumer Discretionary
6457    MNA 11/17/2009 9.11 NYLI MERGER ARBITRAGE ETF Exchange Traded Fund Financial
6458    MNBD 11/22/2022 0.03 ALPS ETF TRUST ALPS INTERMEDIATE MUNICIPAL BOND ETF Exchange Traded Fund Financial
6459    MNDO 8/8/2000 13 MIND C.T.I. LTD. ORDINARY SHARES EDP Services Technology
6460    MNDR 4/10/2024 2.42 MOBILE-HEALTH NETWORK SOLUTIONS CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
6461    MNDY 6/10/2021 14 MONDAY.COM LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
6462    MNKD 7/28/2004 78 MANNKIND CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6463    MNMD 4/27/2021 16 MIND MEDICINE (MINDMED) INC. COMMON SHARES Medicinal Chemicals and Botanical Products Health Care
6464    MNOV 12/8/2006 12 MEDICINOVA INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6465    MNPR 12/19/2019 3.2 MONOPAR THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6466    MNR 10/25/2023 2.38 MACH NATURAL RESOURCES LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Oil & Gas Production Energy
6467    MNRO 1/2/1998 58 MONRO INC. COMMON STOCK Automotive Aftermarket Consumer Discretionary
6468    MNSB 1/27/2009 1.85 MAINSTREET BANCSHARES INC. COMMON STOCK Major Banks Finance
6469    MNSBP 9/16/2020 0.17 MAINSTREET BANCSHARES INC. DEPOSITARY SHARES Major Banks Finance
6470    MNSO 10/15/2020 18 MINISO GROUP HOLDING LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING FOUR ORDINARY SHARES Department/Specialty Retail Stores Consumer Discretionary
6471    MNST 1/5/1998 90 MONSTER BEVERAGE CORPORATION Beverages (Production/Distribution) Consumer Staples
6472    MNTK 1/22/2021 7.71 MONTAUK RENEWABLES INC. COMMON STOCK Natural Gas Distribution Utilities
6473    MNTL 1/24/2024 0.02 TEMA NEUROSCIENCE AND MENTAL HEALTH ETF Exchange Traded Fund Financial
6474    MNTN 1/14/2022 0.16
6475    MNTS 1/2/2020 14 MOMENTUS INC. CLASS A COMMON STOCK Military/Government/Technical Industrials
6476    MNTSW 12/30/2019 1.62 MOMENTUS INC. WARRANT Military/Government/Technical Industrials
6477    MNY 10/13/2023 1.81 MONEYHERO LIMITED CLASS A ORDINARY SHARES Business Services Consumer Discretionary
6478    MNYWW 10/13/2023 0.17 MONEYHERO LIMITED WARRANTS Business Services Consumer Discretionary
6479    MO 1/2/1998 140 ALTRIA GROUP INC. Medicinal Chemicals and Botanical Products Health Care
6480    MOAT 4/25/2012 32 VANECK MORNINGSTAR WIDE MOAT ETF Exchange Traded Fund Financial
6481    MOB 8/25/2022 2.58 MOBILICOM LIMITED AMERICAN DEPOSITARY SHARES Aerospace Industrials
6482    MOBBW 8/25/2022 0.13 MOBILICOM LIMITED WARRANTS Aerospace Industrials
6483    MOBQ 5/17/2007 3.85
6484    MOBQW 12/9/2021 0.11
6485    MOBX 5/16/2007 1.89 MOBIX LABS INC. CLASS A COMMON STOCK Semiconductors Technology
6486    MOBXW 8/13/2021 0.24 MOBIX LABS INC WARRANTS Semiconductors Technology
6487    MOD 10/14/2004 55 MODINE MANUFACTURING COMPANY COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
6488    MODD 6/25/2009 1.73 MODULAR MEDICAL INC. COMMON STOCK Medical/Dental Instruments Health Care
6489    MODG 5/1/2007 67 TOPGOLF CALLAWAY BRANDS CORP. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
6490    MODL 10/12/2022 0.67 VICTORYSHARES WESTEND U.S. SECTOR ETF Exchange Traded Fund Financial
6491    MODV 4/25/2007 27 MODIVCARE INC. COMMON STOCK Transportation Services Consumer Discretionary
6492    MOFG 3/18/2008 7.17 MIDWESTONE FINANCIAL GP COMMON STOCK Major Banks Finance
6493    MOG.A 8/27/2001 47
6494    MOG.B 12/5/2001 0.66
6495    MOGO 4/18/2018 9.5 MOGO INC. COMMON SHARES Finance: Consumer Services Finance
6496    MOGU 12/6/2018 4.47 MOGU INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 25 CLASS A ORDINARY SHARES) Business Services Consumer Discretionary
6497    MOH 7/2/2003 71 MOLINA HEALTHCARE INC COMMON STOCK Medical Specialities Health Care
6498    MOLN 6/16/2021 0.79 MOLECULAR PARTNERS AG AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6499    MOMO 12/11/2014 46 HELLO GROUP INC. AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
6500    MOND 3/24/2021 2.87
6501    MOO 9/5/2007 38 VANECK AGRIBUSINESS ETF Exchange Traded Fund Financial
6502    MOOD 5/19/2022 0.08 RELATIVE SENTIMENT TACTICAL ALLOCATION ETF Exchange Traded Fund Financial
6503    MORN 5/3/2005 35 MORNINGSTAR INC. COMMON STOCK Investment Managers Finance
6504    MORT 8/17/2011 13 VANECK MORTGAGE REIT INCOME ETF Exchange Traded Fund Financial
6505    MOS 10/25/2004 100 MOSAIC COMPANY (THE) COMMON STOCK Agricultural Chemicals Industrials
6506    MOTE 10/7/2021 0.07 VANECK MORNINGSTAR ESG MOAT ETF Exchange Traded Fund Financial
6507    MOTG 12/10/2021 0.12 VANECK MORNINGSTAR GLOBAL WIDE MOAT ETF Exchange Traded Fund Financial
6508    MOTI 7/14/2015 1.88 VANECK MORNINGSTAR INTERNATIONAL MOAT ETF Exchange Traded Fund Financial
6509    MOTO 11/15/2019 0.33 SMARTETFS SMART TRANSPORTATION & TECHNOLOGY ETF Exchange Traded Fund Financial
6510    MOTS 2/14/2018 8.44
6511    MOV 5/21/2001 52 MOVADO GROUP INC. COMMON STOCK Consumer Specialties Consumer Discretionary
6512    MOVE 3/23/2021 1.69 MOVANO INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
6513    MP 6/22/2020 23 MP MATERIALS CORP. COMMON STOCK Metal Mining Basic Materials
6514    MPA 1/2/1998 7.56 BLACKROCK MUNIYIELD PENNSYLVANIA QUALITY FUND COMMON STOCK Finance Companies Finance
6515    MPAA 9/3/1999 24 MOTORCAR PARTS OF AMERICA INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
6516    MPAY 5/6/2022 0.05 EXCHANGE LISTED FUNDS TRUST AKROS MONTHLY PAYOUT ETF Exchange Traded Fund Financial
6517    MPB 8/1/2008 3.22 MID PENN BANCORP COMMON STOCK Major Banks Finance
6518    MPC 6/24/2011 68 MARATHON PETROLEUM CORPORATION COMMON STOCK Integrated oil Companies Energy
6519    MPLN 4/3/2020 16
6520    MPLX 10/26/2012 51 MPLX LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Energy
6521    MPRO 3/29/2021 0.69 MONARCH PROCAP INDEX ETF Exchange Traded Fund Financial
6522    MPTI 10/3/2022 1.33 M-TRON INDUSTRIES INC. COMMON STOCK Industrial Machinery/Components Technology
6523    MPU 5/16/2007 6.63 MEGA MATRIX INC. CLASS A ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
6524    MPV 1/2/1998 5.41 BARINGS PARTICIPATION INVESTORS COMMON STOCK Finance Companies Finance
6525    MPW 7/8/2005 89 MEDICAL PROPERTIES TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6526    MPWR 4/13/2006 64 MONOLITHIC POWER SYSTEMS INC. COMMON STOCK Semiconductors Technology
6527    MPX 6/24/2005 14 MARINE PRODUCTS CORPORATION COMMON STOCK Marine Transportation Industrials
6528    MQ 6/9/2021 17 MARQETA INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6529    MQQQ 9/3/2024 0.06 TRADR 2X LONG TRIPLE Q MONTHLY ETF Exchange Traded Fund Financial
6530    MQT 1/2/1998 16 BLACKROCK MUNIYIELD QUALITY FUND II INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6531    MQY 1/2/1998 22 BLACKROCK MUNIYIELD QUALITY FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6532    MRAI 10/27/2021 3.53
6533    MRAM 10/7/2016 11 EVERSPIN TECHNOLOGIES INC. COMMON STOCK Semiconductors Technology
6534    MRBK 11/7/2017 1.98 MERIDIAN CORPORATION COMMON STOCK Major Banks Finance
6535    MRC 4/12/2012 45 MRC GLOBAL INC. COMMON STOCK Industrial Machinery/Components Industrials
6536    MRCC 10/25/2012 13 MONROE CAPITAL CORPORATION COMMON STOCK Investment Managers Finance
6537    MRCP 3/1/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - MARCH Exchange Traded Fund Financial
6538    MRCY 1/30/1998 62 MERCURY SYSTEMS INC COMMON STOCK Electrical Products Technology
6539    MREO 6/6/2007 23 MEREO BIOPHARMA GROUP PLC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6540    MRGR 12/13/2012 0.52 PROSHARES MERGER ETF Exchange Traded Fund Financial
6541    MRIN 3/22/2013 18 MARIN SOFTWARE INCORPORATED COMMON STOCK EDP Services Technology
6542    MRK 1/2/1998 139 MERCK & COMPANY INC. COMMON STOCK (NEW) Biotechnology: Pharmaceutical Preparations Health Care
6543    MRKR 7/28/2009 14 MARKER THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6544    MRM 5/17/2007 1.53 MEDIROM HEALTHCARE TECHNOLOGIES INC. AMERICAN DEPOSITARY SHARE Other Consumer Services Consumer Discretionary
6545    MRNA 12/7/2018 36 MODERNA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6546    MRNO 3/21/2024 0.21 MURANO GLOBAL INVESTMENTS PLC ORDINARY SHARES Hotels/Resorts Consumer Discretionary
6547    MRNOW 3/21/2024 0.11 MURANO GLOBAL INVESTMENTS PLC WARRANTS Hotels/Resorts Consumer Discretionary
6548    MRNS 7/31/2014 25
6549    MRNY 10/24/2023 2.23 TIDAL TRUST II YIELDMAX MRNA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
6550    MRP 2/5/2025 0.45 MILLROSE PROPERTIES INC. CLASS A COMMON STOCK Real Estate Finance
6551    MRSK 6/25/2020 0.57 TOEWS AGILITY SHARES MANAGED RISK ETF Exchange Traded Fund Financial
6552    MRSN 6/28/2017 22 MERSANA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6553    MRT 9/29/2016 7.33 MARTI TECHNOLOGIES INC. CLASS A ORDINARY SHARES Rental/Leasing Companies Consumer Discretionary
6554    MRTN 1/2/1998 49 MARTEN TRANSPORT LTD. COMMON STOCK Trucking Freight/Courier Services Industrials
6555    MRUS 5/19/2016 13 MERUS N.V. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
6556    MRVI 11/20/2020 18 MARAVAI LIFESCIENCES HOLDINGS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6557    MRVL 6/30/2000 128 MARVELL TECHNOLOGY INC. COMMON STOCK Semiconductors Technology
6558    MRX 4/25/2024 2.07 MAREX GROUP PLC ORDINARY SHARES Investment Bankers/Brokers/Service Finance
6559    MS 1/17/2006 103 MORGAN STANLEY COMMON STOCK Investment Bankers/Brokers/Service Finance
6560    MS.A 5/16/2007 16 MORGAN STANLEY DEP SHS REPSTG 1/1000 PFD SER A
6561    MS.E 10/2/2013 10 MORGAN STANLEY DEPOSITARY SHARES REP 1/1000TH SHARES FIXED/FLTG PREFERRED STOCK SERIES E
6562    MS.F 12/13/2013 9.72 MORGAN STANLEY DEP SHS RPSTG 1/1000TH INT PRD SER F FXD TO FLAG
6563    MS.I 9/23/2014 9.98 MORGAN STANLEY DEPOSITORY SHARES REPRESENTING 1/1000TH PREFERRED SERIES 1 FIXED TO FLOATING NON (CUM)
6564    MS.K 2/3/2017 8.17 MORGAN STANLEY DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF A SHARE OF FIXED-TO-FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES K
6565    MS.L 11/27/2019 3.4 MORGAN STANLEY DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF A SHARE OF 4.875% NON-CUMULATIVE PREFERRED STOCK SERIES L
6566    MS.O 10/29/2021 4.83 MORGAN STANLEY DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF A SHARE OF 4.250% NON-CUMULATIVE PREFERRED STOCK SERIES O
6567    MS.P 8/8/2022 2.95 MORGAN STANLEY DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF A SHARE OF 6.500% NON-CUMULATIVE PREFERRED STOCK SERIES P
6568    MS.Q 8/1/2024 0.75 MORGAN STANLEY DEPOSITARY SHARES EACH REPRESENTING 1/1000TH OF A SHARE OF 6.625% NON-CUMULATIVE PREFERRED STOCK SERIES Q
6569    MSA 7/12/2004 48 MSA SAFETY INCORPORATED COMMON STOCK Industrial Specialties Health Care
6570    MSAI 11/16/2021 1 MULTISENSOR AI HOLDINGS INC. COMMON STOCK Electronic Components Technology
6571    MSAIW 11/16/2021 0.24
6572    MSB 1/2/1998 28 MESABI TRUST COMMON STOCK Precious Metals Industrials
6573    MSBI 5/24/2016 10 MIDLAND STATES BANCORP INC. COMMON STOCK Major Banks Finance
6574    MSBIP 8/29/2022 0.38 MIDLAND STATES BANCORP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 7.750% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
6575    MSC 5/15/2012 1.08 STUDIO CITY INTERNATIONAL HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING FOUR CLASS A ORDINARY SHARES Hotels/Resorts Consumer Discretionary
6576    MSCI 11/15/2007 65 MSCI INC. COMMON STOCK Business Services Consumer Discretionary
6577    MSD 1/2/1998 22 MORGAN STANLEY EMERGING MARKETS DEBT FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6578    MSDL 1/24/2024 2.33 MORGAN STANLEY DIRECT LENDING FUND COMMON STOCK
6579    MSEX 1/2/1998 23 MIDDLESEX WATER COMPANY COMMON STOCK Water Supply Utilities
6580    MSFD 9/8/2022 1.99 DIREXION DAILY MSFT BEAR 1X SHARES Exchange Traded Fund Financial
6581    MSFL 3/18/2024 1.27 GRANITESHARES 2X LONG MSFT DAILY ETF Exchange Traded Fund Financial
6582    MSFO 8/25/2023 1.53 TIDAL ETF TRUST II YIELDMAX MSFT OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
6583    MSFT 1/2/1998 176 MICROSOFT CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
6584    MSFU 9/7/2022 5.42 DIREXION DAILY MSFT BULL 2X SHARES Exchange Traded Fund Financial
6585    MSFX 1/11/2024 0.68 ETF OPPORTUNITIES TRUST T-REX 2X LONG MICROSOFT DAILY TARGET E Exchange Traded Fund Financial
6586    MSFY 10/31/2023 0.08 KURV YIELD PREMIUM STRATEGY MICROSOFT (MSFT) ETF Exchange Traded Fund Financial
6587    MSGE 4/9/2020 12 MADISON SQUARE GARDEN ENTERTAINMENT CORP. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
6588    MSGM 1/13/2021 2.59 MOTORSPORT GAMES INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6589    MSGS 10/1/2015 19 MADISON SQUARE GARDEN SPORTS CORP. CLASS A COMMON STOCK (NEW) Services-Misc. Amusement & Recreation Consumer Discretionary
6590    MSI 1/2/1998 127 MOTOROLA SOLUTIONS INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
6591    MSIF 1/29/2025 0.16 MSC INCOME FUND INC. COMMON STOCK Finance/Investors Services Finance
6592    MSM 1/2/1998 84 MSC INDUSTRIAL DIRECT COMPANY INC. COMMON STOCK Industrial Machinery/Components Industrials
6593    MSMR 11/17/2021 0.21 ETF SERIES SOLUTIONS MCELHENNY SHEFFIELD MANAGED RISK ETF Exchange Traded Fund Financial
6594    MSN 1/2/1998 11 EMERSON RADIO CORPORATION COMMON STOCK Consumer Electronics/Appliances Consumer Staples
6595    MSOS 9/2/2020 18 ADVISORSHARES TRUST ADVISORSHARES PURE US CANNABIS ETF Exchange Traded Fund Financial
6596    MSOX 8/24/2022 5.34 ADVISORSHARES MSOS DAILY LEVERAGED ETF Exchange Traded Fund Financial
6597    MSPR 10/21/2020 7.04 MSP RECOVERY INC. CLASS A COMMON STOCK EDP Services Technology
6598    MSPRW 5/24/2022 0.69 MSP RECOVERY INC. WARRANT EDP Services Technology
6599    MSPRZ 10/21/2020 0.56
6600    MSS 3/28/2007 1.56 MAISON SOLUTIONS INC. CLASS A COMMON STOCK Food Chains Consumer Staples
6601    MSSA 5/31/2022 0.08 METAL SKY STAR ACQUISITION CORPORATION ORDINARY SHARES Blank Checks Finance
6602    MSSAR 5/31/2022 0.04
6603    MSSAW 5/31/2022 0.12 METAL SKY STAR ACQUISITION CORPORATION WARRANT Blank Checks Finance
6604    MSSS 3/7/2024 0.09 NORTHERN LIGHTS FUND TRUST IV MONARCH SELECT SUBSECTOR INDEX E Exchange Traded Fund Financial
6605    MSTB 9/30/2020 1.02 LHA MARKET STATE TACTICAL BETA ETF Exchange Traded Fund Financial
6606    MSTI 9/13/2023 0.02 MADISON ETFS TRUST MADISON SHORT TERM STRATEGIC INCOME ETF Exchange Traded Fund Financial
6607    MSTQ 3/15/2022 0.04 ETF SERIES SOLUTIONS LHA MARKET STATE TACTICAL Q ETF Exchange Traded Fund Financial
6608    MSTR 8/28/2002 65 MICROSTRATEGY INCORPORATED COMMON STOCK CLASS A Computer Software: Prepackaged Software Technology
6609    MSTX 5/1/2007 27 DEFIANCE DAILY TARGET 2X LONG MSTR ETF Exchange Traded Fund Financial
6610    MSTY 2/22/2024 6.03 TIDAL TRUST II YIELDMAX MSTR OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
6611    MSVB 8/31/2017 0.28
6612    MSW 12/8/1998 12 MING SHING GROUP HOLDINGS LIMITED ORDINARY SHARES Engineering & Construction Consumer Discretionary
6613    MT 12/20/2004 103 ARCELOR MITTAL NY REGISTRY SHARES NEW Steel/Iron Ore Industrials
6614    MTA 1/8/2020 11 METALLA ROYALTY & STREAMING LTD. COMMON SHARES Precious Metals Basic Materials
6615    MTAL 9/20/2021 2.46 MAC COPPER LIMITED ORDINARY SHARES Metal Mining Basic Materials
6616    MTB 6/1/1998 103 M&T BANK CORPORATION COMMON STOCK Major Banks Finance
6617    MTB.H 4/4/2022 1.47 M&T BANK CORPORATION PERPETUAL FIXED-TO-FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES H
6618    MTB.J 5/16/2024 0.89 M&T BANK CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH OWNERSHIP INTEREST IN A SHARE OF PERPETUAL 7.500% NON-CUMULATIVE PREFERRED STOCK SERIES J
6619    MTBA 11/7/2023 2.1 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY MBS ETF Exchange Traded Fund Financial
6620    MTC 1/9/2019 8.89 MMTEC INC. COMMON SHARES Computer Software: Prepackaged Software Technology
6621    MTCH 11/19/2015 45 MATCH GROUP INC. COMMON STOCK Computer Software: Programming Data Processing Technology
6622    MTD 1/2/1998 60 METTLER-TOLEDO INTERNATIONAL INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
6623    MTDR 2/2/2012 57 MATADOR RESOURCES COMPANY COMMON STOCK Oil & Gas Production Energy
6624    MTEK 4/29/2009 3.13 MARIS-TECH LTD. ORDINARY SHARES Telecommunications Equipment Telecommunications
6625    MTEKW 2/2/2022 0.16 MARIS-TECH LTD. WARRANTS Telecommunications Equipment Telecommunications
6626    MTEM 5/3/2007 33
6627    MTEN 4/18/2024 0.72 MINGTENG INTERNATIONAL CORPORATION INC. ORDINARY SHARES Building Products Industrials
6628    MTEX 2/16/1999 19 MANNATECH INCORPORATED COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
6629    MTG 1/2/1998 120 MGIC INVESTMENT CORPORATION COMMON STOCK Property-Casualty Insurers Finance
6630    MTGP 12/6/2019 0.41 WISDOMTREE MORTGAGE PLUS BOND FUND Exchange Traded Fund Financial
6631    MTH 1/2/1998 85 MERITAGE HOMES CORPORATION COMMON STOCK Homebuilding Consumer Discretionary
6632    MTLS 6/25/2014 15 MATERIALISE NV AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
6633    MTN 1/2/1998 72 VAIL RESORTS INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
6634    MTNB 7/21/2014 21 MATINAS BIOPHARMA HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6635    MTR 1/2/1998 5.3 MESA ROYALTY TRUST COMMON STOCK Oil & Gas Production Energy
6636    MTRN 5/1/2007 38 MATERION CORPORATION Industrial Specialties Industrials
6637    MTRX 1/2/1998 51 MATRIX SERVICE COMPANY COMMON STOCK Engineering & Construction Consumer Discretionary
6638    MTSI 3/15/2012 38 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC. COMMON STOCK Semiconductors Technology
6639    MTSR 1/31/2025 0.36 METSERA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6640    MTTR 2/2/2021 19
6641    MTUL 2/5/2021 0.27 ETRACS 2X LEVERAGED MSCI US MOMENTUM FACTOR TR ETN Exchange Traded Fund Financial
6642    MTUM 4/18/2013 39 ISHARES MSCI USA MOMENTUM FACTOR ETF Exchange Traded Fund Financial
6643    MTUS 6/19/2014 32 METALLUS INC. COMMON SHARES Steel/Iron Ore Industrials
6644    MTVA 8/5/2016 8.86 METAVIA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6645    MTW 1/2/1998 85 MANITOWOC COMPANY INC. (THE) COMMON STOCK Construction/Ag Equipment/Trucks Industrials
6646    MTX 1/2/1998 59 MINERALS TECHNOLOGIES INC. COMMON STOCK Major Chemicals Industrials
6647    MTZ 1/2/1998 84 MASTEC INC. COMMON STOCK Water Sewer Pipeline Comm & Power Line Construction Industrials
6648    MU 1/2/1998 159 MICRON TECHNOLOGY INC. COMMON STOCK Semiconductors Technology
6649    MUA 1/2/1998 16 BLACKROCK MUNIASSETS FUND INC COMMON STOCK Investment Bankers/Brokers/Service Finance
6650    MUB 9/10/2007 55 ISHARES NATIONAL MUNI BOND ETF Exchange Traded Fund Financial
6651    MUC 3/2/1998 25 BLACKROCK MUNIHOLDINGS CALIFORNIA QUALITY FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6652    MUD 10/10/2024 0.05 DIREXION DAILY MU BEAR 1X SHARES Exchange Traded Fund Financial
6653    MUE 3/9/1999 18 BLACKROCK MUNIHOLDINGS QUALITY FUND II INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6654    MUFG 4/2/2018 26 MITSUBISHI UFJ FINANCIAL GROUP INC. COMMON STOCK Commercial Banks Finance
6655    MUI 7/30/2003 23
6656    MUJ 3/12/1998 17 BLACKROCK MUNIHOLDINGS NEW JERSEY QUALITY FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6657    MULL 11/12/2024 0.21 GRANITESHARES 2X LONG MU DAILY ETF Exchange Traded Fund Financial
6658    MULN 11/22/2010 52 MULLEN AUTOMOTIVE INC. COMMON STOCK EDP Services Technology
6659    MUNI 12/15/2009 9.69 PIMCO INTERMEDIATE MUNICIPAL BOND ACTIVE EXCHANGE-TRADED FUND Exchange Traded Fund Financial
6660    MUR 1/2/1998 115 MURPHY OIL CORPORATION COMMON STOCK Oil & Gas Production Energy
6661    MURA 11/6/2023 2.06 MURAL ONCOLOGY PLC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6662    MUSA 9/3/2013 36 MURPHY USA INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
6663    MUSI 7/1/2021 0.38 AMERICAN CENTURY MULTISECTOR INCOME ETF Exchange Traded Fund Financial
6664    MUSQ 7/7/2023 0.07 MUSQ GLOBAL MUSIC INDUSTRY INDEX ETF Exchange Traded Fund Financial
6665    MUST 10/10/2018 3.1 COLUMBIA MULTI-SECTOR MUNICIPAL INCOME ETF Exchange Traded Fund Financial
6666    MUU 10/10/2024 0.84 DIREXION DAILY MU BULL 2X SHARES Exchange Traded Fund Financial
6667    MUX 5/16/2007 66 MCEWEN MINING INC. COMMON STOCK Precious Metals Basic Materials
6668    MVAL 3/28/2024 0.01 VANECK ETF TRUST VANECK MORNINGSTAR WIDE MOAT VALUE ETF Exchange Traded Fund Financial
6669    MVBF 7/16/2013 3.27 MVB FINANCIAL CORP. COMMON STOCK Major Banks Finance
6670    MVF 1/2/1998 24 BLACKROCK MUNIVEST FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6671    MVFD 3/13/2024 0.06 NORTHERN LIGHTS FUND TRUST IV MONARCH VOLUME FACTOR DIVIDEND T Exchange Traded Fund Financial
6672    MVFG 3/13/2024 0.08 NORTHERN LIGHTS FUND TRUST IV MONARCH VOLUME FACTOR GLOBAL UNC Exchange Traded Fund Financial
6673    MVIS 1/2/1998 68 MICROVISION INC. COMMON STOCK Industrial Machinery/Components Technology
6674    MVLA 4/13/2021 2.36
6675    MVO 1/19/2007 16 MV OIL TRUST UNITS OF BENEFICIAL INTERESTS Oil & Gas Production Energy
6676    MVPA 1/31/2024 0.17 ADVISOR MANAGED PORTFOLIOS MILLER VALUE PARTNERS APPRECIATION Exchange Traded Fund Financial
6677    MVPL 2/28/2024 0.04 ADVISOR MANAGED PORTFOLIOS MILLER VALUE PARTNERS LEVERAGE ETF Exchange Traded Fund Financial
6678    MVPS 7/21/2021 0.25
6679    MVRL 6/8/2020 1.05 ETRACS MONTHLY PAY 1.5X LEVERAGED MORTGAGE REIT ETN Exchange Traded Fund Financial
6680    MVST 3/27/2019 20 MICROVAST HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
6681    MVSTW 3/27/2019 3.74 MICROVAST HOLDINGS INC. WARRANTS Industrial Machinery/Components Miscellaneous
6682    MVT 1/2/1998 13 BLACKROCK MUNIVEST FUND II INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6683    MVV 6/21/2006 27 PROSHARES ULTRA MIDCAP400 Exchange Traded Fund Financial
6684    MWA 5/26/2006 78 MUELLER WATER PRODUCTS COMMON STOCK Metal Fabrications Industrials
6685    MWG 5/7/2003 10 MULTI WAYS HOLDINGS LIMITED ORDINARY SHARES Miscellaneous manufacturing industries Consumer Discretionary
6686    MX 3/11/2011 33 MAGNACHIP SEMICONDUCTOR CORPORATION COMMON STOCK Semiconductors Technology
6687    MXC 3/8/2005 5.55 MEXCO ENERGY CORPORATION COMMON STOCK Oil & Gas Production Energy
6688    MXCT 7/30/2021 9.82 MAXCYTE INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
6689    MXE 1/2/1998 5.94 MEXICO EQUITY AND INCOME FUND INC. (THE) COMMON STOCK Finance Companies Finance
6690    MXF 1/2/1998 19 MEXICO FUND INC. (THE) COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6691    MXI 9/22/2006 14 ISHARES GLOBAL MATERIALS ETF Exchange Traded Fund Financial
6692    MXL 3/24/2010 44 MAXLINEAR INC. COMMON STOCK Semiconductors Technology
6693    MYCF 9/24/2024 0.02 SPDR SSGA MY2026 CORPORATE BOND ETF Exchange Traded Fund Financial
6694    MYCG 9/24/2024 0.01 SPDR SSGA MY2027 CORPORATE BOND ETF Exchange Traded Fund Financial
6695    MYCH 9/24/2024 0.02 SPDR SSGA MY2028 CORPORATE BOND ETF Exchange Traded Fund Financial
6696    MYCI 9/24/2024 0.02 SPDR SSGA MY2029 CORPORATE BOND ETF Exchange Traded Fund Financial
6697    MYCJ 9/24/2024 0.02 SPDR SSGA MY2030 CORPORATE BOND ETF Exchange Traded Fund Financial
6698    MYCK 9/24/2024 0.01 SPDR SSGA MY2031 CORPORATE BOND ETF Exchange Traded Fund Financial
6699    MYCL 9/24/2024 0.01 SPDR SSGA MY2032 CORPORATE BOND ETF Exchange Traded Fund Financial
6700    MYCM 9/24/2024 0.02 SPDR SSGA MY2033 CORPORATE BOND ETF Exchange Traded Fund Financial
6701    MYCN 9/24/2024 0.02 SPDR SSGA MY2034 CORPORATE BOND ETF Exchange Traded Fund Financial
6702    MYD 1/2/1998 24 BLACKROCK MUNIYIELD FUND INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6703    MYE 5/1/2001 47 MYERS INDUSTRIES INC. COMMON STOCK Plastic Products Industrials
6704    MYFW 7/19/2018 1.73 FIRST WESTERN FINANCIAL INC. COMMON STOCK Major Banks Finance
6705    MYGN 1/2/1998 95 MYRIAD GENETICS INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
6706    MYI 1/2/1998 30 BLACKROCK MUNIYIELD QUALITY FUND III INC COMMON STOCK Investment Bankers/Brokers/Service Finance
6707    MYLD 1/4/2024 0.08 CAMBRIA ETF TRUST CAMBRIA MICRO AND SMALLCAP SHAREHOLDER YIELD Exchange Traded Fund Financial
6708    MYMF 9/24/2024 0.01 SPDR SSGA MY2026 MUNICIPAL BOND ETF Exchange Traded Fund Financial
6709    MYMG 9/24/2024 0.01 SPDR SSGA MY2027 MUNICIPAL BOND ETF Exchange Traded Fund Financial
6710    MYMH 9/24/2024 0.01 SPDR SSGA MY2028 MUNICIPAL BOND ETF Exchange Traded Fund Financial
6711    MYMI 9/24/2024 0.01 SPDR SSGA MY2029 MUNICIPAL BOND ETF Exchange Traded Fund Financial
6712    MYMJ 9/24/2024 0.01 SPDR SSGA MY2030 MUNICIPAL BOND ETF Exchange Traded Fund Financial
6713    MYN 1/2/1998 19 BLACKROCK MUNIYIELD NEW YORK QUALITY FUND INC.COMMON STOCK Finance Companies Finance
6714    MYNA 11/12/2021 1.48
6715    MYND 7/14/2017 1.85 MYND.AI INC. AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
6716    MYNZ 11/5/2021 4.01 MAINZ BIOMED N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6717    MYO 6/12/2017 11 MYOMO INC. COMMON STOCK Industrial Specialties Health Care
6718    MYPS 12/21/2020 8.75 PLAYSTUDIOS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6719    MYPSW 12/15/2020 0.66 PLAYSTUDIOS INC. WARRANT Computer Software: Prepackaged Software Technology
6720    MYRG 8/13/2008 28 MYR GROUP INC. COMMON STOCK Water Sewer Pipeline Comm & Power Line Construction Industrials
6721    MYSZ 12/8/2016 10 MY SIZE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6722    MYTE 1/21/2021 5.61 MYT NETHERLANDS PARENT B.V. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE ORDINARY SHARE Catalog/Specialty Distribution Consumer Discretionary
6723    MYY 6/21/2006 8.27 PROSHARES SHORT MIDCAP400 Exchange Traded Fund Financial
6724    MZZ 7/13/2006 19 PROSHARES ULTRASHORT MIDCAP400 Exchange Traded Fund Financial
6725    NA 7/12/2022 2.18 NANO LABS LTD CLASS A ORDINARY SHARES Semiconductors Technology
6726    NAAS 10/20/2017 10 NAAS TECHNOLOGY INC. AMERICAN DEPOSITARY SHARES Other Specialty Stores Consumer Discretionary
6727    NABL 7/19/2021 11 N-ABLE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6728    NAC 5/26/1999 26 NUVEEN CALIFORNIA QUALITY MUNICIPAL INCOME FUND Investment Managers Finance
6729    NACP 7/19/2018 0.49 IMPACT SHARES TRUST I IMPACT SHARES NAACP MINORITY EMPOWERMENT Exchange Traded Fund Financial
6730    NAD 5/26/1999 36 NUVEEN QUALITY MUNICIPAL INCOME FUND COMMON STOCK Investment Managers Finance
6731    NAII 1/2/1998 6.16 NATURAL ALTERNATIVES INTERNATIONAL INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
6732    NAIL 8/19/2015 21 DIREXION DAILY HOMEBUILDERS & SUPPLIES BULL 3X SHARES Exchange Traded Fund Financial
6733    NAK 11/4/2004 56 NORTHERN DYNASTY MINERALS LTD. COMMON STOCK Precious Metals Basic Materials
6734    NAMI 12/6/2024 0.25 JINXIN TECHNOLOGY HOLDING COMPANY AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
6735    NAMS 11/23/2022 3.13 NEWAMSTERDAM PHARMA COMPANY N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6736    NAMSW 11/23/2022 0.2 NEWAMSTERDAM PHARMA COMPANY N.V. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
6737    NAN 5/26/1999 11 NUVEEN NEW YORK QUALITY MUNICIPAL INCOME FUND COMMON STOCK Investment Managers Finance
6738    NANC 2/7/2023 1.28 UNUSUAL WHALES SUBVERSIVE DEMOCRATIC TRADING ETF Exchange Traded Fund Financial
6739    NANR 12/18/2015 3.34 SPDR S&P NORTH AMERICAN NATURAL RESOURCES ETF Exchange Traded Fund Financial
6740    NAOV 2/29/2016 7.43 NANOVIBRONIX INC. COMMON STOCK Industrial Specialties Health Care
6741    NAPR 4/1/2020 0.79 INNOVATOR GROWTH-100 POWER BUFFER ETF - APRIL Exchange Traded Fund Financial
6742    NARI 5/22/2020 16
6743    NAT 11/16/2004 86 NORDIC AMERICAN TANKERS LIMITED COMMON STOCK Marine Transportation Consumer Discretionary
6744    NATH 1/5/1998 6.24 NATHAN'S FAMOUS INC. COMMON STOCK Restaurants Consumer Discretionary
6745    NATL 1/28/2005 13 NCR ATLEOS CORPORATION COMMON STOCK Office Equipment/Supplies/Services Miscellaneous
6746    NATO 10/11/2024 0.04 THEMES TRANSATLANTIC DEFENSE ETF Exchange Traded Fund Financial
6747    NATR 6/25/2009 9.26 NATURE'S SUNSHINE PRODUCTS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6748    NAUG 8/1/2024 0.05 INNOVATOR ETFS TRUST INNOVATOR GROWTH-100 POWER BUFFER ETF - A Exchange Traded Fund Financial
6749    NAUT 10/5/2018 6 NAUTILUS BIOTECHNOLGY INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
6750    NAVB 1/30/2006 26
6751    NAVI 4/17/2014 51 NAVIENT CORPORATION COMMON STOCK Investment Bankers/Brokers/Service Finance
6752    NAYA 11/13/2020 3.41 NAYA BIOSCIENCES INC. COMMON STOCK Medical/Dental Instruments Health Care
6753    NAZ 1/2/1998 4.58 NUVEEN ARIZONA QUALITY MUNICIPAL INCOME FUND COMMON STOCK Finance/Investors Services Finance
6754    NB 3/21/2023 1.9 NIOCORP DEVELOPMENTS LTD. COMMON STOCK Metal Mining Basic Materials
6755    NBB 4/28/2010 16 NUVEEN TAXABLE MUNICIPAL INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
6756    NBBK 12/28/2023 2.34 NB BANCORP INC. COMMON STOCK Banks Finance
6757    NBCC 4/7/2022 0.02 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN NEXT GENERATION CO Exchange Traded Fund Financial
6758    NBCE 10/26/2023 0.01 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN CHINA EQUITY ETF Exchange Traded Fund Financial
6759    NBCM 10/24/2022 0.66 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN COMMODITY STRATEGY Exchange Traded Fund Financial
6760    NBCR 8/1/2024 0.07 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN CORE EQUITY ETF Exchange Traded Fund Financial
6761    NBDS 4/7/2022 0.2 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN DISRUPTERS ETF Exchange Traded Fund Financial
6762    NBET 8/19/2022 0.07 NEUBERGER BERMAN ENERGY TRANSITION & INFRASTRUCTURE ETF Exchange Traded Fund Financial
6763    NBFC 6/25/2024 0.01 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN FLEXIBLE CREDIT IN Exchange Traded Fund Financial
6764    NBH 10/22/2002 14 NEUBERGER BERMAN MUNICIPAL FUND INC. COMMON STOCK Finance/Investors Services Finance
6765    NBHC 9/20/2012 26 NATIONAL BANK HOLDINGS CORPORATION COMMON STOCK Major Banks Finance
6766    NBIS 5/24/2011 51 NEBIUS GROUP N.V. CLASS A ORDINARY SHARES Computer Software: Programming Data Processing Technology
6767    NBIX 1/2/1998 85 NEUROCRINE BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6768    NBJP 9/12/2024 0.01 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN JAPAN EQUITY ETF Exchange Traded Fund Financial
6769    NBN 12/30/2005 5.36 NORTHEAST BANK COMMON STOCK Major Banks Finance
6770    NBOS 1/29/2024 0.31 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN OPTION STRATEGY ET Exchange Traded Fund Financial
6771    NBR 11/3/2005 82 NABORS INDUSTRIES LTD. Oil & Gas Production Energy
6772    NBSD 6/24/2024 0.07 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN SHORT DURATION INC Exchange Traded Fund Financial
6773    NBSM 3/21/2024 0.14 NEUBERGER BERMAN ETF TRUST NEUBERGER BERMAN SMALL-MID CAP ETF Exchange Traded Fund Financial
6774    NBST 4/30/2021 0.16
6775    NBSTU 3/23/2021 0.07
6776    NBTB 1/2/1998 42 NBT BANCORP INC. COMMON STOCK Major Banks Finance
6777    NBTX 12/11/2020 0.88 NANOBIOTIX S.A. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6778    NBXG 5/26/2021 8.54 NEUBERGER BERMAN NEXT GENERATION CONNECTIVITY FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6779    NBY 10/26/2007 20 NOVABAY PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6780    NC 1/2/1998 22 NACCO INDUSTRIES INC. COMMON STOCK Coal Mining Energy
6781    NCA 1/2/1998 13 NUVEEN CALIFORNIA MUNICIPAL VALUE FUND Investment Managers Finance
6782    NCDL 1/25/2024 1.54 NUVEEN CHURCHILL DIRECT LENDING CORP. COMMON STOCK
6783    NCEW 12/18/2024 0.15 NEW CENTURY LOGISTICS (BVI) LIMITED ORDINARY SHARES Oil Refining/Marketing Consumer Discretionary
6784    NCI 7/27/1999 55 NEO-CONCEPT INTERNATIONAL GROUP HOLDINGS LIMITED ORDINARY SHARES Apparel Consumer Discretionary
6785    NCIQ 2/14/2025 0.03 HASHDEX NASDAQ CRYPTO INDEX US ETF
6786    NCL 1/2/1998 4.55 NORTHANN CORP. COMMON STOCK Plastic Products Industrials
6787    NCLH 1/18/2013 62 NORWEGIAN CRUISE LINE HOLDINGS LTD. ORDINARY SHARES Marine Transportation Consumer Discretionary
6788    NCMI 2/8/2007 54 NATIONAL CINEMEDIA INC. COMMON STOCK Advertising Consumer Discretionary
6789    NCNA 9/28/2017 8.07 NUCANA PLC AMERICAN DEPOSITARY SHARE Biotechnology: Pharmaceutical Preparations Health Care
6790    NCNO 7/14/2020 17 NCINO INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6791    NCPB 3/6/2024 0.04 NUVEEN CORE PLUS BOND ETF Exchange Traded Fund Financial
6792    NCPL 5/29/2007 4.8 NETCAPITAL INC. COMMON STOCK Finance: Consumer Services Finance
6793    NCPLW 7/13/2022 0.11
6794    NCRA 5/30/2007 0.68 NOCERA INC. COMMON STOCK Farming/Seeds/Milling Consumer Staples
6795    NCSM 4/28/2017 4.64 NCS MULTISTAGE HOLDINGS INC. COMMON STOCK Oilfield Services/Equipment Energy
6796    NCTY 12/15/2004 29 THE9 LIMITED AMERICAN DEPOSITORY SHARES Finance: Consumer Services Finance
6797    NCV 3/31/2003 46 VIRTUS CONVERTIBLE & INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
6798    NCV.A 9/20/2018 0.7 VIRTUS CONVERTIBLE & INCOME FUND 5.625% SERIES A CUMULATIVE PREFERRED SHARES
6799    NCZ 7/29/2003 41 VIRTUS CONVERTIBLE & INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
6800    NCZ.A 9/14/2018 0.9 VIRTUS CONVERTIBLE & INCOME FUND II 5.50% SERIES A CUMULATIVE PREFERRED SHARES
6801    NDAA 10/17/2024 0.01 NED DAVIS RESEARCH 360 DYNAMIC ALLOCATION ETF Exchange Traded Fund Financial
6802    NDAQ 2/10/2005 93 NASDAQ INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
6803    NDEC 12/2/2024 0.07 INNOVATOR ETFS TRUST INNOVATOR GROWTH-100 POWER BUFFER ETF - D Exchange Traded Fund Financial
6804    NDIA 3/13/2024 0.07 GLOBAL X FUNDS GLOBAL X INDIA ACTIVE ETF Exchange Traded Fund Financial
6805    NDIV 8/24/2022 0.19 AMPLIFY ETF TRUST AMPLIFY NATURAL RESOURCES DIVIDEND INCOME ET Exchange Traded Fund Financial
6806    NDLS 6/28/2013 26 NOODLES & COMPANY CLASS A COMMON STOCK Restaurants Consumer Discretionary
6807    NDMO 8/27/2020 6.45 NUVEEN DYNAMIC MUNICIPAL OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
6808    NDOW 5/14/2024 0.02 COLLABORATIVE INVESTMENT SERIES TRUST ANYDRUS ADVANTAGE ETF Exchange Traded Fund Financial
6809    NDRA 6/30/2017 11 ENDRA LIFE SCIENCES INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
6810    NDSN 1/2/1998 70 NORDSON CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
6811    NDVG 8/5/2021 0.14 NUVEEN DIVIDEND GROWTH ETF Exchange Traded Fund Financial
6812    NE 6/9/2021 15 NOBLE CORPORATION PLC A ORDINARY SHARES Oil & Gas Production Energy
6813    NEA 1/16/2003 35 NUVEEN AMT-FREE QUALITY MUNICIPAL INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST PAR VALUE $.01 Finance/Investors Services Finance
6814    NEAR 10/3/2013 27 ISHARES SHORT DURATION BOND ACTIVE ETF Exchange Traded Fund Financial
6815    NECB 7/6/2006 4.31 NORTHEAST COMMUNITY BANCORP INC. COMMON STOCK Banks Finance
6816    NEE 1/2/1998 125 NEXTERA ENERGY INC. COMMON STOCK EDP Services Technology
6817    NEE.N 3/18/2019 5.3 NEXTERA ENERGY INC. SERIES N JUNIOR SUBORDINATED DEBENTURES DUE MARCH 1 2079
6818    NEE.R 8/31/2016 2.48 NEXTERA ENERGY INC. 6.926% CORPORATE UNITS
6819    NEE.S 6/26/2024 0.25 NEXTERA ENERGY INC. 7.299% CORPORATE UNITS
6820    NEE.T 11/4/2024 0.14 NEXTERA ENERGY INC. 7.234% CORPORATE UNITS
6821    NEGG 6/14/2010 17 NEWEGG COMMERCE INC. COMMON SHARES Other Specialty Stores Consumer Discretionary
6822    NEHC 12/9/2024 0.52 NEW ERA HELIUM INC COMMON STOCK Oil & Gas Production Energy
6823    NEHCW 12/9/2024 0.08 NEW ERA HELIUM INC WARRANTS Oil & Gas Production Energy
6824    NEM 1/2/1998 136 NEWMONT CORPORATION Precious Metals Basic Materials
6825    NEN 3/15/2004 0.85 NEW ENGLAND REALTY ASSOCIATES LIMITED PARTNERSHIP CLASS A DEPOSITARY RECEIPTS EVIDENCING UNITS OF LIMITED PARTNERSHIP Building operators Real Estate
6826    NEO 12/10/2012 38 NEOGENOMICS INC. COMMON STOCK Precision Instruments Health Care
6827    NEOG 1/2/1998 44 NEOGEN CORPORATION COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
6828    NEON 8/13/2007 17 NEONODE INC. COMMON STOCK Industrial Machinery/Components Technology
6829    NEOV 5/20/2020 3.01 NEOVOLTA INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
6830    NEOVW 7/28/2022 0.11 NEOVOLTA INC. WARRANT Industrial Machinery/Components Miscellaneous
6831    NEPH 1/22/2009 2.68 NEPHROS INC. COMMON STOCK Medical/Dental Instruments Health Care
6832    NERD 6/4/2019 1.88 ROUNDHILL VIDEO GAMES ETF Exchange Traded Fund Financial
6833    NERV 7/1/2014 16 MINERVA NEUROSCIENCES INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6834    NESR 6/5/2017 9.72 NATIONAL ENERGY SERVICES REUNITED CORP ORDINARY SHARES Oilfield Services/Equipment Energy
6835    NESRW 6/5/2017 0.41 NATIONAL ENERGY SERVICES REUNITED CORP WARRANTS Oilfield Services/Equipment Energy
6836    NET 9/13/2019 28 CLOUDFLARE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
6837    NETD 9/5/2023 0.14 NABORS ENERGY TRANSITION CORP. II CLASS A ORDINARY SHARES
6838    NETDU 7/14/2023 0.04 NABORS ENERGY TRANSITION CORP. II UNIT
6839    NETDW 9/5/2023 0.09 NABORS ENERGY TRANSITION CORP. II WARRANT
6840    NETL 3/22/2019 1.31 NETLEASE CORPORATE REAL ESTATE ETF Exchange Traded Fund Financial
6841    NEU 6/21/2004 33 NEWMARKET CORP COMMON STOCK Major Chemicals Industrials
6842    NEUE 1/29/2024 0.23 NEUEHEALTH INC. COMMON STOCK Medical Specialities Health Care
6843    NEUP 12/16/2021 2.71 NEUPHORIA THERAPEUTICS INC. COMMON STOCK
6844    NEWP 1/2/1998 52 NEW PACIFIC METALS CORP. COMMON SHARES Precious Metals Basic Materials
6845    NEWT 10/16/2006 22 NEWTEKONE INC. COMMON STOCK Major Banks Finance
6846    NEWTG 5/31/2024 0.22 NEWTEKONE INC. 8.50% FIXED RATE SENIOR NOTES DUE 2029
6847    NEWTH 9/17/2024 0.18 NEWTEKONE INC. 8.625% FIXED RATE SENIOR NOTES DUE 2029 Major Banks Finance
6848    NEWTI 12/18/2020 0.15 NEWTEKONE INC. 8.00% FIXED RATE SENIOR NOTES DUE 2028 Major Banks Finance
6849    NEWTZ 9/28/2015 0.37 NEWTEKONE INC. 5.50% NOTES DUE 2026 Major Banks Finance
6850    NEWZ 4/12/2024 0.05 STOCKSNIPS AI-POWERED SENTIMENT US ALL CAP ETF Exchange Traded Fund Financial
6851    NEXA 10/27/2017 9.23 NEXA RESOURCES S.A. COMMON SHARES Metal Mining Basic Materials
6852    NEXI 2/12/2021 3.62
6853    NEXN 6/18/2021 5.12 NEXXEN INTERNATIONAL LTD. ORDINARY SHARES Computer Software: Programming Data Processing Technology
6854    NEXT 6/4/2015 16 NEXTDECADE CORPORATION COMMON STOCK Oil & Gas Production Utilities
6855    NFBK 11/8/2007 28 NORTHFIELD BANCORP INC. COMMON STOCK (DELAWARE) Savings Institutions Finance
6856    NFE 1/31/2019 22 NEW FORTRESS ENERGY INC. CLASS A COMMON STOCK Oil/Gas Transmission Utilities
6857    NFG 1/2/1998 92 NATIONAL FUEL GAS COMPANY COMMON STOCK Oil/Gas Transmission Utilities
6858    NFGC 9/29/2021 6.29 NEW FOUND GOLD CORP COMMON SHARES Precious Metals Basic Materials
6859    NFJ 3/1/2005 48 VIRTUS DIVIDEND INTEREST & PREMIUM STRATEGY FUND COMMON SHARES OF BENEFICIAL INTEREST Finance: Consumer Services Finance
6860    NFLP 10/27/2023 0.12 KURV YIELD PREMIUM STRATEGY NETFLIX (NFLX) ETF Exchange Traded Fund Financial
6861    NFLT 8/11/2015 2.36 VIRTUS NEWFLEET MULTI-SECTOR BOND ETF Exchange Traded Fund Financial
6862    NFLX 5/23/2002 121 NETFLIX INC. COMMON STOCK Consumer Electronics/Video Chains Consumer Discretionary
6863    NFLY 8/8/2023 1.86 TIDAL ETF TRUST II YIELDMAX NFLX OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
6864    NFRA 10/9/2013 7.76 FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND Exchange Traded Fund Financial
6865    NFTY 7/10/2013 1.13 FIRST TRUST INDIA NIFTY 50 EQUAL WEIGHT ETF Exchange Traded Fund Financial
6866    NFXL 10/3/2024 0.57 DIREXION DAILY NFLX BULL 2X SHARES Exchange Traded Fund Financial
6867    NFXS 10/3/2024 0.26 DIREXION DAILY NFLX BEAR 1X SHARES Exchange Traded Fund Financial
6868    NG 12/4/2003 75 NOVAGOLD RESOURCES INC. Precious Metals Basic Materials
6869    NGD 6/1/2005 69 NEW GOLD INC. Metal Mining Basic Materials
6870    NGG 8/10/2005 68 NATIONAL GRID TRANSCO PLC NATIONAL GRID PLC (NEW) AMERICAN DEPOSITARY SHARES Natural Gas Distribution Utilities
6871    NGL 5/16/2011 36 NGL ENERGY PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Utilities
6872    NGL.B 6/16/2017 3.33 NGL ENERGY PARTNERS LP 9.00% CLASS B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS REPRESENTING LIMITED PARTNERSHIP INTERESTS
6873    NGL.C 4/3/2019 1.06 NGL ENERGY PARTNERS LP 9.625% CLASS C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS REPRESENTING LIMITED PARTNER INTERESTS
6874    NGNE 3/7/2014 16 NEUROGENE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6875    NGS 10/22/2002 25 NATURAL GAS SERVICES GROUP INC. COMMON STOCK Oilfield Services/Equipment Energy
6876    NGVC 7/25/2012 21 NATURAL GROCERS BY VITAMIN COTTAGE INC. COMMON STOCK Food Chains Consumer Staples
6877    NGVT 5/2/2016 22 INGEVITY CORPORATION COMMON STOCK Major Chemicals Industrials
6878    NHC 1/2/1998 14 NATIONAL HEALTHCARE CORPORATION COMMON STOCK Hospital/Nursing Management Health Care
6879    NHI 1/2/1998 56 NATIONAL HEALTH INVESTORS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6880    NHICU 7/31/2020 0.23 NEWHOLD INVESTMENT CORP III UNITS Blank Checks Finance
6881    NHPAP 12/11/2019 1.07 NATIONAL HEALTHCARE PROPERTIES INC. 7.375% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Real Estate Investment Trusts Real Estate
6882    NHPBP 10/7/2021 0.42 NATIONAL HEALTHCARE PROPERTIES INC. 7.125% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Real Estate Investment Trusts Real Estate
6883    NHS 12/19/2008 16 NEUBERGER BERMAN HIGH YIELD STRATEGIES FUND Trusts Except Educational Religious and Charitable Finance
6884    NHTC 5/16/2007 13 NATURAL HEALTH TRENDS CORP. COMMON STOCK Consumer Specialties Consumer Discretionary
6885    NI 1/2/1998 117 NISOURCE INC COMMON STOCK Power Generation Utilities
6886    NIC 5/17/2013 5.03 NICOLET BANKSHARES INC. COMMON STOCK Major Banks Finance
6887    NICE 4/8/1999 58 NICE LTD AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
6888    NIE 2/23/2007 24 VIRTUS EQUITY & CONVERTIBLE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
6889    NIKL 3/22/2023 0.47 SPROTT NICKEL MINERS ETF Exchange Traded Fund Financial
6890    NIM 1/2/1998 7.24 NUVEEN SELECT MATURITIES MUNICIPAL FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6891    NINE 12/3/2004 21 NINE ENERGY SERVICE INC. COMMON STOCK Oilfield Services/Equipment Energy
6892    NIO 9/12/2018 55 NIO INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Auto Manufacturing Consumer Discretionary
6893    NIOBW 3/21/2023 0.24 NIOCORP DEVELOPMENTS LTD. WARRANT Metal Mining Basic Materials
6894    NIPG 7/26/2024 0.66 NIP GROUP INC. AMERICAN DEPOSITARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
6895    NISN 12/27/2016 5.17 NISUN INTERNATIONAL ENTERPRISE DEVELOPMENT GROUP CO. LTD. CLASS A COMMON SHARES Metal Fabrications Industrials
6896    NITE 7/8/1998 47 CAPITOL SERIES TRUST THE NIGHTVIEW FUND NITE Exchange Traded Fund Financial
6897    NITO 5/14/2021 3.69 N2OFF INC. COMMON STOCK Agricultural Chemicals Industrials
6898    NIU 10/19/2018 17 NIU TECHNOLOGIES AMERICAN DEPOSITARY SHARES Auto Manufacturing Consumer Discretionary
6899    NIVF 4/4/2024 2.72 NEWGENIVF GROUP LIMITED CLASS A ORDINARY SHARES Misc Health and Biotechnology Services Health Care
6900    NIVFW 4/4/2024 0.11 NEWGENIVF GROUP LIMITED WARRANTS Misc Health and Biotechnology Services Health Care
6901    NIXT 9/10/2024 0.19 RESEARCH AFFILIATES DELETIONS ETF Exchange Traded Fund Financial
6902    NIXX 6/30/2021 3.45 NIXXY INC. COMMON STOCK EDP Services Technology
6903    NIXXW 6/30/2021 0.13 NIXXY INC. WARRANT EDP Services Technology
6904    NJAN 1/2/2020 1.1 INNOVATOR GROWTH-100 POWER BUFFER ETF - JANUARY Exchange Traded Fund Financial
6905    NJNK 9/5/2024 0.01 COLUMBIA ETF TRUST I COLUMBIA U.S. HIGH YIELD ETF Exchange Traded Fund Financial
6906    NJR 1/2/1998 75 NEWJERSEY RESOURCES CORPORATION COMMON STOCK Oil/Gas Transmission Utilities
6907    NJUL 7/1/2020 0.98 INNOVATOR GROWTH-100 POWER BUFFER ETF - JULY Exchange Traded Fund Financial
6908    NJUN 6/3/2024 0.05 SHL TELEMEDICINE LTD INNOVATOR GROWTH-100 POWER BUFFER ETF - J Exchange Traded Fund Financial
6909    NKE 1/2/1998 135 NIKE INC. COMMON STOCK Shoe Manufacturing Consumer Discretionary
6910    NKGN 10/2/2023 2.49
6911    NKGNW 10/2/2023 0.06
6912    NKLA 6/4/2020 34
6913    NKSH 8/28/2002 4.93 NATIONAL BANKSHARES INC. COMMON STOCK Major Banks Finance
6914    NKTR 1/15/2003 86 NEKTAR THERAPEUTICS COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6915    NKTX 7/10/2020 13 NKARTA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6916    NKX 1/16/2003 16 NUVEEN CALIFORNIA AMT-FREE QUALITY MUNICIPAL INCOME FUND Finance/Investors Services Finance
6917    NL 1/2/1998 22 NL INDUSTRIES INC. COMMON STOCK Major Chemicals Industrials
6918    NLOP 11/6/2023 2.01 NET LEASE OFFICE PROPERTIES COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
6919    NLR 8/15/2007 8.57 VANECK URANIUM AND NUCLEAR ETF Exchange Traded Fund Financial
6920    NLSP 1/29/2021 4.95 NLS PHARMACEUTICS LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
6921    NLSPW 1/29/2021 0.28 NLS PHARMACEUTICS LTD. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
6922    NLY 1/2/1998 122 ANNALY CAPITAL MANAGEMENT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6923    NLY.F 8/1/2017 7.68 ANNALY CAPITAL MANAGEMENT INC 6.95% SERIES F
6924    NLY.G 1/10/2018 4.85 ANNALY CAPITAL MANAGEMENT INC 6.50% SERIES G FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
6925    NLY.I 7/1/2019 4.01 ANNALY CAPITAL MANAGEMENT INC 6.750% SERIES I FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
6926    NMAI 11/22/2021 4.14 NUVEEN MULTI-ASSET INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
6927    NMAR 9/7/2011 0.04
6928    NMB 9/11/2024 0.03 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY NATIONAL MUNI BOND ETF Exchange Traded Fund Financial
6929    NMCO 9/17/2019 7.57 NUVEEN MUNICIPAL CREDIT OPPORTUNITIES FUND COMMON SHARES Finance/Investors Services Finance
6930    NMFC 5/20/2011 37 NEW MOUNTAIN FINANCE CORPORATION COMMON STOCK Finance/Investors Services Finance
6931    NMFCZ 11/27/2023 0.35 NEW MOUNTAIN FINANCE CORPORATION 8.250% NOTES DUE 2028
6932    NMG 5/24/2021 3.32 NOUVEAU MONDE GRAPHITE INC. COMMON SHARES Other Metals and Minerals Basic Materials
6933    NMHI 3/12/2024 1.71
6934    NMHIW 3/12/2024 0.06
6935    NMI 1/2/1998 5.51 NUVEEN MUNICIPAL INCOME FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6936    NMIH 11/8/2013 32 NMI HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
6937    NML 3/26/2013 25 NEUBERGER BERMAN ENERGY INFRASTRUCTURE AND INCOME FUND INC. COMMON STOCK Finance/Investors Services Finance
6938    NMM 11/13/2007 41 NAVIOS MARITIME PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Marine Transportation Consumer Discretionary
6939    NMR 12/17/2001 58 NOMURA HOLDINGS INC ADR AMERICAN DEPOSITARY SHARES Investment Bankers/Brokers/Service Finance
6940    NMRA 9/15/2023 4.55 NEUMORA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
6941    NMRD 2/16/2017 3.16
6942    NMRK 12/15/2017 29 NEWMARK GROUP INC. CLASS A COMMON STOCK Real Estate Finance
6943    NMS 10/8/2014 1.6 NUVEEN MINNESOTA QUALITY MUNICIPAL INCOME FUND Finance Companies Finance
6944    NMT 1/2/1998 3.65 NUVEEN MASSACHUSETTS QUALITY MUNICIPAL INCOME FUND COMMON STOCK Finance/Investors Services Finance
6945    NMTC 6/27/2013 3.59 NEUROONE MEDICAL TECHNOLOGIES CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
6946    NMZ 11/20/2003 26 NUVEEN MUNICIPAL HIGH INCOME OPPORTUNITY FUND COMMON STOCK $0.01 PAR VALUE PER SHARE Finance/Investors Services Finance
6947    NN 10/29/2021 8.31 NEXTNAV INC. COMMON STOCK Industrial Machinery/Components Industrials
6948    NNAVW 10/29/2021 0.61 NEXTNAV INC. WARRANT Industrial Machinery/Components Industrials
6949    NNBR 1/2/1998 39 NN INC. COMMON STOCK Industrial Machinery/Components Industrials
6950    NNDM 3/7/2016 26 NANO DIMENSION LTD. AMERICAN DEPOSITARY SHARES Electrical Products Technology
6951    NNE 5/8/2024 4.73 NANO NUCLEAR ENERGY INC. COMMON STOCK Electric Utilities: Central Utilities
6952    NNI 12/12/2003 41 NELNET INC. COMMON STOCK Finance: Consumer Services Finance
6953    NNN 1/2/1998 96 NNN REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6954    NNNN 2/19/2025 0.08 ANBIO BIOTECHNOLOGY CLASS A ORDINARY SHARES Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
6955    NNOV 11/1/2024 0.05 INNOVATOR ETFS TRUST INNOVATOR GROWTH-100 POWER BUFFER ETF - N Exchange Traded Fund Financial
6956    NNOX 8/21/2020 19 NANO-X IMAGING LTD ORDINARY SHARES Medical Electronics Health Care
6957    NNVC 5/16/2007 17 NANOVIRICIDES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
6958    NNY 1/2/1998 8.47 NUVEEN NEW YORK MUNICIPAL VALUE FUND COMMON STOCK Investment Managers Finance
6959    NOA 11/22/2006 26 NORTH AMERICAN CONSTRUCTION GROUP LTD. COMMON SHARES (NO PAR) Oilfield Services/Equipment Energy
6960    NOAH 11/10/2010 34 NOAH HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Investment Managers Finance
6961    NOBL 10/10/2013 35 PROSHARES S&P 500 DIVIDEND ARISTOCRATS ETF Exchange Traded Fund Financial
6962    NOC 1/2/1998 115 NORTHROP GRUMMAN CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
6963    NOCT 10/1/2019 0.89 INNOVATOR GROWTH-100 POWER BUFFER ETF- OCTOBER Exchange Traded Fund Financial
6964    NODK 3/16/2017 1.79 NI HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
6965    NOEM 1/16/2025 0.01 CO2 ENERGY TRANSITION CORP. COMMON STOCK
6966    NOEMR 1/16/2025 0.01 CO2 ENERGY TRANSITION CORP. RIGHT
6967    NOEMU 11/21/2024 0.01 CO2 ENERGY TRANSITION CORP. UNIT
6968    NOEMW 1/16/2025 0.01 CO2 ENERGY TRANSITION CORP. WARRANT
6969    NOG 3/26/2008 73 NORTHERN OIL AND GAS INC. COMMON STOCK Oil & Gas Production Energy
6970    NOK 4/12/1999 146 NOKIA CORPORATION SPONSORED AMERICAN DEPOSITARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
6971    NOM 10/31/2005 1.24 NUVEEN MISSOURI QUALITY MUNICIPAL INCOME FUND Investment Managers Finance
6972    NOMD 6/3/2015 36 NOMAD FOODS LIMITED ORDINARY SHARES Packaged Foods Consumer Staples
6973    NORD 3/26/2014 5.67
6974    NORW 11/10/2010 7.08 GLOBAL X MSCI NORWAY ETF Exchange Traded Fund Financial
6975    NOTE 8/1/2022 7.79 FISCALNOTE HOLDINGS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
6976    NOTV 5/16/2007 11 INOTIV INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
6977    NOV 3/15/2005 99 NOV INC. COMMON STOCK Metal Fabrications Industrials
6978    NOVA 8/18/1999 34 SUNNOVA ENERGY INTERNATIONAL INC. COMMON STOCK Power Generation Utilities
6979    NOVP 6/11/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - NOVEMBER Exchange Traded Fund Financial
6980    NOVT 5/8/2007 26 NOVANTA INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
6981    NOVZ 7/9/2009 0.13 TRUESHARES STRUCTURED OUTCOME (NOVEMBER) ETF Exchange Traded Fund Financial
6982    NOW 6/29/2012 57 SERVICENOW INC. COMMON STOCK Computer Software: Prepackaged Software Technology
6983    NPB 2/14/2025 0.11 NORTHPOINTE BANCSHARES INC. COMMON STOCK Major Banks Finance
6984    NPCE 4/22/2021 2.99 NEUROPACE INC. COMMON STOCK Medical/Dental Instruments Health Care
6985    NPCT 4/28/2021 4.02 NUVEEN CORE PLUS IMPACT FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
6986    NPFD 12/16/2021 3.1 NUVEEN VARIABLE RATE PREFERRED & INCOME FUND COMMON SHARES Trusts Except Educational Religious and Charitable Finance
6987    NPFI 3/6/2024 0.02 NUVEEN PREFERRED AND INCOME ETF Exchange Traded Fund Financial
6988    NPK 1/2/1998 19 NATIONAL PRESTO INDUSTRIES INC. COMMON STOCK Ordnance And Accessories Industrials
6989    NPKI 4/27/2007 58 NPK INTERNATIONAL INC. COMMON STOCK Metal Fabrications Industrials
6990    NPO 6/3/2002 49 ENPRO INC. COMMON STOCK Metal Fabrications Industrials
6991    NPV 1/2/1998 6.2 NUVEEN VIRGINIA QUALITY MUNICIPAL INCOME FUND COMMON STOCK Investment Managers Finance
6992    NPWR 8/6/2021 4.96 NET POWER INC. CLASS A COMMON STOCK Industrial Machinery/Components Energy
6993    NQP 1/2/1998 11 NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
6994    NRC 5/23/2013 6.9 NATIONAL RESEARCH CORPORATION COMMON STOCK (DELAWARE) Biotechnology: Commercial Physical & Biological Resarch Health Care
6995    NRDS 11/4/2021 9.15 NERDWALLET INC. CLASS A COMMON STOCK EDP Services Technology
6996    NRDY 2/18/2016 13 NERDY INC. CLASS A COMMON STOCK Other Consumer Services Real Estate
6997    NREF 2/7/2020 4.25 NEXPOINT REAL ESTATE FINANCE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
6998    NREF.A 7/27/2020 0.48 NEXPOINT REAL ESTATE FINANCE INC. 8.50% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
6999    NRES 2/27/2024 0.02 XTRACKERS RREEF GLOBAL NATURAL RESOURCES ETF Exchange Traded Fund Financial
7000    NRG 3/25/2004 99 NRG ENERGY INC. COMMON STOCK Electric Utilities: Central Utilities
7001    NRGD 4/10/2019 9.31 BANK OF MONTREAL MICROSECTORS U.S. BIG OIL -3 INVERSE LEVERA Exchange Traded Fund Financial
7002    NRGU 4/16/2019 11 BANK OF MONTREAL MICROSECTORS U.S. BIG OIL 3 LEVERAGED ETNS DU Exchange Traded Fund Financial
7003    NRGV 3/29/2021 11 ENERGY VAULT HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
7004    NRIM 10/6/2005 7.3 NORTHRIM BANCORP INC COMMON STOCK Savings Institutions Finance
7005    NRIX 7/24/2020 13 NURIX THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7006    NRK 1/16/2003 17 NUVEEN NEW YORK AMT-FREE QUALITY MUNICIPAL INCOME FUND Trusts Except Educational Religious and Charitable Finance
7007    NRO 10/29/2003 33 NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND INC. Finance/Investors Services Finance
7008    NRP 10/11/2002 35 NATURAL RESOURCE PARTNERS LP LIMITED PARTNERSHIP Coal Mining Energy
7009    NRSH 12/4/2023 0.02 TIDAL ETF TRUST AZTLAN NORTH AMERICA NEARSHORING STOCK SELECTI Exchange Traded Fund Financial
7010    NRSN 12/9/2021 3.12 NEUROSENSE THERAPEUTICS LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7011    NRSNW 12/9/2021 0.2 NEUROSENSE THERAPEUTICS LTD. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
7012    NRT 1/29/2002 11 NORTH EUROPEAN OIL ROYALITY TRUST COMMON STOCK Oil & Gas Production Energy
7013    NRUC 5/8/2019 2.47 NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION 5.500% SUBORDINATED NOTES DUE 2064 (SUBORDINATED DEFERRABLE INTEREST NOTES) Diversified Financial Services Finance
7014    NRXP 12/4/2017 9.05 NRX PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7015    NRXPW 12/1/2017 1.12 NRX PHARMACEUTICALS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
7016    NRXS 8/9/2023 0.37 NEURAXIS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7017    NSA 4/23/2015 34 NATIONAL STORAGE AFFILIATES TRUST COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
7018    NSA.A 10/13/2017 1.57 NATIONAL STORAGE AFFILIATES TRUST 6.000% SERIES A CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST (LIQUIDATION PREFERENCE $25.00 PER SHARE)
7019    NSA.B 7/31/2024 0.04 NATIONAL STORAGE AFFILIATES TRUST 6.000% SERIES B CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7020    NSC 1/2/1998 123 NORFOLK SOUTHERN CORPORATION COMMON STOCK Railroads Industrials
7021    NSCR 3/6/2024 0.02 NUVEEN SUSTAINABLE CORE ETF Exchange Traded Fund Financial
7022    NSCS 8/5/2021 0.06 NUVEEN SMALL CAP SELECT ETF Exchange Traded Fund Financial
7023    NSEP 9/3/2024 0.06 INNOVATOR U.S. SMALL CAP POWER BUFFER ETF - SEPTEMBER INNOVATO Exchange Traded Fund Financial
7024    NSI 12/7/2023 0.11 NATIONAL SECURITY EMERGING MARKETS INDEX ETF Exchange Traded Fund Financial
7025    NSIT 1/2/1998 67 INSIGHT ENTERPRISES INC. COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
7026    NSP 8/10/2005 49 INSPERITY INC. COMMON STOCK Professional Services Consumer Discretionary
7027    NSPR 4/15/2011 19 INSPIREMD INC. COMMON STOCK Medical/Dental Instruments Health Care
7028    NSSC 2/24/2004 22 NAPCO SECURITY TECHNOLOGIES INC. COMMON STOCK Telecommunications Equipment Telecommunications
7029    NSTS 1/19/2022 0.31 NSTS BANCORP INC. COMMON STOCK Savings Institutions Finance
7030    NSYS 1/6/1998 2.57 NORTECH SYSTEMS INCORPORATED COMMON STOCK Industrial Machinery/Components Technology
7031    NTAP 1/2/1998 132 NETAPP INC. COMMON STOCK Electronic Components Technology
7032    NTB 9/16/2016 19 BANK OF N.T. BUTTERFIELD & SON LIMITED (THE) VOTING ORDINARY SHARES Commercial Banks Finance
7033    NTCL 12/13/2024 0.15 NETCLASS TECHNOLOGY INC CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
7034    NTCT 8/12/1999 62 NETSCOUT SYSTEMS INC. COMMON STOCK EDP Services Technology
7035    NTES 1/2/2002 100 NETEASE INC. AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
7036    NTEST 9/19/2016 1.48
7037    NTGR 7/31/2003 65 NETGEAR INC. COMMON STOCK Telecommunications Equipment Utilities
7038    NTIC 6/30/2008 2.86 NORTHERN TECHNOLOGIES INTERNATIONAL CORPORATION COMMON STOCK Industrial Specialties Industrials
7039    NTIP 5/16/2007 4.76 NETWORK-1 TECHNOLOGIES INC. COMMON STOCK Multi-Sector Companies Miscellaneous
7040    NTLA 5/6/2016 33 INTELLIA THERAPEUTICS INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
7041    NTNX 9/30/2016 38 NUTANIX INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
7042    NTR 1/2/2018 34 NUTRIEN LTD. COMMON SHARES Agricultural Chemicals Industrials
7043    NTRA 7/2/2015 33 NATERA INC. COMMON STOCK Medical Specialities Health Care
7044    NTRB 10/1/2021 1.72 NUTRIBAND INC. COMMON STOCK Industrial Specialties Health Care
7045    NTRBW 10/1/2021 0.22 NUTRIBAND INC. WARRANT Industrial Specialties Health Care
7046    NTRP 10/2/2013 7.38 NEXTTRIP INC. COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
7047    NTRS 1/2/1998 119 NORTHERN TRUST CORPORATION COMMON STOCK Major Banks Finance
7048    NTRSO 11/26/2019 2.73 NORTHERN TRUST CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF SERIES E NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
7049    NTSE 5/20/2021 0.41 WISDOMTREE TRUST WISDOMTREE EMERGING MARKETS EFFICIENT CORE FU Exchange Traded Fund Financial
7050    NTSI 5/21/2021 0.8 WISDOMTREE TRUST WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND Exchange Traded Fund Financial
7051    NTST 8/13/2020 16 NETSTREIT CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
7052    NTSX 8/2/2018 5.31 WISDOMTREE U.S. EFFICIENT CORE FUND Exchange Traded Fund Financial
7053    NTWK 12/23/1999 17 NETSOL TECHNOLOGIES INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7054    NTWO 12/27/2024 0.01 NEWBURY STREET II ACQUISITION CORP CLASS A ORDINARY SHARES
7055    NTWOU 11/1/2024 0.03 NEWBURY STREET II ACQUISITION CORP UNIT
7056    NTWOW 12/30/2024 0.01 NEWBURY STREET II ACQUISITION CORP WARRANT
7057    NTZ 1/2/1998 7.28 NATUZZI S.P.A. Home Furnishings Consumer Discretionary
7058    NU 1/2/1998 75 NU HOLDINGS LTD. CLASS A ORDINARY SHARES Finance: Consumer Services Finance
7059    NUAG 9/15/2016 1.83 NUVEEN ENHANCED YIELD U.S. AGGREGATE BOND ETF Exchange Traded Fund Financial
7060    NUBD 10/3/2017 2.93 NUVEEN ESG U.S. AGGREGATE BOND ETF Exchange Traded Fund Financial
7061    NUDM 6/12/2017 3.17 NUVEEN ESG INTERNATIONAL DEVELOPED MARKETS EQUITY ETF Exchange Traded Fund Financial
7062    NUDV 9/28/2021 0.27 NUVEEN ESG DIVIDEND ETF Exchange Traded Fund Financial
7063    NUE 1/2/1998 122 NUCOR CORPORATION COMMON STOCK Steel/Iron Ore Industrials
7064    NUEM 6/12/2017 2.74 NUVEEN ESG EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
7065    NUGO 9/28/2021 1.99 NUVEEN GROWTH OPPORTUNITIES ETF Exchange Traded Fund Financial
7066    NUGT 12/8/2010 86 DIREXION DAILY GOLD MINERS INDEX BULL 2XSHARES Exchange Traded Fund Financial
7067    NUHY 9/26/2019 1.38 NUVEEN ESG HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
7068    NUKK 11/6/2020 3.06 NUKKLEUS INC. COMMON STOCK Professional Services Consumer Discretionary
7069    NUKKW 7/22/2020 0.53 NUKKLEUS INC. WARRANTS Professional Services Consumer Discretionary
7070    NUKZ 1/24/2024 0.87 EXCHANGE TRADED CONCEPTS TRUST RANGE NUCLEAR RENAISSANCE INDEX Exchange Traded Fund Financial
7071    NULC 6/4/2019 0.24 NUVEEN ESG LARGE-CAP ETF Exchange Traded Fund Financial
7072    NULG 12/22/2016 4.96 NUVEEN ESG LARGE-CAP GROWTH ETF Exchange Traded Fund Financial
7073    NULV 1/10/2017 7.01 NUVEEN ESG LARGE-CAP VALUE ETF Exchange Traded Fund Financial
7074    NUMG 12/20/2016 3.49 NUVEEN ESG MID-CAP GROWTH ETF Exchange Traded Fund Financial
7075    NUMV 12/20/2016 3.12 NUVEEN ESG MID-CAP VALUE ETF Exchange Traded Fund Financial
7076    NURE 12/20/2016 1.46 NUVEEN SHORT-TERM REIT ETF Exchange Traded Fund Financial
7077    NURO 7/22/2004 24 NEUROMETRIX INC. COMMON STOCK Medical/Dental Instruments Health Care
7078    NUS 1/2/1998 87 NU SKIN ENTERPRISES INC. COMMON STOCK Other Pharmaceuticals Health Care
7079    NUSA 4/3/2017 0.57 NUVEEN ESG 1-5 YEAR U.S. AGGREGATE BOND ETF Exchange Traded Fund Financial
7080    NUSB 3/6/2024 0.02 NUVEEN ULTRA SHORT INCOME ETF Exchange Traded Fund Financial
7081    NUSC 12/16/2016 6.5 NUVEEN ESG SMALL-CAP ETF Exchange Traded Fund Financial
7082    NUSI 12/20/2019 7.33
7083    NUTX 4/4/2022 8.19 NUTEX HEALTH INC. COMMON STOCK Business Services Consumer Discretionary
7084    NUV 1/2/1998 43 NUVEEN MUNICIPAL VALUE FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7085    NUVB 8/26/2020 13 NUVATION BIO INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7086    NUVL 7/29/2021 7.77 NUVALENT INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7087    NUW 2/25/2009 8.96 NUVEEN AMT-FREE MUNICIPAL VALUE FUND Investment Managers Finance
7088    NUWE 2/16/2012 27 NUWELLIS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7089    NVA 7/24/2024 0.33 NOVA MINERALS LIMITED AMERICAN DEPOSITARY SHARES Precious Metals Basic Materials
7090    NVAC 1/24/2022 0.06
7091    NVACR 1/24/2022 0.11
7092    NVACW 1/24/2022 0.09
7093    NVAWW 7/24/2024 0.06 NOVA MINERALS LIMITED WARRANT
7094    NVAX 7/10/2001 84 NOVAVAX INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7095    NVBT 11/1/2022 0.12 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 NOV E Exchange Traded Fund Financial
7096    NVBW 11/1/2022 0.21 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 NOV E Exchange Traded Fund Financial
7097    NVCR 10/2/2015 35 NOVOCURE LIMITED ORDINARY SHARES Medical/Dental Instruments Health Care
7098    NVCT 2/4/2022 2.47 NUVECTIS PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7099    NVD 8/22/2023 8.3 GRANITESHARES 2X SHORT NVDA DAILY ETF Exchange Traded Fund Financial
7100    NVDA 1/22/1999 172 NVIDIA CORPORATION COMMON STOCK Semiconductors Technology
7101    NVDD 9/13/2023 4.48 DIREXION DAILY NVDA BEAR 1X SHARES Exchange Traded Fund Financial
7102    NVDL 12/13/2022 14 GRANITESHARES 2X LONG NVDA DAILY ETF Exchange Traded Fund Financial
7103    NVDQ 10/19/2023 7.9 ETF OPPORTUNITIES TRUST T-REX 2X INVERSE NVIDIA DAILY TARGET E Exchange Traded Fund Financial
7104    NVDS 7/14/2022 13 TRADR 1.5X SHORT NVDA DAILY ETF Exchange Traded Fund Financial
7105    NVDU 9/13/2023 6.01 DIREXION DAILY NVDA BULL 2X SHARES Exchange Traded Fund Financial
7106    NVDW 9/3/2024 0.05
7107    NVDX 10/19/2023 8.09 ETF OPPORTUNITIES TRUST T-REX 2X LONG NVIDIA DAILY TARGET ETF Exchange Traded Fund Financial
7108    NVDY 5/11/2023 8.26 TIDAL ETF TRUST II YIELDMAX NVDA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
7109    NVEC 1/23/2003 25 NVE CORPORATION COMMON STOCK Semiconductors Technology
7110    NVEE 9/30/2013 14 NV5 GLOBAL INC. COMMON STOCK Other Consumer Services Consumer Discretionary
7111    NVFY 10/17/2011 6.99 NOVA LIFESTYLE INC. COMMON STOCK Home Furnishings Consumer Discretionary
7112    NVG 9/12/2002 32 NUVEEN AMT-FREE MUNICIPAL CREDIT INCOME FUND Investment Managers Finance
7113    NVGS 11/21/2013 24 NAVIGATOR HOLDINGS LTD. ORDINARY SHARES (MARSHALL ISLANDS) Marine Transportation Consumer Discretionary
7114    NVIR 2/22/2023 0.04 LISTED FUNDS TRUST HORIZON KINETICS ENERGY AND REMEDIATION ETF Exchange Traded Fund Financial
7115    NVMI 11/12/2002 25 NOVA LTD. ORDINARY SHARES Electronic Components Technology
7116    NVNI 10/2/2023 1.42 NVNI GROUP LIMITED ORDINARY SHARES Computer Software: Prepackaged Software Technology
7117    NVNIW 10/2/2023 0.14 NVNI GROUP LIMITED WARRANTS Computer Software: Prepackaged Software Technology
7118    NVNO 5/31/2018 6.75 ENVVENO MEDICAL CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
7119    NVO 1/2/1998 85 NOVO NORDISK A/S COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7120    NVOS 2/23/2021 9.66
7121    NVOX 12/3/2024 0.17 TIDAL TRUST II DEFIANCE DAILY TARGET 2X LONG NVO ETF Exchange Traded Fund Financial
7122    NVR 1/2/1998 52 NVR INC. COMMON STOCK Homebuilding Consumer Discretionary
7123    NVRI 5/3/2007 61 ENVIRI CORPORATION COMMON STOCK Diversified Commercial Services Miscellaneous
7124    NVRO 11/6/2014 32 NEVRO CORP. COMMON STOCK Medical/Dental Instruments Health Care
7125    NVS 5/11/2000 103 NOVARTIS AG COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7126    NVST 9/18/2019 23 ENVISTA HOLDINGS CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
7127    NVT 4/24/2018 30 NVENT ELECTRIC PLC ORDINARY SHARES Industrial Machinery/Components Industrials
7128    NVTS 10/20/2021 14 NAVITAS SEMICONDUCTOR CORPORATION COMMON STOCK Semiconductors Technology
7129    NVVE 5/1/2020 8.17 NUVVE HOLDING CORP. COMMON STOCK Electrical Products Industrials
7130    NVVEW 4/30/2020 1.7 NUVVE HOLDING CORP. WARRANT Electrical Products Industrials
7131    NVX 9/12/2002 7.13 NOVONIX LIMITED AMERICAN DEPOSITORY SHARES Industrial Machinery/Components Miscellaneous
7132    NWBI 12/18/2009 56 NORTHWEST BANCSHARES INC. COMMON STOCK Major Banks Finance
7133    NWE 5/1/2008 54 NORTHWESTERN ENERGY GROUP INC. COMMON STOCK Power Generation Utilities
7134    NWFL 5/17/2004 2.32 NORWOOD FINANCIAL CORP. COMMON STOCK Major Banks Finance
7135    NWG 10/18/2007 64 NATWEST GROUP PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO (2) ORDINARY SHARES) Commercial Banks Finance
7136    NWGL 9/12/2023 0.51 NATURE WOOD GROUP LIMITED AMERICAN DEPOSITARY SHARES Energy
7137    NWL 1/2/1998 127 NEWELL BRANDS INC. COMMON STOCK Plastic Products Industrials
7138    NWLG 8/5/2021 0.09 NUVEEN WINSLOW LARGE-CAP GROWTH ESG ETF Exchange Traded Fund Financial
7139    NWN 7/27/2000 55 NORTHWEST NATURAL HOLDING COMPANY COMMON STOCK Oil/Gas Transmission Utilities
7140    NWPX 1/2/1998 23 NORTHWEST PIPE COMPANY COMMON STOCK Steel/Iron Ore Industrials
7141    NWS 6/19/2013 45 NEWS CORPORATION CLASS B COMMON STOCK Newspapers/Magazines Consumer Discretionary
7142    NWSA 6/19/2013 57 NEWS CORPORATION CLASS A COMMON STOCK Newspapers/Magazines Consumer Discretionary
7143    NWTN 11/14/2022 1.49 NWTN INC. CLASS B ORDINARY SHARES Auto Manufacturing Consumer Discretionary
7144    NWTNW 11/14/2022 0.39 NWTN INC. WARRANT Auto Manufacturing Consumer Discretionary
7145    NX 1/2/1998 68 QUANEX BUILDING PRODUCTS CORPORATION COMMON STOCK Metal Fabrications Industrials
7146    NXC 1/2/1998 5.06 NUVEEN CALIFORNIA SELECT TAX-FREE INCOME PORTFOLIO COMMON STOCK Investment Managers Finance
7147    NXDT 5/7/2007 35 NEXPOINT DIVERSIFIED REAL ESTATE TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
7148    NXDT.A 1/8/2021 0.63 NEXPOINT DIVERSIFIED REAL ESTATE TRUST 5.50% SERIES A CUMULATIVE PREFERRED SHARES ($25.00 LIQUIDATION PREFERENCE PER SHARE)
7149    NXE 10/17/2006 23 NEXGEN ENERGY LTD. COMMON SHARES Other Metals and Minerals Basic Materials
7150    NXG 9/26/2012 6.78 NXG NEXTGEN INFRASTRUCTURE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST
7151    NXGL 12/22/2021 1.35 NEXGEL INC COMMON STOCK Medical/Dental Instruments Health Care
7152    NXGLW 12/22/2021 0.14 NEXGEL INC WARRANT Medical/Dental Instruments Health Care
7153    NXJ 9/12/2002 12 NUVEEN NEW JERSEY QUALIFIED MUNICIPAL FUND Finance/Investors Services Finance
7154    NXL 9/16/2022 2.65 NEXALIN TECHNOLOGY INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7155    NXLIW 9/16/2022 0.12 NEXALIN TECHNOLOGY INC. WARRANT Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7156    NXN 2/4/2002 3.03 NUVEEN NEW YORK SELECT TAX-FREE INCOME PORTFOLIO COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7157    NXP 1/2/1998 12 NUVEEN SELECT TAX FREE INCOME PORTFOLIO COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7158    NXPI 8/6/2010 71 NXP SEMICONDUCTORS N.V. COMMON STOCK Semiconductors Technology
7159    NXPL 5/28/2021 2.33 NEXTPLAT CORP COMMON STOCK Telecommunications Equipment Telecommunications
7160    NXPLW 5/28/2021 0.22 NEXTPLAT CORP WARRANTS Telecommunications Equipment Telecommunications
7161    NXRT 4/1/2015 17 NEXPOINT RESIDENTIAL TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7162    NXST 11/25/2003 52 NEXSTAR MEDIA GROUP INC. COMMON STOCK Broadcasting Industrials
7163    NXT 2/9/2023 9.19 NEXTRACKER INC. CLASS A COMMON STOCK Industrial Machinery/Components Industrials
7164    NXTC 5/9/2019 8.04 NEXTCURE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7165    NXTE 9/29/2022 0.22 INVESTMENT MANAGERS SERIES TRUST II AXS GREEN ALPHA ETF Exchange Traded Fund Financial
7166    NXTG 2/18/2011 4.48 FIRST TRUST INDXX NEXTG ETF Exchange Traded Fund Financial
7167    NXTI 3/7/2006 0.17 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY NEXT INTANGIBLE CORE I Exchange Traded Fund Financial
7168    NXTP 2/22/2018 5.81
7169    NXTT 7/23/2020 4.28 NEXT TECHNOLOGY HOLDING INC. ORDINARY SHARES EDP Services Technology
7170    NXTV 4/22/2024 0.01 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY NEXT INTANGIBLE VALUE Exchange Traded Fund Financial
7171    NXU 9/28/2022 8.36 NXU INC. CLASS A COMMON STOCK Construction/Ag Equipment/Trucks Consumer Discretionary
7172    NXXT 9/15/2021 2.33 NEXTNRG INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
7173    NYAX 9/21/2022 0.23 NAYAX LTD. ORDINARY SHARES Computer Software: Prepackaged Software Technology
7174    NYC 8/18/2020 1.7 AMERICAN STRATEGIC INVESTMENT CO. CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
7175    NYF 10/11/2007 5.28 ISHARES NEW YORK MUNI BOND ETF Exchange Traded Fund Financial
7176    NYMT 6/5/2008 56 NEW YORK MORTGAGE TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7177    NYMTG 1/15/2025 0.03 NEW YORK MORTGAGE TRUST INC. 9.125% SENIOR NOTES DUE 2030 Real Estate Investment Trusts Real Estate
7178    NYMTI 7/2/2024 0.22 NEW YORK MORTGAGE TRUST INC. 9.125% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
7179    NYMTL 7/8/2021 0.75 NEW YORK MORTGAGE TRUST INC. 6.875% SERIES F FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK $0.01 PAR VALUE PER SHARE Real Estate Investment Trusts Real Estate
7180    NYMTM 10/18/2019 2.41 NEW YORK MORTGAGE TRUST INC. 7.875% SERIES E FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
7181    NYMTN 10/30/2017 2.55 NEW YORK MORTGAGE TRUST INC. 8.00% SERIES D FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
7182    NYMTZ 11/24/2021 0.63 NEW YORK MORTGAGE TRUST INC. 7.000% SERIES G CUMULATIVE REDEEMABLE PREFERRED STOCK $0.01 PAR VALUE PER SHARE Real Estate Investment Trusts Real Estate
7183    NYT 1/2/1998 111 NEW YORK TIMES COMPANY (THE) COMMON STOCK Newspapers/Magazines Consumer Discretionary
7184    NYXH 7/2/2021 0.86 NYXOAH SA ORDINARY SHARES Medical/Dental Instruments Health Care
7185    NZAC 11/26/2014 0.8 SPDR MSCI ACWI CLIMATE PARIS ALIGNED ETF Exchange Traded Fund Financial
7186    NZF 10/3/2001 32 NUVEEN MUNICIPAL CREDIT INCOME FUND Finance Companies Finance
7187    NZUS 4/22/2022 0.05 SPDR MSCI USA CLIMATE PARIS ALIGNED ETF Exchange Traded Fund Financial
7188    O 1/2/1998 106 REALTY INCOME CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
7189    OABI 9/30/2021 6.77 OMNIAB INC. COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
7190    OABIW 9/30/2021 0.21
7191    OACC 12/16/2024 0.01 OAKTREE ACQUISITION CORP. III LIFE SCIENCES CLASS A ORDINARY SHARE Blank Checks Finance
7192    OACCU 10/24/2024 0.05 OAKTREE ACQUISITION CORP. III LIFE SCIENCES UNIT Blank Checks Finance
7193    OACCW 12/16/2024 0.01 OAKTREE ACQUISITION CORP. III LIFE SCIENCES WARRANT Blank Checks Finance
7194    OACP 3/31/2022 0.55 UNIFIED SERIES TRUST ONEASCENT CORE PLUS BOND ETF Exchange Traded Fund Financial
7195    OAEM 9/15/2022 0.26 UNIFIED SERIES TRUST ONEASCENT EMERGING MARKETS ETF Exchange Traded Fund Financial
7196    OAIM 9/16/2022 0.4 UNIFIED SERIES TRUST ONEASCENT INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
7197    OAK.A 5/24/2018 1.85 BROOKFIELD OAKTREE HOLDINGS LLC 6.625% SERIES A PREFERRED UNITS
7198    OAK.B 8/14/2018 2 BROOKFIELD OAKTREE HOLDINGS LLC 6.550% SERIES B PREFERRED UNITS
7199    OAKM 12/3/2024 0.18 HARRIS OAKMARK ETF TRUST OAKMARK U.S. LARGE CAP ETF Exchange Traded Fund Financial
7200    OAKU 5/19/2023 0.05 OAK WOODS ACQUISITION CORPORATION CLASS A ORDINARY SHARES Blank Checks Finance
7201    OAKUR 5/19/2023 0.03 OAK WOODS ACQUISITION CORPORATION RIGHT Blank Checks Finance
7202    OAKUW 5/19/2023 0.04 OAK WOODS ACQUISITION CORPORATION WARRANT Blank Checks Finance
7203    OALC 11/16/2021 0.46 UNIFIED SERIES TRUST ONEASCENT LARGE CAP CORE ETF Exchange Traded Fund Financial
7204    OARK 11/25/2022 2.84 YIELDMAX INNOVATION OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
7205    OASC 6/14/2024 0.04 UNIFIED SERIES TRUST ONEASCENT SMALL CAP CORE ETF Exchange Traded Fund Financial
7206    OB 11/9/2006 26 OUTBRAIN INC. COMMON STOCK Computer Software: Programming Data Processing Technology
7207    OBDC 7/18/2019 25 BLUE OWL CAPITAL CORPORATION COMMON STOCK Diversified Financial Services Finance
7208    OBE 4/27/2007 57 OBSIDIAN ENERGY LTD. COMMON SHARES Oil & Gas Production Energy
7209    OBIL 11/15/2022 0.99 US TREASURY 12 MONTH BILL ETF Exchange Traded Fund Financial
7210    OBIO 8/4/2020 1.98 ORCHESTRA BIOMED HOLDINGS INC. ORDINARY SHARES Medicinal Chemicals and Botanical Products Health Care
7211    OBK 5/9/2018 7.09 ORIGIN BANCORP INC. COMMON STOCK Major Banks Finance
7212    OBLG 5/16/2007 10 OBLONG INC. COMMON STOCK Computer Software: Programming Data Processing Technology
7213    OBND 9/28/2021 0.15 SPDR LOOMIS SAYLES OPPORTUNISTIC BOND ETF Exchange Traded Fund Financial
7214    OBOR 9/14/2017 0.74 KRANESHARES MSCI ONE BELT ONE ROAD INDEX ETF Exchange Traded Fund Financial
7215    OBT 8/5/2021 0.54 ORANGE COUNTY BANCORP INC. COMMON STOCK Major Banks Finance
7216    OC 11/1/2006 81 OWENS CORNING INC COMMON STOCK NEW Industrial Machinery/Components Industrials
7217    OCC 5/16/2007 2.78 OPTICAL CABLE CORPORATION COMMON STOCK Telecommunications Equipment Industrials
7218    OCCI 10/5/2018 5.18 OFS CREDIT COMPANY INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7219    OCCIM 10/3/2024 0.04 OFS CREDIT COMPANY INC. 7.875% SERIES F TERM PREFERRED STOCK
7220    OCCIN 12/8/2021 0.15 OFS CREDIT COMPANY INC. 5.25% SERIES E TERM PREFERRED STOCK DUE 2026 Trusts Except Educational Religious and Charitable Finance
7221    OCCIO 4/29/2021 0.18 OFS CREDIT COMPANY INC. 6.125% SERIES C TERM PREFERRED STOCK Trusts Except Educational Religious and Charitable Finance
7222    OCEA 11/8/2021 4.22 OCEAN BIOMEDICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7223    OCEAW 11/5/2021 0.35 OCEAN BIOMEDIACAL INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
7224    OCEN 10/21/2021 0.03 NYLI CLEAN OCEANS ETF Exchange Traded Fund Financial
7225    OCFC 1/2/1998 36 OCEANFIRST FINANCIAL CORP. COMMON STOCK Major Banks Finance
7226    OCFCP 5/8/2020 0.33 OCEANFIRST FINANCIAL CORP. DEPOSITARY SHARES Major Banks Finance
7227    OCFS 5/20/2024 0.03 PROFESSIONALLY MANAGED PORTFOLIOS OTTER CREEK FOCUS STRATEGY E Exchange Traded Fund Financial
7228    OCFT 12/13/2019 10 ONECONNECT FINANCIAL TECHNOLOGY CO. LTD. AMERICAN DEPOSITARY SHARES EACH REPRESENTING THIRTY ORDINARY SHARES Computer Software: Programming Data Processing Technology
7229    OCG 12/15/2020 3.93 ORIENTAL CULTURE HOLDING LTD ORDINARY SHARES Other Consumer Services Consumer Discretionary
7230    OCGN 12/3/2014 40 OCUGEN INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7231    OCIO 6/27/2017 0.26 CLEARSHARES OCIO ETF Exchange Traded Fund Financial
7232    OCS 3/3/2023 0.74 OCULIS HOLDING AG ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7233    OCSAW 3/3/2023 0.13
7234    OCSL 6/12/2008 59 OAKTREE SPECIALTY LENDING CORPORATION COMMON STOCK Finance: Consumer Services Finance
7235    OCTA 8/1/2024 0.02
7236    OCTD 10/2/2023 0.03 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 10 BARRIER ETF - Exchange Traded Fund Financial
7237    OCTH 10/2/2023 0.09 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 20 BARRIER ETF - Exchange Traded Fund Financial
7238    OCTJ 10/2/2023 0.08 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 30 BARRIER ETF - Exchange Traded Fund Financial
7239    OCTO 5/18/2022 5.01 EIGHTCO HOLDINGS INC. COMMON STOCK
7240    OCTP 6/3/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - OCTOBER Exchange Traded Fund Financial
7241    OCTQ 10/2/2023 0.08 INNOVATOR ETFS TRUST INNOVATOR PREMIUM INCOME 40 BARRIER ETF - Exchange Traded Fund Financial
7242    OCTT 10/1/2020 0.43 ALLIANZIM U.S. LARGE CAP BUFFER10 OCT ETF Exchange Traded Fund Financial
7243    OCTW 10/1/2020 0.73 ALLIANZIM U.S. LARGE CAP BUFFER20 OCT ETF Exchange Traded Fund Financial
7244    OCTZ 10/1/2020 0.11 TRUESHARES STRUCTURED OUTCOME (OCTOBER) ETF Exchange Traded Fund Financial
7245    OCUL 7/25/2014 33 OCULAR THERAPEUTIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7246    OCX 1/4/2016 11 ONCOCYTE CORPORATION COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
7247    ODC 1/2/1998 7.51 OIL-DRI CORPORATION OF AMERICA COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
7248    ODD 7/19/2023 5.08 ODDITY TECH LTD. CLASS A ORDINARY SHARES Package Goods/Cosmetics Consumer Discretionary
7249    ODDS 4/11/2022 0.06 PACER BLUESTAR DIGITAL ENTERTAINMENT ETF Exchange Traded Fund Financial
7250    ODFL 1/2/1998 86 OLD DOMINION FREIGHT LINE INC. COMMON STOCK Trucking Freight/Courier Services Industrials
7251    ODP 1/2/1998 106 THE ODP CORPORATION COMMON STOCK Other Specialty Stores Consumer Discretionary
7252    ODV 5/27/2022 2.22 OSISKO DEVELOPMENT CORP. COMMON SHARES Precious Metals Basic Materials
7253    ODVWZ 11/17/2023 0.05
7254    ODYS 4/28/2020 0.12 ODYSIGHT.AI INC. COMMON STOCK Electronic Components Technology
7255    OEC 7/25/2014 31 ORION S.A. COMMON SHARES Major Chemicals Industrials
7256    OEF 10/27/2000 66 ISHARES S&P 100 ETF Exchange Traded Fund Financial
7257    OESX 12/19/2007 18 ORION ENERGY SYSTEMS INC. COMMON STOCK Building Products Consumer Discretionary
7258    OEUR 8/19/2015 1.67 ALPS OSHARES EUROPE QUALITY DIVIDEND ETF Exchange Traded Fund Financial
7259    OFED 1/14/2011 0.41
7260    OFG 1/2/1998 62 OFG BANCORP COMMON STOCK Major Banks Finance
7261    OFIX 2/16/1999 40 ORTHOFIX MEDICAL INC. COMMON STOCK (DE) Medical/Dental Instruments Health Care
7262    OFLX 8/1/2005 4.43 OMEGA FLEX INC. COMMON STOCK Industrial Specialties Industrials
7263    OFOS 1/25/2024 0.06 EXCHANGE TRADED CONCEPTS TRUST RANGE GLOBAL OFFSHORE OIL SERVI Exchange Traded Fund Financial
7264    OFS 11/8/2012 8.87 OFS CAPITAL CORPORATION COMMON STOCK Finance/Investors Services Finance
7265    OFSSH 10/28/2021 0.06
7266    OGE 1/2/1998 101 OGE ENERGY CORP COMMON STOCK Electric Utilities: Central Utilities
7267    OGEN 9/24/2012 21 ORAGENICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7268    OGI 5/21/2019 23 ORGANIGRAM HOLDINGS INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
7269    OGIG 6/5/2018 6.33 ALPS O'SHARES GLOBAL INTERNET GIANTS ETF Exchange Traded Fund Financial
7270    OGN 5/14/2021 18 ORGANON & CO. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7271    OGS 1/16/2014 32 ONE GAS INC. COMMON STOCK Oil/Gas Transmission Utilities
7272    OGSP 4/10/2024 0.01 SPINNAKER ETF SERIES OBRA HIGH GRADE STRUCTURED PRODUCTS ETF Exchange Traded Fund Financial
7273    OHI 1/2/1998 98 OMEGA HEALTHCARE INVESTORS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7274    OI 1/2/1998 101 O-I GLASS INC. COMMON STOCK Containers/Packaging Consumer Discretionary
7275    OIA 1/2/1998 15 INVESCO MUNICIPAL INCOME OPPORTUNITIES TRUST COMMON STOCK Finance Companies Finance
7276    OIH 2/26/2001 104 VANECK OIL SERVICES ETF Exchange Traded Fund Financial
7277    OII 1/2/1998 92 OCEANEERING INTERNATIONAL INC. COMMON STOCK Oilfield Services/Equipment Energy
7278    OILD 3/27/2017 13 MICROSECTORS OIL & GAS EXP. & PROD. -3X INVERSE LEVERAGED ETN Exchange Traded Fund Financial
7279    OILK 9/28/2016 4.42 PROSHARES K-1 FREE CRUDE OIL ETF Exchange Traded Fund Financial
7280    OILT 3/14/2024 0.04 TEXAS CAPITAL FUNDS TRUST TEXAS CAPITAL TEXAS OIL INDEX ETF Exchange Traded Fund Financial
7281    OILU 7/1/2016 15 MICROSECTORS OIL & GAS EXP. & PROD. 3X LEVERAGED ETN Exchange Traded Fund Financial
7282    OIS 2/9/2001 83 OIL STATES INTERNATIONAL INC. COMMON STOCK Metal Fabrications Industrials
7283    OKE 1/2/1998 110 ONEOK INC. COMMON STOCK Oil & Gas Production Utilities
7284    OKLO 7/8/2021 7.31 OKLO INC. CLASS A COMMON STOCK Electric Utilities: Central Utilities
7285    OKTA 4/7/2017 37 OKTA INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
7286    OKUR 4/9/2021 3.64 ONKURE THERAPEUTICS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7287    OKYO 5/17/2022 1.49 OKYO PHARMA LIMITED ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7288    OLB 8/7/2020 4.05 THE OLB GROUP INC. COMMON STOCK Business Services Consumer Discretionary
7289    OLED 1/2/1998 82 UNIVERSAL DISPLAY CORPORATION COMMON STOCK Electrical Products Technology
7290    OLLI 7/16/2015 37 OLLIE'S BARGAIN OUTLET HOLDINGS INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
7291    OLMA 11/19/2020 11 OLEMA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7292    OLN 1/2/1998 108 OLIN CORPORATION COMMON STOCK Major Chemicals Industrials
7293    OLO 6/19/2008 16 OLO INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
7294    OLP 1/15/2004 21 ONE LIBERTY PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7295    OLPX 9/30/2021 14 OLAPLEX HOLDINGS INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
7296    OM 9/15/2020 14 OUTSET MEDICAL INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7297    OMAB 11/29/2006 22 GRUPO AEROPORTUARIO DEL CENTRO NORTE S.A.B. DE C.V. ADS Aerospace Consumer Discretionary
7298    OMC 1/2/1998 121 OMNICOM GROUP INC. COMMON STOCK Advertising Consumer Discretionary
7299    OMCC 5/16/2007 4.74 OLD MARKET CAPITAL CORPORATION COMMON STOCK Finance Companies Finance
7300    OMCL 8/9/2001 59 OMNICELL INC. COMMON STOCK ($0.001 PAR VALUE) Computer Manufacturing Technology
7301    OMER 10/8/2009 40 OMEROS CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7302    OMEX 7/10/2007 27 ODYSSEY MARINE EXPLORATION INC. COMMON STOCK Marine Transportation Consumer Discretionary
7303    OMF 10/16/2013 46 ONEMAIN HOLDINGS INC. COMMON STOCK Finance: Consumer Services Finance
7304    OMFL 11/10/2017 11 INVESCO EXCHANGE-TRADED SELF-INDEXED FUND TRUST INVESCO RUSSEL Exchange Traded Fund Financial
7305    OMFS 11/10/2017 2.11 INVESCO EXCHANGE-TRADED SELF-INDEXED FUND TRUST INVESCO RUSSEL Exchange Traded Fund Financial
7306    OMGA 4/17/2008 5.73
7307    OMH 3/21/2023 2.29 OHMYHOME LIMITED ORDINARY SHARES Real Estate Finance
7308    OMI 1/2/1998 83 OWENS & MINOR INC. COMMON STOCK Medical Specialities Health Care
7309    OMIC 5/27/2021 5.34
7310    OMQS 9/11/2008 1.64
7311    ON 5/2/2000 98 ON SEMICONDUCTOR CORPORATION COMMON STOCK Semiconductors Technology
7312    ONB 5/10/2002 86 OLD NATIONAL BANCORP COMMON STOCK Major Banks Finance
7313    ONBPO 2/16/2022 0.48 OLD NATIONAL BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF SERIES C PREFERRED STOCK Major Banks Finance
7314    ONBPP 2/16/2022 0.45 OLD NATIONAL BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF SERIES A PREFERRED STOCK Major Banks Finance
7315    ONC 2/3/2016 23 BEIGENE LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7316    ONCO 2/18/2022 5.95 ONCONETIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7317    ONCY 10/5/2001 24 ONCOLYTICS BIOTECH INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
7318    OND 10/29/2021 0.06 PROSHARES ON-DEMAND ETF Exchange Traded Fund Financial
7319    ONDS 12/4/2020 11 ONDAS HOLDINGS INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
7320    ONEG 12/31/2024 0.06 ONECONSTRUCTION GROUP LIMITED ORDINARY SHARES Homebuilding Consumer Discretionary
7321    ONEO 12/3/2015 0.68 SPDR RUSSELL 1000 MOMENTUM FOCUS ETF Exchange Traded Fund Financial
7322    ONEQ 10/1/2003 23 FIDELITY NASDAQ COMPOSITE INDEX ETF Exchange Traded Fund Financial
7323    ONEV 12/3/2015 1.26 SPDR RUSSELL 1000 LOW VOLATILITY FOCUS ETF Exchange Traded Fund Financial
7324    ONEW 2/7/2020 6.22 ONEWATER MARINE INC. CLASS A COMMON STOCK Auto & Home Supply Stores Consumer Discretionary
7325    ONEY 12/3/2015 1.96 SPDR RUSSELL 1000 YIELD FOCUS ETF Exchange Traded Fund Financial
7326    ONFO 8/26/2022 1.27 ONFOLIO HOLDINGS INC. COMMON STOCK EDP Services Technology
7327    ONFOW 8/26/2022 0.13
7328    ONIT 4/30/2007 51 ONITY GROUP INC. COMMON STOCK Finance: Consumer Services Finance
7329    ONL 11/23/2021 11 ORION OFFICE REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7330    ONLN 10/18/2018 4.91 PROSHARES ONLINE RETAIL ETF Exchange Traded Fund Financial
7331    ONMD 6/24/2021 2.12 ONEMEDNET CORP CLASS A COMMON STOCK Biotechnology: Commercial Physical & Biological Resarch Health Care
7332    ONMDW 6/24/2021 0.34 ONEMEDNET CORP WARRANT Biotechnology: Commercial Physical & Biological Resarch Health Care
7333    ONOF 1/13/2021 0.45 GLOBAL X ADAPTIVE U.S. RISK MANAGEMENT ETF Exchange Traded Fund Financial
7334    ONON 9/15/2021 16 ON HOLDING AG CLASS A ORDINARY SHARES Shoe Manufacturing Consumer Discretionary
7335    ONTF 2/3/2021 11 ON24 INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7336    ONTO 5/7/2007 41 ONTO INNOVATION INC. COMMON STOCK Industrial Machinery/Components Industrials
7337    ONVO 2/14/2012 29 ORGANOVO HOLDINGS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7338    OOMA 7/17/2015 12 OOMA INC. COMMON STOCK EDP Services Technology
7339    OOSP 4/10/2024 0.01 SPINNAKER ETF SERIES OBRA OPPORTUNISTIC STRUCTURED PRODUCTS ET Exchange Traded Fund Financial
7340    OOTO 6/10/2021 2.42 DIREXION DAILY TRAVEL & VACATION BULL 2X SHARES Exchange Traded Fund Financial
7341    OP 11/30/2021 4.77 OCEANPAL INC. COMMON STOCK Marine Transportation Consumer Discretionary
7342    OPAD 12/11/2020 8.65 OFFERPAD SOLUTIONS INC. CLASS A COMMON STOCK Real Estate Finance
7343    OPAL 5/24/2021 2.58 OPAL FUELS INC. CLASS A COMMON STOCK Natural Gas Distribution Utilities
7344    OPBK 4/26/2013 3.99 OP BANCORP COMMON STOCK Major Banks Finance
7345    OPCH 4/27/2007 56 OPTION CARE HEALTH INC. COMMON STOCK Medical/Nursing Services Health Care
7346    OPEN 5/22/2009 43 OPENDOOR TECHNOLOGIES INC COMMON STOCK Real Estate Finance
7347    OPER 7/11/2018 0.66 ETF SERIES SOLUTIONS ETF CLEARSHARES ULTRA-SHORT MATURITY ETF Exchange Traded Fund Financial
7348    OPFI 11/20/2020 8.16 OPPFI INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
7349    OPGN 5/5/2015 15
7350    OPHC 5/16/2005 2.43 OPTIMUMBANK HOLDINGS INC. COMMON STOCK Major Banks Finance
7351    OPI 6/4/2009 54 OFFICE PROPERTIES INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST Real Estate Finance
7352    OPINL 6/24/2020 1.65 OFFICE PROPERTIES INCOME TRUST 6.375% SENIOR NOTES DUE 2050 Real Estate Finance
7353    OPK 6/13/2007 66 OPKO HEALTH INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7354    OPOF 11/1/2006 1.7 OLD POINT FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
7355    OPP 9/28/2016 8.69 RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND INC. COMMON STOCK Finance/Investors Services Finance
7356    OPP.A 10/27/2020 0.69 RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND INC. 4.375% SERIES A CUMULATIVE PREFERRED STOCK
7357    OPP.B 11/26/2021 0.33 RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND INC. 4.75% SERIES B CUMULATIVE PREFERRED STOCK
7358    OPP.C 12/5/2024 0.02 RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND INC. 6.00% SERIES C TERM PREFERRED STOCK (LIQUIDATION PREFERENCE $10.00 PER SHARE)
7359    OPRA 7/27/2018 16 OPERA LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
7360    OPRT 9/26/2019 8.36 OPORTUN FINANCIAL CORPORATION COMMON STOCK Finance: Consumer Services Finance
7361    OPRX 4/30/2008 11 OPTIMIZERX CORPORATION COMMON STOCK Business Services Consumer Discretionary
7362    OPT 10/16/2020 0.8 OPTHEA LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7363    OPTN 10/13/2017 14 OPTINOSE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7364    OPTT 4/25/2007 33 OCEAN POWER TECHNOLOGIES INC. COMMON STOCK Electric Utilities: Central Utilities
7365    OPTX 1/26/2022 1.15 SYNTEC OPTICS HOLDINGS INC. CLASS A COMMON STOCK Electronic Components Technology
7366    OPTXW 1/25/2022 0.24 SYNTEC OPTICS HOLDINGS INC. WARRANT Electronic Components Technology
7367    OPTZ 4/23/2024 0.08 OPTIMIZE STRATEGY INDEX ETF Exchange Traded Fund Financial
7368    OPXS 5/4/2009 1.63 OPTEX SYSTEMS HOLDINGS INC. COMMON STOCK Electronic Components Technology
7369    OPY 9/2/2003 21 OPPENHEIMER HOLDINGS INC. CLASS A COMMON STOCK (DE) Investment Bankers/Brokers/Service Finance
7370    OR 7/6/2016 34 OSISKO GOLD ROYALTIES LTD COMMON SHARES Precious Metals Basic Materials
7371    ORA 11/11/2004 55 ORMAT TECHNOLOGIES INC. COMMON STOCK Electric Utilities: Central Utilities
7372    ORC 2/14/2013 44 ORCHID ISLAND CAPITAL INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7373    ORCL 1/2/1998 150 ORACLE CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
7374    ORGN 9/4/2020 17 ORIGIN MATERIALS INC. COMMON STOCK Major Chemicals Industrials
7375    ORGNW 9/4/2020 2.4 ORIGIN MATERIALS INC. WARRANTS Major Chemicals Industrials
7376    ORGO 1/5/2017 16 ORGANOGENESIS HOLDINGS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7377    ORGS 3/13/2012 4.26
7378    ORI 1/2/1998 108 OLD REPUBLIC INTERNATIONAL CORPORATION COMMON STOCK Property-Casualty Insurers Finance
7379    ORIC 4/24/2020 10 ORIC PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7380    ORIS 10/17/2024 0.92 ORIENTAL RISE HOLDINGS LIMITED ORDINARY SHARES Farming/Seeds/Milling Consumer Staples
7381    ORKA 1/28/2009 16 ORUKA THERAPEUTICS INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
7382    ORKT 7/25/2024 1.22 ORANGEKLOUD TECHNOLOGY INC. CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
7383    ORLA 12/22/2020 8.18 ORLA MINING LTD. COMMON SHARES Precious Metals Basic Materials
7384    ORLY 1/2/1998 94 O'REILLY AUTOMOTIVE INC. COMMON STOCK Auto & Home Supply Stores Consumer Discretionary
7385    ORMP 5/16/2007 17 ORAMED PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7386    ORN 5/14/2009 28 ORION GROUP HOLDINGS INC. COMMON Military/Government/Technical Industrials
7387    ORRF 10/5/2005 6.89 ORRSTOWN FINANCIAL SERVICES INC. COMMON STOCK Major Banks Finance
7388    OS 7/24/2024 2.21 ONESTREAM INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
7389    OSBC 1/2/1998 25 OLD SECOND BANCORP INC. COMMON STOCK Major Banks Finance
7390    OSCR 3/3/2021 17 OSCAR HEALTH INC. CLASS A COMMON STOCK Medical Specialities Health Care
7391    OSCV 7/18/2018 1.76 OPUS SMALL CAP VALUE ETF Exchange Traded Fund Financial
7392    OSEA 9/8/2022 0.53 HARBOR ETF TRUST HARBOR INTERNATIONAL COMPOUNDERS ETF Exchange Traded Fund Financial
7393    OSIS 1/2/1998 50 OSI SYSTEMS INC. COMMON STOCK (DE) Semiconductors Technology
7394    OSK 7/12/2002 91 OSHKOSH CORPORATION (HOLDING COMPANY)COMMON STOCK Auto Manufacturing Consumer Discretionary
7395    OSPN 5/3/2007 51 ONESPAN INC. COMMON STOCK EDP Services Technology
7396    OSRH 3/17/2023 0.27 OSR HOLDINGS INC. COMMON STOCK
7397    OSRHW 3/17/2023 0.06 OSR HOLDINGS INC. WARRANT
7398    OSS 2/1/2018 5.36 ONE STOP SYSTEMS INC. COMMON STOCK Computer Manufacturing Technology
7399    OST 4/27/2022 2.06 OSTIN TECHNOLOGY GROUP CO. LTD. CLASS A ORDINARY SHARES Industrial Machinery/Components Technology
7400    OSTX 8/1/2024 0.69 OS THERAPIES INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7401    OSUR 10/2/2000 66 ORASURE TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
7402    OSW 11/17/2017 19 ONESPAWORLD HOLDINGS LIMITED COMMON SHARES Hotels/Resorts Consumer Discretionary
7403    OTEX 2/19/1999 87 OPEN TEXT CORPORATION COMMON SHARES EDP Services Technology
7404    OTIS 3/19/2020 23 OTIS WORLDWIDE CORPORATION COMMON STOCK Consumer Electronics/Appliances Technology
7405    OTLK 6/14/2016 18 OUTLOOK THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7406    OTLY 5/20/2021 15 OATLY GROUP AB AMERICAN DEPOSITARY SHARES Packaged Foods Consumer Staples
7407    OTRK 4/26/2017 14 ONTRAK INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
7408    OTRKP 8/28/2020 1.06
7409    OTTR 1/2/1998 46 OTTER TAIL CORPORATION COMMON STOCK Electric Utilities: Central Utilities
7410    OTTW 5/16/2007 0.38
7411    OUNZ 5/16/2014 14 VANECK MERK GOLD ETF Exchange Traded Fund Financial
7412    OUSA 7/14/2015 8.28 ALPS O'SHARES U.S. QUALITY DIVIDEND ETF Exchange Traded Fund Financial
7413    OUSM 12/30/2016 4.17 ALPS O'SHARES U.S. SMALL-CAP QUALITY DIVIDEND ETF Exchange Traded Fund Financial
7414    OUST 10/9/2020 16 OUSTER INC. COMMON STOCK Industrial Machinery/Components Industrials
7415    OUSTW 12/23/2024 0.04 OUSTER INC. WARRANTS Industrial Machinery/Components Industrials
7416    OUSTZ 12/23/2024 0.02 OUSTER INC. WARRANTS Industrial Machinery/Components Industrials
7417    OUT 3/28/2014 49 OUTFRONT MEDIA INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7418    OVB 10/1/2019 0.62 OVERLAY SHARES CORE BOND ETF Exchange Traded Fund Financial
7419    OVBC 5/13/2005 1.74 OHIO VALLEY BANC CORP. COMMON STOCK Major Banks Finance
7420    OVF 10/1/2019 0.26 OVERLAY SHARES FOREIGN EQUITY ETF Exchange Traded Fund Financial
7421    OVID 5/5/2017 14 OVID THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7422    OVL 10/1/2019 0.78 OVERLAY SHARES LARGE CAP EQUITY ETF Exchange Traded Fund Financial
7423    OVLH 1/15/2021 0.24 OVERLAY SHARES HEDGED LARGE CAP EQUITY ETF Exchange Traded Fund Financial
7424    OVLY 8/18/2008 1.85 OAK VALLEY BANCORP (CA) COMMON STOCK Major Banks Finance
7425    OVM 10/1/2019 0.29 OVERLAY SHARES MUNICIPAL BOND ETF Exchange Traded Fund Financial
7426    OVS 10/1/2019 0.2 OVERLAY SHARES SMALL CAP EQUITY ETF Exchange Traded Fund Financial
7427    OVT 1/15/2021 0.3 OVERLAY SHARES SHORT TERM BOND ETF Exchange Traded Fund Financial
7428    OVV 4/27/2007 88 OVINTIV INC. (DE) Oil & Gas Production Energy
7429    OWL 12/14/2020 20 BLUE OWL CAPITAL INC. CLASS A COMMON STOCK Investment Managers Finance
7430    OWLT 7/16/2021 5.06 OWLET INC. CLASS A COMMON STOCK Industrial Machinery/Components Industrials
7431    OWNS 7/27/2021 0.33 QUAKER INVESTMENT TRUST CCM AFFORDABLE HOUSING MBS ETF Exchange Traded Fund Financial
7432    OXBR 3/27/2014 4.95 OXBRIDGE RE HOLDINGS LIMITED ORDINARY SHARES Property-Casualty Insurers Finance
7433    OXBRW 5/9/2014 0.77 OXBRIDGE RE HOLDINGS LIMITED WARRANT EXPIRING 3/26/2029 Property-Casualty Insurers Finance
7434    OXLC 1/21/2011 32 OXFORD LANE CAPITAL CORP. COMMON STOCK Investment Managers Finance
7435    OXLCG 2/28/2025 0.05 OXFORD LANE CAPITAL CORP. 7.95% NOTES DUE 2032 Investment Managers Finance
7436    OXLCI 7/9/2024 0.24 OXFORD LANE CAPITAL CORP. 8.75% NOTES DUE 2030
7437    OXLCL 3/18/2021 0.48 OXFORD LANE CAPITAL CORP. 6.75% NOTES DUE 2031 Finance Companies Finance
7438    OXLCN 6/2/2014 0.6 OXFORD LANE CAPITAL CORP. 7.125% SERIES 2029 TERM PREFERRED STOCK Investment Managers Finance
7439    OXLCO 8/18/2021 0.24 OXFORD LANE CAPITAL CORP. PREFERRED STOCK SHARES 6.00% SERIES 2029 Investment Managers Finance
7440    OXLCP 2/21/2020 0.77 OXFORD LANE CAPITAL CORP. 6.25% SERIES 2027 TERM PREFERRED SHARES Investment Managers Finance
7441    OXLCZ 1/14/2022 0.27 OXFORD LANE CAPITAL CORP. 5.00% NOTES DUE 2027 Finance Companies Finance
7442    OXM 1/2/1998 53 OXFORD INDUSTRIES INC. COMMON STOCK Apparel Consumer Discretionary
7443    OXSQ 5/8/2007 43 OXFORD SQUARE CAPITAL CORP. COMMON STOCK Blank Checks Finance
7444    OXSQG 5/21/2021 0.14 OXFORD SQUARE CAPITAL CORP. 5.50% NOTES DUE 2028 Other Consumer Services Consumer Discretionary
7445    OXSQZ 4/4/2019 0.27 OXFORD SQUARE CAPITAL CORP. 6.25% NOTES DUE 2026 Blank Checks Finance
7446    OXY 1/2/1998 137 OCCIDENTAL PETROLEUM CORPORATION COMMON STOCK Oil & Gas Production Energy
7447    OZ 10/18/2021 0.66 BELPOINTE PREP LLC CLASS A UNITS Real Estate Investment Trusts Real Estate
7448    OZEM 5/21/2024 0.48 ROUNDHILL GLP-1 & WEIGHT LOSS ETF Exchange Traded Fund Financial
7449    OZK 5/10/2007 64 BANK OZK COMMON STOCK Major Banks Finance
7450    OZKAP 11/5/2021 2.29 BANK OZK 4.625% SERIES A NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
7451    PAA 11/18/1998 95 PLAINS ALL AMERICAN PIPELINE L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Energy
7452    PAAA 8/7/2023 1.65 PGIM ETF TRUST PGIM AAA CLO ETF Exchange Traded Fund Financial
7453    PAAS 3/1/1999 111 PAN AMERICAN SILVER CORP. COMMON STOCK Precious Metals Basic Materials
7454    PAB 4/15/2021 0.06 PGIM ACTIVE AGGREGATE BOND ETF Exchange Traded Fund Financial
7455    PABD 1/19/2024 0.02 ISHARES PARIS-ALIGNED CLIMATE MSCI WORLD EX USA ETF Exchange Traded Fund Financial
7456    PABU 4/20/2022 0.45 ISHARES PARIS-ALIGNED CLIMATE MSCI USA ETF Exchange Traded Fund Financial
7457    PAC 2/27/2006 36 GRUPO AEROPORTUARIO DEL PACIFICO S.A. B. DE C.V. GRUPO AEROPORTUARIO DEL PACIFICO S.A. DE C.V. (EACH REPRESENTING 10 SERIES B SHARES) Aerospace Consumer Discretionary
7458    PACB 10/27/2010 52 PACIFIC BIOSCIENCES OF CALIFORNIA INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
7459    PACK 3/5/2018 13 RANPAK HOLDINGS CORP CLASS A COMMON STOCK Containers/Packaging Consumer Discretionary
7460    PACS 4/11/2024 2.72 PACS GROUP INC. COMMON STOCK Hospital/Nursing Management Health Care
7461    PAG 7/2/2007 64 PENSKE AUTOMOTIVE GROUP INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
7462    PAGP 10/16/2013 49 PLAINS GP HOLDINGS L.P. CLASS A UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Energy
7463    PAGS 1/24/2018 31 PAGSEGURO DIGITAL LTD. CLASS A COMMON SHARES EDP Services Technology
7464    PAHC 4/11/2014 21 PHIBRO ANIMAL HEALTH CORPORATION CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7465    PAI 1/2/1998 9.75 WESTERN ASSET INVESTMENT GRADE INCOME FUND INC. Trusts Except Educational Religious and Charitable Finance
7466    PAL 10/16/2000 37 PROFICIENT AUTO LOGISTICS INC. COMMON STOCK Transportation Services Consumer Discretionary
7467    PALC 6/25/2020 1.99 PACER LUNT LARGE CAP MULTI-FACTOR ALTERNATOR ETF Exchange Traded Fund Financial
7468    PALI 4/28/2021 6.82 PALISADE BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7469    PALL 1/14/2010 16 ABRDN PHYSICAL PALLADIUM SHARES ETF Exchange Traded Fund Financial
7470    PAM 10/9/2009 29 PAMPA ENERGIA S.A. Electric Utilities: Central Utilities
7471    PAMC 6/25/2020 0.59 PACER LUNT MIDCAP MULTI-FACTOR ALTERNATOR ETF Exchange Traded Fund Financial
7472    PAMT 11/15/2010 6.29 PAMT CORP COMMON STOCK Trucking Freight/Courier Services Industrials
7473    PANL 1/23/2014 10 PANGAEA LOGISTICS SOLUTIONS LTD. COMMON SHARES Marine Transportation Consumer Discretionary
7474    PANW 7/20/2012 61 PALO ALTO NETWORKS INC. COMMON STOCK Computer peripheral equipment Technology
7475    PAPI 10/19/2023 0.43 MORGAN STANLEY ETF TRUST PARAMETRIC EQUITY PREMIUM INCOME ETF Exchange Traded Fund Financial
7476    PAPL 11/1/2023 1.11 PINEAPPLE FINANCIAL INC. COMMON STOCK Finance: Consumer Services Finance
7477    PAPR 4/1/2019 2.23 INNOVATOR U.S. EQUITY POWER BUFFER ETF - APRIL Exchange Traded Fund Financial
7478    PAR 11/16/2007 26 PAR TECHNOLOGY CORPORATION COMMON STOCK Office Equipment/Supplies/Services Miscellaneous
7479    PARA 4/30/2007 93 PARAMOUNT GLOBAL CLASS B COMMON STOCK Broadcasting Industrials
7480    PARAA 12/5/2019 7.02 PARAMOUNT GLOBAL CLASS A COMMON STOCK Broadcasting Industrials
7481    PARR 9/5/2012 30 PAR PACIFIC HOLDINGS INC. COMMON STOCK Oil & Gas Production Energy
7482    PASG 2/28/2020 9.2 PASSAGE BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7483    PATH 8/6/2010 25 UIPATH INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
7484    PATK 2/5/2002 27 PATRICK INDUSTRIES INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
7485    PATN 9/17/2024 0.01 PACER NASDAQ INTERNATIONAL PATENT LEADERS ETF Exchange Traded Fund Financial
7486    PAUG 8/1/2019 2.4 INNOVATOR U.S. EQUITY POWER BUFFER ETF - AUGUST Exchange Traded Fund Financial
7487    PAVE 3/8/2017 21 GLOBAL X FUNDS GLOBAL X U.S. INFRASTRUCTURE DEVELOPMENT ETF Exchange Traded Fund Financial
7488    PAVM 7/28/2016 15 PAVMED INC. COMMON STOCK Medical/Dental Instruments Health Care
7489    PAVMZ 4/10/2018 0.88 PAVMED INC. SERIES Z WARRANT Medical/Dental Instruments Health Care
7490    PAVS 10/25/2019 4.93 PARANOVUS ENTERTAINMENT TECHNOLOGY LTD. CLASS A ORDINARY SHARES Medicinal Chemicals and Botanical Products Health Care
7491    PAWZ 11/9/2018 2.48 PROSHARES PET CARE ETF Exchange Traded Fund Financial
7492    PAX 1/22/2021 11 PATRIA INVESTMENTS LIMITED CLASS A COMMON SHARES Investment Managers Finance
7493    PAXS 1/27/2022 5.72 PIMCO ACCESS INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
7494    PAY 4/29/2005 62 PAYMENTUS HOLDINGS INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
7495    PAYC 4/15/2014 40 PAYCOM SOFTWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7496    PAYO 6/28/2021 15 PAYONEER GLOBAL INC. COMMON STOCK Business Services Consumer Discretionary
7497    PAYS 5/18/2007 13 PAYSIGN INC. COMMON STOCK Business Services Consumer Discretionary
7498    PAYX 1/2/1998 132 PAYCHEX INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
7499    PB 11/12/1998 74 PROSPERITY BANCSHARES INC. COMMON STOCK Major Banks Finance
7500    PBA 4/2/2012 52 PEMBINA PIPELINE CORP. ORDINARY SHARES (CANADA) Oil & Gas Production Energy
7501    PBAP 4/1/2024 0.02 PGIM S&P 500 BUFFER 20 ETF - APRIL Exchange Traded Fund Financial
7502    PBAU 6/11/2024 0.01 PGIM S&P 500 BUFFER 20 ETF - AUGUST Exchange Traded Fund Financial
7503    PBBK 7/15/2021 0.2 PB BANKSHARES INC. COMMON STOCK Banks Finance
7504    PBD 6/13/2007 10 INVESCO GLOBAL CLEAN ENERGY ETF Exchange Traded Fund Financial
7505    PBDC 9/30/2022 1.01 PUTNAM ETF TRUST PUTNAM BDC INCOME ETF Exchange Traded Fund Financial
7506    PBDE 6/7/2024 0.02 PGIM S&P 500 BUFFER 20 ETF - DECEMBER Exchange Traded Fund Financial
7507    PBE 6/23/2005 15 INVESCO BIOTECHNOLOGY & GENOME ETF Exchange Traded Fund Financial
7508    PBF 12/13/2012 59 PBF ENERGY INC. CLASS A COMMON STOCK Integrated oil Companies Energy
7509    PBFB 2/1/2024 0.02 PGIM S&P 500 BUFFER 20 ETF - FEBRUARY Exchange Traded Fund Financial
7510    PBFR 6/14/2024 0.06 PGIM LADDERED S&P 500 BUFFER 20 ETF Exchange Traded Fund Financial
7511    PBFS 7/18/2019 1.5 PIONEER BANCORP INC. COMMON STOCK Banks Finance
7512    PBH 2/10/2005 56 PRESTIGE CONSUMER HEALTHCARE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7513    PBHC 8/29/2005 0.74 PATHFINDER BANCORP INC. COMMON STOCK (MD) Major Banks Finance
7514    PBI 1/2/1998 122 PITNEY BOWES INC. COMMON STOCK Office Equipment/Supplies/Services Miscellaneous
7515    PBI.B 3/15/2013 6.83 PITNEY BOWES INC 6.70% NOTES DUE 2043
7516    PBIO 9/16/2004 2.1
7517    PBJ 6/23/2005 9.63 INVESCO FOOD & BEVERAGE ETF Exchange Traded Fund Financial
7518    PBJA 1/2/2024 0.02 PGIM S&P 500 BUFFER 20 ETF - JANUARY Exchange Traded Fund Financial
7519    PBJL 6/11/2024 0.02 PGIM S&P 500 BUFFER 20 ETF - JULY Exchange Traded Fund Financial
7520    PBJN 6/3/2024 0.01 PGIM S&P 500 BUFFER 20 ETF - JUNE Exchange Traded Fund Financial
7521    PBL 11/1/2023 0.03 PGIM ETF TRUST PGIM PORTFOLIO BALLAST ETF Exchange Traded Fund Financial
7522    PBLA 1/3/2017 5.47
7523    PBM 1/26/2024 2.89 PSYENCE BIOMEDICAL LTD. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
7524    PBMR 3/1/2024 0.02 PGIM S&P 500 BUFFER 20 ETF - MARCH Exchange Traded Fund Financial
7525    PBMWW 1/26/2024 0.22 PSYENCE BIOMEDICAL LTD. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
7526    PBMY 5/1/2024 0.01 PGIM S&P 500 BUFFER 20 ETF - MAY Exchange Traded Fund Financial
7527    PBNC 2/11/2015 0.42
7528    PBNV 5/29/2024 0.01 PGIM S&P 500 BUFFER 20 ETF - NOVEMBER Exchange Traded Fund Financial
7529    PBOC 6/11/2024 0.01 PGIM S&P 500 BUFFER 20 ETF - OCTOBER Exchange Traded Fund Financial
7530    PBP 12/27/2007 13 INVESCO S&P 500 BUYWRITE ETF Exchange Traded Fund Financial
7531    PBPB 10/4/2013 24 POTBELLY CORPORATION COMMON STOCK Restaurants Consumer Discretionary
7532    PBR 8/10/2000 126 PETROLEO BRASILEIRO S.A.- PETROBRAS COMMON STOCK Oil & Gas Production Energy
7533    PBR.A 2/22/2001 104
7534    PBSE 6/11/2024 0.01 PGIM S&P 500 BUFFER 20 ETF - SEPTEMBER Exchange Traded Fund Financial
7535    PBT 1/2/1998 41 PERMIAN BASIN ROYALTY TRUST COMMON STOCK Oil & Gas Production Energy
7536    PBTP 9/25/2017 1.22 INVESCO 0-5 YR US TIPS ETF Exchange Traded Fund Financial
7537    PBUS 9/25/2017 1.72 INVESCO MSCI USA ETF Exchange Traded Fund Financial
7538    PBW 3/3/2005 43 INVESCO WILDERHILL CLEAN ENERGY ETF Exchange Traded Fund Financial
7539    PBYI 4/24/2012 38 PUMA BIOTECHNOLOGY INC COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7540    PC 10/1/2008 14 PREMIUM CATERING (HOLDINGS) LIMITED ORDINARY SHARES Restaurants Consumer Discretionary
7541    PCAR 1/2/1998 124 PACCAR INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
7542    PCB 8/10/2018 4 PCB BANCORP COMMON STOCK Major Banks Finance
7543    PCCE 3/15/2024 0.02 LITMAN GREGORY FUNDS TRUST POLEN CAPITAL CHINA GROWTH ETF Exchange Traded Fund Financial
7544    PCEF 2/19/2010 21 INVESCO CEF INCOME COMPOSITE ETF Exchange Traded Fund Financial
7545    PCEM 9/12/2024 0.01 LITMAN GREGORY FUNDS TRUST POLEN CAPITAL EMERGING MARKETS EX C Exchange Traded Fund Financial
7546    PCF 1/2/1998 16 HIGH INCOME SECURITIES FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7547    PCG 1/2/1998 127 PACIFIC GAS & ELECTRIC CO. COMMON STOCK Power Generation Utilities
7548    PCG.A 5/16/2007 1.68 PACIFIC GAS & ELECTRIC CO. 6% PREFERRED STOCK
7549    PCG.B 5/16/2007 0.65 PACIFIC GAS & ELECTRIC CO. 5 1/2% PREFERRED STOCK
7550    PCG.C 5/17/2007 0.35 PACIFIC GAS & ELECTRIC CO. 5% 1ST PREFERRED STOCK
7551    PCG.D 5/21/2007 0.81 PACIFIC GAS & ELECTRIC CO. 5% 1ST RED. PREFERRED STOCK
7552    PCG.E 5/17/2007 0.44 PACIFIC GAS & ELECTRIC CO. 5% 1ST A PREFERRED STOCK
7553    PCG.G 5/18/2007 0.4 PACIFIC GAS & ELECTRIC CO. 4.80% 1ST PREFERRED STOCK
7554    PCG.H 5/16/2007 0.43 PACIFIC GAS & ELECTRIC CO. 4.50% 1ST PREFERRED STOCK
7555    PCG.I 5/16/2007 0.31
7556    PCG.X 12/9/2024 0.12 PG&E CORP 6.000% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK
7557    PCGG 8/30/2023 0.25 LITMAN GREGORY FUNDS TRUST POLEN CAPITAL GLOBAL GROWTH ETF Exchange Traded Fund Financial
7558    PCH 1/2/1998 83 POTLATCHDELTIC CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
7559    PCIG 3/15/2024 0.07 LITMAN GREGORY FUNDS TRUST POLEN CAPITAL INTERNATIONAL GROWTH Exchange Traded Fund Financial
7560    PCK 6/26/2002 15 PIMCO CALIFORNIA MUNICIPAL INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
7561    PCLA 1/16/2025 0.42 PICOCELA INC. AMERICAN DEPOSITARY SHARES Building Products Consumer Discretionary
7562    PCLO 12/3/2024 0.02 VIRTUS ETF TRUST II VIRTUS SEIX AAA PRIVATE CREDIT CLO ETF Exchange Traded Fund Financial
7563    PCM 1/2/1998 10 PCM FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7564    PCMM 12/3/2024 0.06 BONDBLOXX PRIVATE CREDIT CLO ETF Exchange Traded Fund Financial
7565    PCN 12/19/2001 29 PIMCO CORPORATE & INCOME STRATEGY FUND COMMON STOCK Investment Managers Finance
7566    PCOR 5/20/2021 14 PROCORE TECHNOLOGIES INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7567    PCQ 6/27/2001 12 PIMCO CALIFORNIA MUNICIPAL INCOME FUND COMMON STOCK Investment Managers Finance
7568    PCRB 1/20/2023 0.17 PUTNAM ETF TRUST PUTNAM ESG CORE BOND ETF Exchange Traded Fund Financial
7569    PCRX 2/3/2011 45 PACIRA BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7570    PCSA 10/5/2017 3.23 PROCESSA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7571    PCSC 6/12/2024 0.04 PERCEPTIVE CAPITAL SOLUTIONS CORP CLASS A ORDINARY SHARES
7572    PCT 3/18/2021 16 PURECYCLE TECHNOLOGIES INC. COMMON STOCK Major Chemicals Industrials
7573    PCTTU 3/18/2021 0.1 PURECYCLE TECHNOLOGIES INC. UNIT Major Chemicals Industrials
7574    PCTTW 3/18/2021 0.86 PURECYCLE TECHNOLOGIES INC. WARRANT Major Chemicals Industrials
7575    PCTY 3/19/2014 31 PAYLOCITY HOLDING CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
7576    PCVX 6/12/2020 13 VAXCYTE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7577    PCY 10/11/2007 60 INVESCO EMERGING MARKETS SOVEREIGN DEBT ETF Exchange Traded Fund Financial
7578    PCYO 6/22/2004 9.79 PURE CYCLE CORPORATION COMMON STOCK Water Supply Utilities
7579    PD 4/11/2019 24 PAGERDUTY INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7580    PDBA 8/24/2022 0.39 INVESCO AGRICULTURE COMMODITY STRATEGY NO K-1 ETF Exchange Traded Fund Financial
7581    PDBC 11/7/2014 34 INVESCO OPTIMUM YIELD DIVERSIFIED COMMODITY STRATEGY NO K-1 ET Exchange Traded Fund Financial
7582    PDCC 7/18/2024 0.05 PEARL DIVER CREDIT COMPANY INC. COMMON STOCK
7583    PDCO 1/2/1998 105 PATTERSON COMPANIES INC. COMMON STOCK Medical Specialities Health Care
7584    PDD 5/16/2007 40 PDD HOLDINGS INC. AMERICAN DEPOSITARY SHARES Business Services Consumer Discretionary
7585    PDEC 12/2/2019 1.96 INNOVATOR U.S. EQUITY POWER BUFFER ETF - DECEMBER Exchange Traded Fund Financial
7586    PDEX 9/24/2002 4.07 PRO-DEX INC. COMMON STOCK Medical/Dental Instruments Health Care
7587    PDFS 7/31/2001 36 PDF SOLUTIONS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7588    PDI 5/25/2012 38 PIMCO DYNAMIC INCOME FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
7589    PDLB 10/2/2017 3.33 PONCE FINANCIAL GROUP INC. COMMON STOCK Savings Institutions Finance
7590    PDM 2/10/2010 63 PIEDMONT OFFICE REALTY TRUST INC. CLASS A COMMON STOCK Building operators Real Estate
7591    PDN 9/28/2007 5.79 INVESCO FTSE RAFI DEVELOPED MARKETS EX-U.S. SMALL-MID ETF Exchange Traded Fund Financial
7592    PDO 2/1/2021 13 PIMCO DYNAMIC INCOME OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
7593    PDP 3/1/2007 25 INVESCO DORSEY WRIGHT MOMENTUM ETF Exchange Traded Fund Financial
7594    PDPA 12/20/2024 0.02 PEARL DIVER CREDIT COMPANY INC. 8.00% SERIES A PREFERRED STOCK DUE 2029
7595    PDS 1/2/1998 81 PRECISION DRILLING CORPORATION COMMON STOCK Oil & Gas Production Energy
7596    PDSB 10/1/2015 18 PDS BIOTECHNOLOGY CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7597    PDT 1/2/1998 26 JOHN HANCOCK PREMIUM DIVIDEND FUND Finance Companies Finance
7598    PDX 1/30/2019 9.52 PIMCO DYNAMIC INCOME STRATEGY FUND COMMON SHARES OF BENEFICIAL INTEREST Finance/Investors Services Finance
7599    PDYN 3/8/2021 8.51 PALLADYNE AI CORP. COMMON STOCK Computer Software: Prepackaged Software Technology
7600    PDYNW 3/8/2021 1.03 PALLADYNE AI CORP WARRANTS Computer Software: Prepackaged Software Technology
7601    PEB 12/9/2009 61 PEBBLEBROOK HOTEL TRUST COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
7602    PEB.E 12/4/2018 0.88 PEBBLEBROOK HOTEL TRUST 6.375% SERIES E CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7603    PEB.F 12/3/2018 1.01 PEBBLEBROOK HOTEL TRUST 6.3% SERIES F CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7604    PEB.G 5/14/2021 0.89 PEBBLEBROOK HOTEL TRUST 6.375% SERIES G CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7605    PEB.H 7/30/2021 0.73 PEBBLEBROOK HOTEL TRUST 5.700% SERIES H CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7606    PEBK 11/2/2005 2.13 PEOPLES BANCORP OF NORTH CAROLINA INC. COMMON STOCK Major Banks Finance
7607    PEBO 1/2/1998 21 PEOPLES BANCORP INC. COMMON STOCK Major Banks Finance
7608    PECO 7/15/2021 13 PHILLIPS EDISON & COMPANY INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7609    PED 11/22/2004 12 PEDEVCO CORP. COMMON STOCK Oil & Gas Production Energy
7610    PEG 1/2/1998 122 PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED COMMON STOCK Power Generation Utilities
7611    PEGA 1/2/1998 57 PEGASYSTEMS INC. COMMON STOCK EDP Services Technology
7612    PEJ 6/23/2005 16 INVESCO LEISURE AND ENTERTAINMENT ETF Exchange Traded Fund Financial
7613    PEMX 11/16/2023 0.02 PUTNAM ETF TRUST PUTNAM EMERGING MARKETS EX-CHINA ETF Exchange Traded Fund Financial
7614    PEN 9/21/2015 26 PENUMBRA INC. COMMON STOCK Medical/Dental Instruments Health Care
7615    PENG 5/24/2017 24 PENGUIN SOLUTIONS INC. ORDINARY SHARES Semiconductors Technology
7616    PENN 1/2/1998 100 PENN ENTERTAINMENT INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
7617    PEO 1/2/1998 26 ADAMS NATURAL RESOURCES FUND INC. COMMON STOCK Finance/Investors Services Finance
7618    PEP 1/2/1998 135 PEPSICO INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
7619    PEPG 5/6/2022 2.68 PEPGEN INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7620    PEPS 11/8/2024 0.01 PARAMETRIC EQUITY PLUS ETF Exchange Traded Fund Financial
7621    PERF 8/11/2008 2.29 PERFECT CORP. CLASS A ORDINARY SHARE Computer Software: Prepackaged Software Technology
7622    PERI 5/16/2007 30 PERION NETWORK LTD. ORDINARY SHARES EDP Services Technology
7623    PESI 1/2/1998 13 PERMA-FIX ENVIRONMENTAL SERVICES INC. COMMON STOCK Environmental Services Industrials
7624    PET 9/27/2021 2.32 WAG! GROUP CO. COMMON STOCK Other Consumer Services Consumer Discretionary
7625    PETS 1/23/2004 63 PETMED EXPRESS INC. COMMON STOCK Retail-Drug Stores and Proprietary Stores Consumer Staples
7626    PETV 1/17/2013 2.23
7627    PETWW 9/24/2021 0.26 WAG! GROUP CO WARRANT Other Consumer Services Consumer Discretionary
7628    PETZ 9/21/2017 7.49 TDH HOLDINGS INC. COMMON SHARES Steel/Iron Ore Industrials
7629    PEV 6/8/2022 2.97 PHOENIX MOTOR INC. COMMON STOCK Construction/Ag Equipment/Trucks Consumer Discretionary
7630    PEX 2/28/2013 0.7 PROSHARES GLOBAL LISTED PRIVATE EQUITY ETF Exchange Traded Fund Financial
7631    PEXL 10/18/2018 0.37 PACER US EXPORT LEADERS ETF Exchange Traded Fund Financial
7632    PEY 12/9/2004 35 INVESCO HIGH YIELD EQUITY DIVIDEND ACHIEVERS ETF Exchange Traded Fund Financial
7633    PEZ 10/12/2006 3.09 INVESCO DORSEY WRIGHT CONSUMER CYCLICALS MOMENTUM ETF Exchange Traded Fund Financial
7634    PFBC 2/15/2005 20 PREFERRED BANK COMMON STOCK Major Banks Finance
7635    PFC 5/16/2007 17
7636    PFD 1/2/1998 10 FLAHERTY & CRUMRINE PREFERRED AND INCOME FUND INCORPORATED Investment Managers Finance
7637    PFE 1/2/1998 157 PFIZER INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7638    PFEB 2/3/2020 1.84 INNOVATOR U.S. EQUITY POWER BUFFER ETF - FEBRUARY Exchange Traded Fund Financial
7639    PFF 3/30/2007 80 ISHARES PREFERRED AND INCOME SECURITIES ETF Exchange Traded Fund Financial
7640    PFFA 5/16/2018 12 VIRTUS INFRACAP U.S. PREFERRED STOCK ETF Exchange Traded Fund Financial
7641    PFFD 9/14/2017 17 GLOBAL X U.S. PREFERRED ETF Exchange Traded Fund Financial
7642    PFFL 9/26/2018 1.03 NO NAME Exchange Traded Fund Financial
7643    PFFR 2/8/2017 2.37 INFRACAP REIT PREFERRED ETF Exchange Traded Fund Financial
7644    PFFV 6/25/2020 2.53 GLOBAL X VARIABLE RATE PREFERRED ETF Exchange Traded Fund Financial
7645    PFG 10/23/2001 108 PRINCIPAL FINANCIAL GROUP INC COMMON STOCK Accident &Health Insurance Finance
7646    PFGC 10/1/2015 35 PERFORMANCE FOOD GROUP COMPANY COMMON STOCK Food Distributors Consumer Discretionary
7647    PFH 4/5/1999 5.66 PRUDENTIAL FINANCIAL INC. 4.125% JUNIOR SUBORDINATED NOTES DUE 2060 Life Insurance Finance
7648    PFI 10/12/2006 2.55 INVESCO DORSEY WRIGHT FINANCIAL MOMENTUM ETF Exchange Traded Fund Financial
7649    PFIG 9/15/2011 2.37 INVESCO FUNDAMENTAL INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
7650    PFIS 5/21/2007 2.52 PEOPLES FINANCIAL SERVICES CORP. COMMON STOCK Major Banks Finance
7651    PFIX 5/11/2021 5.53 SIMPLIFY INTEREST RATE HEDGE ETF Exchange Traded Fund Financial
7652    PFL 8/27/2003 23 PIMCO INCOME STRATEGY FUND SHARES OF BENEFICIAL INTEREST Finance Companies Finance
7653    PFLD 11/20/2019 3.06 AAM LOW DURATION PREFERRED AND INCOME SECURITIES ETF Exchange Traded Fund Financial
7654    PFLT 4/8/2011 26 PENNANTPARK FLOATING RATE CAPITAL LTD. COMMON STOCK Finance: Consumer Services Finance
7655    PFM 9/15/2005 11 INVESCO DIVIDEND ACHIEVERS ETF Exchange Traded Fund Financial
7656    PFN 10/27/2004 35 PIMCO INCOME STRATEGY FUND II Finance/Investors Services Finance
7657    PFO 1/2/1998 8.9 FLAHERTY & CRUMRINE PREFERRED AND INCOME OPPORTUNITY FUND INCORPORATED Finance Companies Finance
7658    PFRL 6/9/2022 0.31 PGIM ETF TRUST PGIM FLOATING RATE INCOME ETF Exchange Traded Fund Financial
7659    PFS 1/16/2003 66 PROVIDENT FINANCIAL SERVICES INC COMMON STOCK Savings Institutions Finance
7660    PFSI 5/9/2013 29 PENNYMAC FINANCIAL SERVICES INC. COMMON STOCK Finance: Consumer Services Finance
7661    PFUT 5/26/2021 0.18 PUTNAM SUSTAINABLE FUTURE ETF Exchange Traded Fund Financial
7662    PFX 1/20/2011 9.88 PHENIXFIN CORPORATION COMMON STOCK Finance: Consumer Services Finance
7663    PFXF 7/19/2012 20 VANECK PREFERRED SECURITIES EX FINANCIALS ETF Exchange Traded Fund Financial
7664    PFXNZ 11/16/2021 0.1 PHENIXFIN CORPORATION 5.25% NOTES DUE 2028 Finance: Consumer Services Finance
7665    PG 1/2/1998 138 PROCTER & GAMBLE COMPANY (THE) COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
7666    PGC 11/1/2000 15 PEAPACK-GLADSTONE FINANCIAL CORPORATION COMMON STOCK Commercial Banks Finance
7667    PGEN 8/8/2013 44 PRECIGEN INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7668    PGF 12/6/2006 43 INVESCO FINANCIAL PREFERRED ETF Exchange Traded Fund Financial
7669    PGHL 7/23/2024 1.48 PRIMEGA GROUP HOLDINGS LIMITED ORDINARY SHARES General Bldg Contractors - Nonresidential Bldgs Consumer Discretionary
7670    PGHY 6/21/2013 6.7 INVESCO GLOBAL EX-US HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
7671    PGJ 12/9/2004 24 INVESCO GOLDEN DRAGON CHINA ETF Exchange Traded Fund Financial
7672    PGNY 10/25/2019 21 PROGYNY INC. COMMON STOCK Misc Health and Biotechnology Services Health Care
7673    PGP 5/26/2005 14 PIMCO GLOBAL STOCKSPLUS & INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
7674    PGR 1/2/1998 123 PROGRESSIVE CORPORATION (THE) COMMON STOCK Property-Casualty Insurers Finance
7675    PGRE 11/19/2014 44 PARAMOUNT GROUP INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7676    PGRO 5/26/2021 0.26 PUTNAM FOCUSED LARGE CAP GROWTH ETF Exchange Traded Fund Financial
7677    PGX 1/31/2008 65 INVESCO PREFERRED ETF Exchange Traded Fund Financial
7678    PGY 6/23/2022 12 PAGAYA TECHNOLOGIES LTD. CLASS A ORDINARY SHARES Finance: Consumer Services Finance
7679    PGYWW 6/23/2022 0.57 PAGAYA TECHNOLOGIES LTD. WARRANTS Finance: Consumer Services Finance
7680    PGZ 6/26/2013 5.82 PRINCIPAL REAL ESTATE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
7681    PH 1/2/1998 113 PARKER-HANNIFIN CORPORATION COMMON STOCK Metal Fabrications Industrials
7682    PHAR 12/23/2020 0.45 PHARMING GROUP N.V. ADS EACH REPRESENTING 10 ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7683    PHAT 10/25/2019 11 PHATHOM PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7684    PHB 11/15/2007 30 INVESCO FUNDAMENTAL HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
7685    PHD 12/23/2004 24 PIONEER FLOATING RATE FUND INC. Investment Managers Finance
7686    PHDG 12/6/2012 4.77 INVESCO S&P 500 DOWNSIDE HEDGED ETF Exchange Traded Fund Financial
7687    PHEQ 10/19/2023 0.12 MORGAN STANLEY ETF TRUST PARAMETRIC HEDGED EQUITY ETF Exchange Traded Fund Financial
7688    PHG 1/2/1998 103 KONINKLIJKE PHILIPS N.V. NY REGISTRY SHARES Medical Electronics Health Care
7689    PHGE 3/13/2019 3.27 BIOMX INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7690    PHH 2/1/2005 47 PARK HA BIOLOGICAL TECHNOLOGY CO. LTD. ORDINARY SHARES Package Goods/Cosmetics Consumer Discretionary
7691    PHI 1/2/1998 48 PLDT INC. SPONSORED ADR Telecommunications Equipment Telecommunications
7692    PHIN 7/5/2023 5.56 PHINIA INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
7693    PHIO 5/10/2012 17 PHIO PHARMACEUTICALS CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7694    PHK 4/25/2003 57 PIMCO HIGH INCOME FUND Finance/Investors Services Finance
7695    PHLT 8/10/2012 15 PERFORMANT HEALTHCARE INC. COMMON STOCK Other Consumer Services Consumer Discretionary
7696    PHM 1/2/1998 120 PULTEGROUP INC. COMMON STOCK Homebuilding Consumer Discretionary
7697    PHO 12/6/2005 38 INVESCO WATER RESOURCES ETF Exchange Traded Fund Financial
7698    PHR 7/22/2008 22 PHREESIA INC. COMMON STOCK Business Services Consumer Discretionary
7699    PHT 1/5/2005 23 PIONEER HIGH INCOME FUND INC. Investment Managers Finance
7700    PHUN 12/28/2018 25 PHUNWARE INC. COMMON STOCK EDP Services Technology
7701    PHVS 2/5/2021 2.34 PHARVARIS N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7702    PHX 8/22/2003 17 PHX MINERALS INC. COMMON STOCK Oil & Gas Production Energy
7703    PHYD 1/20/2023 0.09 PUTNAM ETF TRUST PUTNAM ESG HIGH YIELD ETF Exchange Traded Fund Financial
7704    PHYL 12/10/2018 1.15 PGIM ACTIVE HIGH YIELD BOND ETF Exchange Traded Fund Financial
7705    PHYS 2/26/2010 47 SPROTT PHYSICAL GOLD TRUST ETV Exchange Traded Fund Financial
7706    PI 7/21/2016 26 IMPINJ INC. COMMON STOCK Industrial Machinery/Components Technology
7707    PICB 6/3/2010 6.55 INVESCO INTERNATIONAL CORPORATE BOND ETF Exchange Traded Fund Financial
7708    PICK 2/2/2012 20 ISHARES MSCI GLOBAL SELECT METALS & MINING PRODUCERS FUND Exchange Traded Fund Financial
7709    PID 9/15/2005 32 INVESCO INTERNATIONAL DIVIDEND ACHIEVERS ETF Exchange Traded Fund Financial
7710    PIE 1/7/2008 16 INVESCO DORSEY WRIGHT EMERGING MARKETS MOMENTUM ETF Exchange Traded Fund Financial
7711    PIFI 10/2/2020 0.13 CLEARSHARES PITON INTERMEDIATE FIXED INCOME ETF Exchange Traded Fund Financial
7712    PII 1/2/1998 98 POLARIS INC. COMMON STOCK Industrial Specialties Consumer Discretionary
7713    PIII 5/16/2007 5.89 P3 HEALTH PARTNERS INC. CLASS A COMMON STOCK Medical/Nursing Services Health Care
7714    PIIIW 4/7/2021 0.41 P3 HEALTH PARTNERS INC. WARRANT Medical/Nursing Services Health Care
7715    PILL 11/15/2017 3.9 DIREXION DAILY PHARMACEUTICAL & MEDICAL BULL 3X SHARES Exchange Traded Fund Financial
7716    PIM 1/2/1998 36 PUTNAM MASTER INTERMEDIATE INCOME TRUST COMMON STOCK Finance Companies Finance
7717    PIN 3/5/2008 27 INVESCO INDIA ETF Exchange Traded Fund Financial
7718    PINC 9/26/2013 40 PREMIER INC. CLASS A COMMON STOCK Other Consumer Services Consumer Discretionary
7719    PINE 11/22/2019 6.07 ALPINE INCOME PROPERTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7720    PINK 10/8/2021 2.19 SIMPLIFY HEALTH CARE ETF Exchange Traded Fund Financial
7721    PINS 4/18/2019 32 PINTEREST INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
7722    PIO 6/13/2007 11 INVESCO GLOBAL WATER ETF Exchange Traded Fund Financial
7723    PIPR 1/6/2020 6.75 PIPER SANDLER COMPANIES COMMON STOCK Investment Bankers/Brokers/Service Finance
7724    PIT 12/22/2022 0.06 VANECK ETF TRUST VANECK COMMODITY STRATEGY ETF Exchange Traded Fund Financial
7725    PITA 7/30/2024 0.68 HERAMBA ELECTRIC PLC ORDINARY SHARES Industrial Machinery/Components Miscellaneous
7726    PITAW 7/30/2024 0.03 HERAMBA ELECTRIC PLC WARRANTS Industrial Machinery/Components Miscellaneous
7727    PIZ 1/7/2008 10 INVESCO DORSEY WRIGHT DEVELOPED MARKETS MOMENTUM ETF Exchange Traded Fund Financial
7728    PJAN 1/2/2019 2.97 INNOVATOR U.S. EQUITY POWER BUFFER ETF - JANUARY Exchange Traded Fund Financial
7729    PJBF 12/26/2023 0.01 PGIM ETF TRUST PGIM JENNISON BETTER FUTURE ETF Exchange Traded Fund Financial
7730    PJFG 12/14/2022 0.1 PGIM ETF TRUST PGIM JENNISON FOCUSED GROWTH ETF Exchange Traded Fund Financial
7731    PJFM 12/19/2023 0.01 PGIM ETF TRUST PGIM JENNISON FOCUSED MID-CAP ETF Exchange Traded Fund Financial
7732    PJFV 12/14/2022 0.01 PGIM ETF TRUST PGIM JENNISON FOCUSED VALUE ETF Exchange Traded Fund Financial
7733    PJIO 12/19/2023 0.02 PGIM ETF TRUST PGIM JENNISON INTERNATIONAL OPPORTUNITIES ETF Exchange Traded Fund Financial
7734    PJP 6/23/2005 19 INVESCO PHARMACEUTICALS ETF Exchange Traded Fund Financial
7735    PJT 10/1/2015 19 PJT PARTNERS INC. CLASS A COMMON STOCK Investment Managers Finance
7736    PJUL 8/8/2018 2.61 INNOVATOR U.S. EQUITY POWER BUFFER ETF - JULY Exchange Traded Fund Financial
7737    PJUN 6/3/2019 1.54 INNOVATOR U.S. EQUITY POWER BUFFER ETF - JUNE Exchange Traded Fund Financial
7738    PK 1/4/2017 41 PARK HOTELS & RESORTS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
7739    PKB 10/26/2005 9.45 INVESCO BUILDING & CONSTRUCTION ETF Exchange Traded Fund Financial
7740    PKBK 6/21/2006 4.18 PARKE BANCORP INC. COMMON STOCK Major Banks Finance
7741    PKE 1/2/1998 42 PARK AEROSPACE CORP. COMMON STOCK Military/Government/Technical Industrials
7742    PKG 1/28/2000 98 PACKAGING CORPORATION OF AMERICA COMMON STOCK Containers/Packaging Consumer Discretionary
7743    PKOH 1/2/1998 20 PARK-OHIO HOLDINGS CORP. COMMON STOCK Industrial Specialties Industrials
7744    PKST 4/14/2023 3.96 PEAKSTONE REALTY TRUST COMMON SHARES Real Estate Investment Trusts Real Estate
7745    PKW 12/20/2006 21 INVESCO BUYBACK ACHIEVERS ETF Exchange Traded Fund Financial
7746    PKX 1/2/1998 74 POSCO HOLDINGS INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1/4TH OF A SHARE OF COMMON STOCK) Steel/Iron Ore Industrials
7747    PL 1/2/1998 65 PLANET LABS PBC CLASS A COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
7748    PLAB 1/2/1998 80 PHOTRONICS INC. COMMON STOCK Semiconductors Technology
7749    PLAG 9/14/2009 6.78 PLANET GREEN HOLDINGS CORP. COMMON STOCK Packaged Foods Consumer Staples
7750    PLAO 5/4/2022 0.11 PATRIA LATIN AMERICAN OPPORTUNITY ACQUISITION CORP. CLASS A ORDINARY SHARES Blank Checks Finance
7751    PLAY 10/10/2014 42 DAVE & BUSTER'S ENTERTAINMENT INC. COMMON STOCK Restaurants Consumer Discretionary
7752    PLBC 8/1/2006 1.84 PLUMAS BANCORP Finance Companies Finance
7753    PLBY 8/31/2020 14 PLBY GROUP INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
7754    PLCE 1/2/1998 87 CHILDREN'S PLACE INC. (THE) COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
7755    PLD 1/2/1998 106 PROLOGIS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7756    PLDR 5/26/2021 0.12 PUTNAM SUSTAINABLE LEADERS ETF Exchange Traded Fund Financial
7757    PLG 6/28/2007 25 PLATINUM GROUP METALS LTD. ORDINARY SHARES (CANADA) Precious Metals Basic Materials
7758    PLL 1/2/1998 77 PIEDMONT LITHIUM INC. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
7759    PLMK 1/31/2025 0.01 PLUM ACQUISITION CORP. IV CLASS A ORDINARY SHARES
7760    PLMKU 1/15/2025 0.02
7761    PLMKW 1/31/2025 0.01 PLUM ACQUISITION CORP. IV WARRANTS
7762    PLMR 4/17/2019 11 PALOMAR HOLDINGS INC. COMMON STOCK Property-Casualty Insurers Finance
7763    PLNT 8/6/2015 38 PLANET FITNESS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
7764    PLOW 5/5/2010 25 DOUGLAS DYNAMICS INC. COMMON STOCK Construction/Ag Equipment/Trucks Industrials
7765    PLPC 11/26/2004 4.72 PREFORMED LINE PRODUCTS COMPANY COMMON STOCK Water Sewer Pipeline Comm & Power Line Construction Industrials
7766    PLRX 6/3/2020 11 PLIANT THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7767    PLRZ 10/29/2024 0.56 POLYRIZON LTD. ORDINARY SHARES
7768    PLSE 5/18/2016 11 PULSE BIOSCIENCES INC COMMON STOCK (DE) Medical/Dental Instruments Health Care
7769    PLTK 1/19/2021 17 PLAYTIKA HOLDING CORP. COMMON STOCK EDP Services Technology
7770    PLTM 2/5/2018 3.12 GRANITESHARES PLATINUM SHARES ETF Exchange Traded Fund Financial
7771    PLTR 9/30/2020 40 PALANTIR TECHNOLOGIES INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
7772    PLTY 10/8/2024 0.52 TIDAL TRUST II YIELDMAX PLTR OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
7773    PLUG 10/29/1999 99 PLUG POWER INC. COMMON STOCK Industrial Machinery/Components Energy
7774    PLUR 11/26/2007 19 PLURI INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7775    PLUS 11/1/1999 19 EPLUS INC. COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
7776    PLUT 2/5/2025 0.07 PLUTUS FINANCIAL GROUP LIMITED ORDINARY SHARES Investment Bankers/Brokers/Service Finance
7777    PLX 3/12/2007 32 PROTALIX BIOTHERAPEUTICS INC. (DE) COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7778    PLXS 1/2/1998 69 PLEXUS CORP. COMMON STOCK Electrical Products Technology
7779    PLYA 3/13/2017 23 PLAYA HOTELS & RESORTS N.V. ORDINARY SHARES Hotels/Resorts Consumer Discretionary
7780    PLYM 6/9/2017 13 PLYMOUTH INDUSTRIAL REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
7781    PM 3/31/2008 84 PHILIP MORRIS INTERNATIONAL INC COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
7782    PMAR 3/2/2020 1.56 INNOVATOR U.S. EQUITY POWER BUFFER ETF - MARCH Exchange Traded Fund Financial
7783    PMAX 9/5/2024 0.76 POWELL MAX LIMITED CLASS A ORDINARY SHARES Other Consumer Services Consumer Discretionary
7784    PMAY 5/1/2020 1.66 INNOVATOR U.S. EQUITY POWER BUFFER ETF - MAY Exchange Traded Fund Financial
7785    PMBS 9/23/2024 0.09 PIMCO MORTGAGE-BACKED SECURITIES ACTIVE EXCHANGE-TRADED FUND Exchange Traded Fund Financial
7786    PMCB 3/18/2009 15 PHARMACYTE BIOTECH INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7787    PMEC 10/10/2023 1.22 PRIMECH HOLDINGS LTD. ORDINARY SHARES Diversified Commercial Services Finance
7788    PMF 6/27/2001 15 PIMCO MUNICIPAL INCOME FUND COMMON STOCK Finance/Investors Services Finance
7789    PMIO 12/18/2024 0.01 PGIM ETF TRUST PGIM MUNICIPAL INCOME OPPORTUNITIES ETF Exchange Traded Fund Financial
7790    PML 6/26/2002 26 PIMCO MUNICIPAL INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
7791    PMM 1/2/1998 27 PUTNAM MANAGED MUNICIPAL INCOME TRUST COMMON STOCK Investment Managers Finance
7792    PMN 7/8/2022 0.75 PROMIS NEUROSCIENCES INC. COMMON SHARES (ON) Biotechnology: Pharmaceutical Preparations Health Care
7793    PMNT 2/8/2024 0.28 PERFECT MOMENT LTD. COMMON STOCK
7794    PMO 1/2/1998 22 PUTNAM MUNICIPAL OPPORTUNITIES TRUST COMMON STOCK Finance Companies Finance
7795    PMT 7/30/2009 57 PENNYMAC MORTGAGE INVESTMENT TRUST COMMON SHARES OF BENEFICIAL INTEREST Real Estate Investment Trusts Real Estate
7796    PMT.A 3/13/2017 2.13 PENNYMAC MORTGAGE INVESTMENT TRUST 8.125% SERIES A FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7797    PMT.B 7/6/2017 2.74 PENNYMAC MORTGAGE INVESTMENT TRUST 8.00% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7798    PMT.C 8/26/2021 1.81 PENNYMAC MORTGAGE INVESTMENT TRUST 6.75% SERIES C CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
7799    PMTS 10/9/2015 7.72 CPI CARD GROUP INC. COMMON STOCK Publishing Consumer Discretionary
7800    PMTU 9/28/2023 0.17 PENNYMAC MORTGAGE INVESTMENT TRUST 8.50% SENIOR NOTES DUE 2028 Real Estate Investment Trusts Real Estate
7801    PMTV 2/14/2025 0.08 PENNYMAC MORTGAGE INVESTMENT TRUST 9.00% SENIOR NOTES DUE 2030 Real Estate Investment Trusts Real Estate
7802    PMVP 9/25/2020 10 PMV PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7803    PMX 10/29/2002 17 PIMCO MUNICIPAL INCOME FUND III COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
7804    PN 1/16/2015 5.04 SKYCORP SOLAR GROUP LIMITED ORDINARY SHARES Retail: Computer Software & Peripheral Equipment Technology
7805    PNBK 10/2/2002 1.49 PATRIOT NATIONAL BANCORP INC. COMMON STOCK Major Banks Finance
7806    PNC 1/2/1998 125 PNC FINANCIAL SERVICES GROUP INC. (THE) COMMON STOCK Major Banks Finance
7807    PNF 6/27/2001 6.68 PIMCO NEW YORK MUNICIPAL INCOME FUND COMMON STOCK Finance Companies Finance
7808    PNFP 5/28/2002 55 PINNACLE FINANCIAL PARTNERS INC. COMMON STOCK Major Banks Finance
7809    PNFPP 6/4/2020 1.25 PINNACLE FINANCIAL PARTNERS INC. DEPOSITARY SHARES OF PINNACLE FINANCIAL PARTNERS INC. EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF ITS 6.75% FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B Major Banks Finance
7810    PNI 6/26/2002 7.43 PIMCO NEW YORK MUNICIPAL INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
7811    PNNT 4/19/2007 49 PENNANTPARK INVESTMENT CORPORATION COMMON STOCK Finance: Consumer Services Finance
7812    PNOV 11/1/2019 1.54 INNOVATOR U.S. EQUITY POWER BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
7813    PNQI 6/13/2008 9.49 INVESCO NASDAQ INTERNET ETF Exchange Traded Fund Financial
7814    PNR 1/2/1998 106 PENTAIR PLC. ORDINARY SHARE Industrial Machinery/Components Industrials
7815    PNRG 5/16/2005 1.29 PRIMEENERGY RESOURCES CORPORATION COMMON STOCK Oil & Gas Production Energy
7816    PNST 3/11/2022 0.98
7817    PNTG 10/1/2019 9.25 THE PENNANT GROUP INC. COMMON STOCK Medical/Nursing Services Health Care
7818    PNW 1/2/1998 108 PINNACLE WEST CAPITAL CORPORATION COMMON STOCK Electric Utilities: Central Utilities
7819    POAI 5/3/2010 15 PREDICTIVE ONCOLOGY INC. COMMON STOCK Industrial Specialties Health Care
7820    POCI 11/16/2022 0.22 PRECISION OPTICS CORPORATION INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7821    POCT 10/1/2018 2.59 INNOVATOR U.S. EQUITY POWER BUFFER ETF - OCTOBER Exchange Traded Fund Financial
7822    PODC 9/8/2023 0.7 PODCASTONE INC. COMMON STOCK Computer Software: Programming Data Processing Technology
7823    PODD 5/15/2007 58 INSULET CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
7824    POET 3/14/2022 4.17 POET TECHNOLOGIES INC. COMMON SHARES Semiconductors Technology
7825    POLA 12/7/2016 8.72 POLAR POWER INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
7826    POLE 10/28/2024 0.03 ANDRETTI ACQUISITION CORP. II CLASS A ORDINARY SHARES
7827    POLEU 9/6/2024 0.04 ANDRETTI ACQUISITION CORP. II UNIT
7828    POLEW 10/28/2024 0.02 ANDRETTI ACQUISITION CORP. II WARRANT
7829    PONY 11/27/2024 1.12 PONY AI INC. AMERICAN DEPOSITARY SHARES EDP Services Technology
7830    POOL 1/2/1998 75 POOL CORPORATION COMMON STOCK Industrial Specialties Consumer Discretionary
7831    POR 4/10/2006 77 PORTLAND GENERAL ELECTRIC CO COMMON STOCK Electric Utilities: Central Utilities
7832    PORT 1/31/2022 0.09
7833    POST 1/27/2012 44 POST HOLDINGS INC. COMMON STOCK Packaged Foods Consumer Staples
7834    POWA 5/16/2007 5.13 INVESCO BLOOMBERG PRICING POWER ETF Exchange Traded Fund Financial
7835    POWI 12/19/2006 52 POWER INTEGRATIONS INC. COMMON STOCK Semiconductors Technology
7836    POWL 1/2/1998 28 POWELL INDUSTRIES INC. COMMON STOCK Electrical Products Energy
7837    POWW 5/17/2007 16 AMMO INC. COMMON STOCK Ordnance And Accessories Industrials
7838    POWWP 5/21/2021 0.42 AMMO INC. 8.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Ordnance And Accessories Industrials
7839    PP 11/29/2022 0.84
7840    PPA 12/1/2005 23 INVESCO AEROSPACE & DEFENSE ETF Exchange Traded Fund Financial
7841    PPBI 3/8/2006 32 PACIFIC PREMIER BANCORP INC Major Banks Finance
7842    PPBT 11/20/2015 12 PURPLE BIOTECH LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7843    PPC 12/29/2009 59 PILGRIM'S PRIDE CORPORATION COMMON STOCK Meat/Poultry/Fish Consumer Staples
7844    PPEM 2/15/2018 0.19 PUTNAM ETF TRUST PUTNAM PANAGORA ESG EMERGING MARKETS EQUITY E Exchange Traded Fund Financial
7845    PPG 1/2/1998 121 PPG INDUSTRIES INC. COMMON STOCK Paints/Coatings Consumer Discretionary
7846    PPH 2/1/2000 45 VANECK PHARMACEUTICAL ETF Exchange Traded Fund Financial
7847    PPI 12/30/2021 0.83 AXS ASTORIA REAL ASSETS ETF Exchange Traded Fund Financial
7848    PPIE 1/20/2023 0.07 PUTNAM ETF TRUST PUTNAM PANAGORA ESG INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
7849    PPIH 5/16/2007 4.57 PERMA-PIPE INTERNATIONAL HOLDINGS INC. COMMON STOCK Pollution Control Equipment Industrials
7850    PPL 1/2/1998 122 PPL CORPORATION COMMON STOCK Electric Utilities: Central Utilities
7851    PPLT 1/8/2010 21 ABRDN PHYSICAL PLATINUM SHARES ETF Exchange Traded Fund Financial
7852    PPSI 9/19/2013 8.39 PIONEER POWER SOLUTIONS INC. COMMON STOCK Electrical Products Industrials
7853    PPT 1/2/1998 49 PUTNAM PREMIER INCOME TRUST COMMON STOCK Finance Companies Finance
7854    PPTA 2/18/2021 5.7 PERPETUA RESOURCES CORP. COMMON SHARES Precious Metals Basic Materials
7855    PPTY 3/27/2018 1.21 U.S. DIVERSIFIED REAL ESTATE ETF Exchange Traded Fund Financial
7856    PPYA 3/4/2022 0.08
7857    PPYAU 1/14/2022 0.06
7858    PPYAW 3/4/2022 0.07
7859    PQDI 6/17/2020 0.14 PRINCIPAL SPECTRUM TAX-ADVANTAGED DIVIDEND ACTIVE ETF Exchange Traded Fund Financial
7860    PR 4/15/2016 43 PERMIAN RESOURCES CORPORATION CLASS A COMMON STOCK Oil & Gas Production Energy
7861    PRA 6/28/2001 55 PROASSURANCE CORPORATION COMMON STOCK Property-Casualty Insurers Finance
7862    PRAA 11/8/2002 56 PRA GROUP INC. COMMON STOCK Finance: Consumer Services Finance
7863    PRAE 12/19/2023 0.02 NORTHERN LIGHTS FUND TRUST III PLANROCK ALTERNATIVE GROWTH ETF Exchange Traded Fund Financial
7864    PRAX 10/16/2020 11 PRAXIS PRECISION MEDICINES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7865    PRAY 2/8/2022 0.25 NEOS ETF TRUST FIS CHRISTIAN STOCK FUND Exchange Traded Fund Financial
7866    PRCH 1/13/2020 16 PORCH GROUP INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7867    PRCT 9/15/2021 9.86 PROCEPT BIOROBOTICS CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
7868    PRDO 5/1/2007 66 PERDOCEO EDUCATION CORPORATION COMMON STOCK Other Consumer Services Real Estate
7869    PRE 5/18/2022 1.51 PRENETICS GLOBAL LIMITED CLASS A ORDINARY SHARE Blank Checks Finance
7870    PREF 7/11/2017 6.43 PRINCIPAL SPECTRUM PREFERRED SECURITIES ACTIVE ETF Exchange Traded Fund Financial
7871    PRENW 5/18/2022 0.21 PRENETICS GLOBAL LIMITED WARRANT Blank Checks Finance
7872    PRF 12/20/2005 33 INVESCO FTSE RAFI US 1000 ETF Exchange Traded Fund Financial
7873    PRFD 1/19/2023 0.25 PIMCO U.S. TREASURY INDEX FUND PIMCO PREFERRED AND CAPITAL SEC Exchange Traded Fund Financial
7874    PRFX 9/1/2020 3.89 PAINREFORM LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7875    PRFZ 9/20/2006 16 INVESCO FTSE RAFI US 1500 SMALL-MID ETF Exchange Traded Fund Financial
7876    PRG 4/30/2007 70 PROG HOLDINGS INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
7877    PRGO 1/2/1998 107 PERRIGO COMPANY PLC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7878    PRGS 1/2/1998 77 PROGRESS SOFTWARE CORPORATION COMMON STOCK (DE) Computer Software: Prepackaged Software Technology
7879    PRH 3/27/2013 7.19 PRUDENTIAL FINANCIAL INC. 5.950% JUNIOR SUBORDINATED NOTES DUE 2062 Life Insurance Finance
7880    PRI 4/1/2010 40 PRIMERICA INC. COMMON STOCK Life Insurance Finance
7881    PRIF.D 6/21/2019 0.2 PRIORITY INCOME FUND INC. 7.00% SERIES D TERM PREFERRED STOCK DUE 2029
7882    PRIF.F 2/28/2020 0.23 PRIORITY INCOME FUND INC. 6.625% SERIES F TERM PREFERRED STOCK DUE 2027
7883    PRIF.H 5/11/2021 0.19 PRIORITY INCOME FUND INC. 6.00% SERIES H TERM PREFERRED STOCK DUE 2026
7884    PRIF.I 6/23/2021 0.23 PRIORITY INCOME FUND INC. 6.125% SERIES I TERM PREFERRED STOCK DUE 2028
7885    PRIF.J 8/13/2021 0.35 PRIORITY INCOME FUND INC. 6.000% SERIES J TERM PREFERRED STOCK DUE 2028
7886    PRIF.K 10/12/2021 0.28 PRIORITY INCOME FUND INC. 7.000% SERIES K CUMULATIVE PREFERRED STOCK
7887    PRIF.L 3/1/2022 0.22 PRIORITY INCOME FUND INC. 6.375% SERIES L TERM PREFERRED STOCK DUE 2029
7888    PRIM 8/6/2008 42 PRIMORIS SERVICES CORPORATION COMMON STOCK Water Sewer Pipeline Comm & Power Line Construction Industrials
7889    PRK 1/2/1998 21 PARK NATIONAL CORPORATION COMMON STOCK Major Banks Finance
7890    PRKS 4/19/2013 47 UNITED PARKS & RESORTS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
7891    PRLB 2/24/2012 33 PROTO LABS INC. COMMON STOCK Metal Fabrications Industrials
7892    PRLD 9/25/2020 6.69 PRELUDE THERAPEUTICS INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
7893    PRM 1/2/1998 31 PERIMETER SOLUTIONS SA COMMON STOCK Major Chemicals Industrials
7894    PRMB 5/3/2007 68 PRIMO BRANDS CORPORATION CLASS A COMMON STOCK Beverages (Production/Distribution) Consumer Staples
7895    PRME 11/12/2015 7 PRIME MEDICINE INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7896    PRMN 12/19/2023 0.01 NORTHERN LIGHTS FUND TRUST III PLANROCK MARKET NEUTRAL INCOME Exchange Traded Fund Financial
7897    PRN 10/12/2006 5.05 INVESCO DORSEY WRIGHT INDUSTRIALS MOMENTUM ETF Exchange Traded Fund Financial
7898    PRNT 7/20/2016 5.62 3D PRINTING (THE) ETF Exchange Traded Fund Financial
7899    PRO 7/26/2007 38 PROS HOLDINGS INC. COMMON STOCK EDP Services Technology
7900    PROF 12/10/2010 3.79 PROFOUND MEDICAL CORP. COMMON STOCK Medical/Dental Instruments Health Care
7901    PROK 6/30/2021 5.94 PROKIDNEY CORP. CLASS A ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
7902    PROP 9/29/2008 2.61 PRAIRIE OPERATING CO. COMMON STOCK Finance: Consumer Services Finance
7903    PROV 1/2/1998 8.68 PROVIDENT FINANCIAL HOLDINGS INC. COMMON STOCK Savings Institutions Finance
7904    PRPH 11/27/2009 6.03 PROPHASE LABS INC. COMMON STOCK (DE) Biotechnology: Pharmaceutical Preparations Health Care
7905    PRPL 7/9/2007 19 PURPLE INNOVATION INC. COMMON STOCK Home Furnishings Consumer Discretionary
7906    PRPO 6/30/2017 11 PRECIPIO INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
7907    PRQR 9/18/2014 18 PROQR THERAPEUTICS N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7908    PRS 8/22/2018 4.43 PRUDENTIAL FINANCIAL INC. 5.625% JUNIOR SUBORDINATED NOTES DUE 2058 Life Insurance Finance
7909    PRSO 12/20/2021 2.72 PERASO INC. COMMON STOCK Semiconductors Technology
7910    PRST 1/2/1998 25
7911    PRSU 4/27/2007 31 PURSUIT ATTRACTIONS AND HOSPITALITY INC. COMMON STOCK Business Services Consumer Discretionary
7912    PRT 5/2/2018 4.73 PERMROCK ROYALTY TRUST TRUST UNITS Oil & Gas Production Energy
7913    PRTA 12/21/2012 32 PROTHENA CORPORATION PLC ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7914    PRTC 11/16/2020 0.24 PURETECH HEALTH PLC AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
7915    PRTG 2/25/2021 2.18 PORTAGE BIOTECH INC. COMMON STOCK Oil & Gas Production Energy
7916    PRTH 12/6/2016 3.26 PRIORITY TECHNOLOGY HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
7917    PRTS 2/9/2007 27 CARPARTS.COM INC. COMMON STOCK Auto & Home Supply Stores Consumer Discretionary
7918    PRU 12/13/2001 112 PRUDENTIAL FINANCIAL INC. COMMON STOCK Life Insurance Finance
7919    PRVA 4/29/2021 13 PRIVIA HEALTH GROUP INC. COMMON STOCK Medical/Nursing Services Health Care
7920    PRZO 7/27/2023 3.83 PARAZERO TECHNOLOGIES LTD. ORDINARY SHARES Military/Government/Technical Industrials
7921    PSA 1/2/1998 100 PUBLIC STORAGE COMMON STOCK Real Estate Investment Trusts Real Estate
7922    PSA.F 5/16/2007 4.37 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 5.15% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES F PAR VALUE $0.01 PER SHARE
7923    PSA.G 5/16/2007 3.5 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 5.05% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES G
7924    PSA.H 5/16/2007 3.09 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 5.60% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES H
7925    PSA.I 5/16/2007 4.48 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.875% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES I PAR VALUE $0.01 PER SHARE
7926    PSA.J 11/18/2019 1.79 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.700% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES J PAR VALUE $0.01 PER SHARE
7927    PSA.K 5/16/2007 3.63 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.75% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES K
7928    PSA.L 5/16/2007 3.81 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.625% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES L PAR VALUE $0.01 PER SHARE
7929    PSA.M 5/16/2007 3.94 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.125% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES M
7930    PSA.N 7/26/2007 2.63 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 3.875% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES N
7931    PSA.P 10/12/2010 4.17 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.000% CUMULATIVE PREFERRED SHARE OF BENE CIAL INTEREST SERIES P
7932    PSA.Q 4/14/2011 3.61 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 3.950% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES Q PAR VALUE $0.01 PER SHARE
7933    PSA.R 7/26/2011 4.88 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.00% CUMULATIVE PREFERRED SHARE OF BENE CIAL INTEREST SERIES R
7934    PSA.S 1/12/2012 4.59 PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A 4.100% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST SERIES S
7935    PSBD 1/18/2024 0.65 PALMER SQUARE CAPITAL BDC INC. COMMON STOCK
7936    PSC 9/22/2016 0.96 PRINCIPAL U.S. SMALL-CAP ETF Exchange Traded Fund Financial
7937    PSCC 4/7/2010 2.13 INVESCO S&P SMALLCAP CONSUMER STAPLES ETF Exchange Traded Fund Financial
7938    PSCD 4/7/2010 2.43 INVESCO S&P SMALLCAP CONSUMER DISCRETIONARY ETF Exchange Traded Fund Financial
7939    PSCE 4/7/2010 10 INVESCO S&P SMALLCAP ENERGY ETF Exchange Traded Fund Financial
7940    PSCF 4/7/2010 2.82 INVESCO S&P SMALLCAP FINANCIALS ETF Exchange Traded Fund Financial
7941    PSCH 4/7/2010 7.06 INVESCO S&P SMALLCAP HEALTH CARE ETF Exchange Traded Fund Financial
7942    PSCI 4/7/2010 2.05 INVESCO S&P SMALLCAP INDUSTRIALS ETF Exchange Traded Fund Financial
7943    PSCJ 7/1/2021 0.11 PACER SWAN SOS CONSERVATIVE (JULY) ETF Exchange Traded Fund Financial
7944    PSCM 4/7/2010 1.44 INVESCO S&P SMALLCAP MATERIALS ETF Exchange Traded Fund Financial
7945    PSCQ 10/1/2021 0.08 PACER SWAN SOS CONSERVATIVE (OCTOBER) ETF Exchange Traded Fund Financial
7946    PSCT 4/7/2010 6.12 INVESCO S&P SMALLCAP INFORMATION TECHNOLOGY ETF Exchange Traded Fund Financial
7947    PSCU 4/7/2010 1.76 INVESCO S&P SMALLCAP UTILITIES & COMMUNICATION SERVICES ETF Exchange Traded Fund Financial
7948    PSCW 4/1/2021 0.1 PACER SWAN SOS CONSERVATIVE (APRIL) ETF Exchange Traded Fund Financial
7949    PSCX 12/23/2020 0.11 PACER SWAN SOS CONSERVATIVE (JANUARY) ETF Exchange Traded Fund Financial
7950    PSDM 8/1/2023 0.08 PGIM ETF TRUST PGIM SHORT DURATION MULTI-SECTOR BOND ETF Exchange Traded Fund Financial
7951    PSEC 7/27/2004 82 PROSPECT CAPITAL CORPORATION COMMON STOCK Finance: Consumer Services Finance
7952    PSEC.A 7/23/2021 1.16 PROSPECT CAPITAL CORPORATION 5.35% SERIES A FIXED RATE CUMULATIVE PERPETUAL PREFERRED STOCK
7953    PSEP 9/3/2019 2.17 INNOVATOR U.S. EQUITY POWER BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
7954    PSET 4/30/2019 0.37 PRINCIPAL QUALITY ETF Exchange Traded Fund Financial
7955    PSF 11/26/2010 9.35 COHEN & STEERS SELECT PREFERRED AND INCOME FUND INC. COMMON STOCK Investment Managers Finance
7956    PSFD 12/23/2020 0.15 PACER SWAN SOS FLEX (JANUARY) ETF Exchange Traded Fund Financial
7957    PSFE 10/9/2020 18 PAYSAFE LIMITED COMMON SHARES Business Services Consumer Discretionary
7958    PSFF 12/30/2020 1.39 PACER SWAN SOS FUND OF FUNDS ETF Exchange Traded Fund Financial
7959    PSFJ 7/1/2021 0.16 PACER SWAN SOS FLEX (JULY) ETF Exchange Traded Fund Financial
7960    PSFM 4/1/2021 0.1 PACER SWAN SOS FLEX (APRIL) ETF Exchange Traded Fund Financial
7961    PSFO 10/1/2021 0.1 PACER SWAN SOS FLEX (OCTOBER) ETF Exchange Traded Fund Financial
7962    PSH 12/19/2023 0.09 PGIM ETF TRUST PGIM SHORT DURATION HIGH YIELD ETF Exchange Traded Fund Financial
7963    PSHG 1/3/2011 24 PERFORMANCE SHIPPING INC. COMMON SHARES Marine Transportation Consumer Discretionary
7964    PSI 6/23/2005 14 INVESCO SEMICONDUCTORS ETF Exchange Traded Fund Financial
7965    PSIG 7/19/2024 0.82 PS INTERNATIONAL GROUP LTD. ORDINARY SHARES Oil Refining/Marketing Consumer Discretionary
7966    PSIL 9/16/2021 1.45 ADVISORSHARES PSYCHEDELICS ETF Exchange Traded Fund Financial
7967    PSIX 4/17/2012 7.49 POWER SOLUTIONS INTERNATIONAL INC. COMMON STOCK Industrial Machinery/Components Industrials
7968    PSK 9/17/2009 18 SPDR ICE PREFERRED SECURITIES ETF Exchange Traded Fund Financial
7969    PSL 10/12/2006 3.74 INVESCO DORSEY WRIGHT CONSUMER STAPLES MOMENTUM ETF Exchange Traded Fund Financial
7970    PSLV 10/29/2010 44 SPROTT PHYSICAL SILVER TRUST ETV Exchange Traded Fund Financial
7971    PSMD 12/23/2020 0.13 PACER SWAN SOS MODERATE (JANUARY) ETF Exchange Traded Fund Financial
7972    PSMJ 7/1/2021 0.21 PACER SWAN SOS MODERATE (JULY) ETF Exchange Traded Fund Financial
7973    PSMO 10/1/2021 0.14 PACER SWAN SOS MODERATE (OCTOBER) ETF Exchange Traded Fund Financial
7974    PSMR 4/1/2021 0.12 PACER SWAN SOS MODERATE (APRIL) ETF Exchange Traded Fund Financial
7975    PSMT 1/2/1998 42 PRICESMART INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
7976    PSN 5/8/2019 17 PARSONS CORPORATION COMMON STOCK EDP Services Technology
7977    PSNL 6/20/2019 16 PERSONALIS INC. COMMON STOCK Medical Specialities Health Care
7978    PSNY 6/24/2022 13 POLESTAR AUTOMOTIVE HOLDING UK PLC CLASS A ADS Auto Manufacturing Consumer Discretionary
7979    PSNYW 6/24/2022 1.72 POLESTAR AUTOMOTIVE HOLDING UK PLC CLASS C-1 ADS (ADW) Auto Manufacturing Consumer Discretionary
7980    PSO 9/1/2000 57 PEARSON PLC COMMON STOCK Books Consumer Discretionary
7981    PSP 10/24/2006 21 INVESCO GLOBAL LISTED PRIVATE EQUITY ETF Exchange Traded Fund Financial
7982    PSQ 6/21/2006 67 PROSHARES SHORT QQQ Exchange Traded Fund Financial
7983    PSQA 9/12/2024 0.02 PALMER SQUARE FUNDS TRUST PALMER SQUARE CLO SENIOR DEBT ETF Exchange Traded Fund Financial
7984    PSQH 7/7/2021 3.42 PSQ HOLDINGS INC. CLASS A COMMON STOCK Advertising Consumer Discretionary
7985    PSQO 9/13/2024 0.04 PALMER SQUARE FUNDS TRUST PALMER SQUARE CREDIT OPPORTUNITIES E Exchange Traded Fund Financial
7986    PSR 11/21/2008 1.89 INVESCO ACTIVE U.S. REAL ESTATE FUND Exchange Traded Fund Financial
7987    PST 5/22/2008 14 PROSHARES ULTRASHORT LEHMAN 7-10 YEAR TREASURY Exchange Traded Fund Financial
7988    PSTG 10/7/2015 42 PURE STORAGE INC. CLASS A COMMON STOCK Electronic Components Technology
7989    PSTL 5/15/2019 7.49 POSTAL REALTY TRUST INC. CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
7990    PSTP 3/8/2022 0.35 INNOVATOR ETFS TRUST INNOVATOR POWER BUFFER STEP-UP STRATEGY E Exchange Traded Fund Financial
7991    PSTR 3/8/2010 2.18 PEAKSHARES SECTOR ROTATION ETF Exchange Traded Fund Financial
7992    PSTV 5/16/2007 38 PLUS THERAPEUTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
7993    PSWD 7/13/2023 0.03 XTRACKERS CYBERSECURITY SELECT EQUITY ETF Exchange Traded Fund Financial
7994    PSX 5/1/2012 63 PHILLIPS 66 COMMON STOCK Integrated oil Companies Energy
7995    PT 10/25/2018 5.28 PINTEC TECHNOLOGY HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Programming Data Processing Technology
7996    PTA 10/28/2020 7.45 COHEN & STEERS TAX-ADVANTAGED PREFERRED SECURITIES AND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
7997    PTBD 10/23/2019 5.48 PACER TRENDPILOT US BOND ETF Exchange Traded Fund Financial
7998    PTC 1/2/1998 62 PTC INC. COMMON STOCK Computer Software: Prepackaged Software Technology
7999    PTCT 6/20/2013 39 PTC THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8000    PTEC 8/14/2023 0.02 GLOBAL X PROPTECH ETF Exchange Traded Fund Financial
8001    PTEN 1/2/1998 127 PATTERSON-UTI ENERGY INC. COMMON STOCK Oil & Gas Production Energy
8002    PTEU 12/17/2015 2.22 PACER TRENDPILOTTM EUROPEAN INDEX ETF Exchange Traded Fund Financial
8003    PTF 10/12/2006 5.63 INVESCO DORSEY WRIGHT TECHNOLOGY MOMENTUM ETF Exchange Traded Fund Financial
8004    PTGX 8/11/2016 21 PROTAGONIST THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8005    PTH 10/12/2006 7.18 INVESCO DORSEY WRIGHT HEALTHCARE MOMENTUM ETF Exchange Traded Fund Financial
8006    PTHL 9/5/2024 0.3 PHETON HOLDINGS LTD CLASS A ORDINARY SHARES Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
8007    PTIN 5/6/2019 1.52 PACER TRENDPILOT INTERNATIONAL ETF Exchange Traded Fund Financial
8008    PTIR 9/4/2024 2.04 GRANITESHARES 2X LONG PLTR DAILY ETF Exchange Traded Fund Financial
8009    PTIX 4/27/2021 2.79 PROTAGENIC THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8010    PTIXW 4/27/2021 0.12 PROTAGENIC THERAPEUTICS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
8011    PTL 3/26/2024 0.16 NORTHERN LIGHTS FUND TRUST IV INSPIRE 500 ETF Exchange Traded Fund Financial
8012    PTLC 6/12/2015 17 PACER FUND TRUST PACER TRENDPILOT US LARGE CAP ETF Exchange Traded Fund Financial
8013    PTLE 10/16/2024 0.67 PTL LTD ORDINARY SHARES Oil Refining/Marketing Energy
8014    PTLO 10/21/2021 13 PORTILLO'S INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
8015    PTMC 6/12/2015 7.25 PACER TRENDPILOT US MID CAP ETF Exchange Traded Fund Financial
8016    PTMN 5/16/2007 29 PORTMAN RIDGE FINANCE CORPORATION COMMON STOCK Finance: Consumer Services Finance
8017    PTN 4/25/2007 34 PALATIN TECHNOLOGIES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8018    PTNQ 6/12/2015 7.05 PACER TRENDPILOT 100 ETF Exchange Traded Fund Financial
8019    PTON 9/26/2019 30 PELOTON INTERACTIVE INC. CLASS A COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
8020    PTPI 12/2/2020 6.17 PETROS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8021    PTRB 12/8/2021 0.91 PGIM ETF TRUST PGIM TOTAL RETURN BOND ETF Exchange Traded Fund Financial
8022    PTVE 9/17/2020 11 PACTIV EVERGREEN INC. COMMON STOCK Containers/Packaging Consumer Discretionary
8023    PTY 12/26/2002 51 PIMCO CORPORATE & INCOME OPPORTUNITY FUND Investment Managers Finance
8024    PUBM 12/9/2020 15 PUBMATIC INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
8025    PUCK 3/26/2021 0.3
8026    PUCKU 2/11/2021 0.22
8027    PUCKW 3/26/2021 0.42
8028    PUI 10/26/2005 5.04 INVESCO DORSEY WRIGHT UTILITIES MOMENTUM ETF Exchange Traded Fund Financial
8029    PUK 6/29/2000 60 PRUDENTIAL PUBLIC LIMITED COMPANY COMMON STOCK Life Insurance Finance
8030    PULM 3/21/2014 12 PULMATRIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8031    PULS 4/10/2018 15 PGIM ULTRA SHORT BOND ETF Exchange Traded Fund Financial
8032    PULT 1/23/2023 0.14 PUTNAM ETF TRUST PUTNAM ESG ULTRA SHORT ETF Exchange Traded Fund Financial
8033    PUMP 3/17/2017 32 PROPETRO HOLDING CORP. COMMON STOCK Oilfield Services/Equipment Energy
8034    PUSH 7/22/2024 0.01 PGIM ETF TRUST PGIM ULTRA SHORT MUNICIPAL BOND ETF Exchange Traded Fund Financial
8035    PUTD 10/20/2023 0.01 CBOE VALIDUS S&P 500 DYNAMIC PUTWRITE INDEX ETF Exchange Traded Fund Financial
8036    PUTW 2/25/2016 3.6 WISDOMTREE PUTWRITE STRATEGY FUND Exchange Traded Fund Financial
8037    PVAL 5/26/2021 2.71 PUTNAM FOCUSED LARGE CAP VALUE ETF Exchange Traded Fund Financial
8038    PVBC 7/16/2015 4.32 PROVIDENT BANCORP INC. (MD) COMMON STOCK Banks Finance
8039    PVH 1/2/1998 99 PVH CORP. COMMON STOCK Apparel Consumer Discretionary
8040    PVI 11/15/2007 6.1 INVESCO FLOATING RATE MUNICIPAL INCOME ETF Exchange Traded Fund Financial
8041    PVL 11/3/2011 14 PERMIANVILLE ROYALTY TRUST TRUST UNITS Oil & Gas Production Energy
8042    PVLA 6/26/2015 19 PALVELLA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8043    PW 2/10/2006 4.21 POWER REIT (MD) COMMON STOCK Real Estate Investment Trusts Real Estate
8044    PW.A 3/19/2014 0.27 POWER REIT 7.75% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK
8045    PWB 3/3/2005 14 INVESCO LARGE CAP GROWTH ETF Exchange Traded Fund Financial
8046    PWER 12/1/2023 0.01 MACQUARIE ETF TRUST MACQUARIE ENERGY TRANSITION ETF Exchange Traded Fund Financial
8047    PWM 7/6/2023 2.04 PRESTIGE WEALTH INC. CLASS A ORDINARY SHARES Finance: Consumer Services Finance
8048    PWOD 3/29/2006 4.16 PENNS WOODS BANCORP INC. COMMON STOCK Major Banks Finance
8049    PWP 11/24/2020 11 PERELLA WEINBERG PARTNERS CLASS A COMMON STOCK Finance: Consumer Services Finance
8050    PWR 2/12/1998 107 QUANTA SERVICES INC. COMMON STOCK Engineering & Construction Industrials
8051    PWRD 7/26/2007 29 TCW TRANSFORM SYSTEMS ETF Exchange Traded Fund Financial
8052    PWS 12/12/2017 0.98 PACER WEALTHSHIELD ETF Exchange Traded Fund Financial
8053    PWUP 4/11/2022 0.15
8054    PWUPU 2/18/2022 0.1
8055    PWUPW 4/11/2022 0.15
8056    PWV 3/3/2005 20 INVESCO LARGE CAP VALUE ETF Exchange Traded Fund Financial
8057    PWZ 10/19/2007 7.24 INVESCO CALIFORNIA AMT-FREE MUNICIPAL BOND PORTFOLIO Exchange Traded Fund Financial
8058    PX 10/21/2021 8.59 P10 INC. CLASS A COMMON STOCK Investment Managers Finance
8059    PXE 11/1/2005 13 INVESCO ENERGY EXPLORATION & PRODUCTION ETF Exchange Traded Fund Financial
8060    PXF 6/25/2007 13 INVESCO FTSE RAFI DEVELOPED MARKETS EX-U.S. ETF Exchange Traded Fund Financial
8061    PXH 9/28/2007 28 INVESCO FTSE RAFI EMERGING MARKETS ETF Exchange Traded Fund Financial
8062    PXI 10/12/2006 8.26 INVESCO DORSEY WRIGHT ENERGY MOMENTUM ETF Exchange Traded Fund Financial
8063    PXJ 10/26/2005 19 INVESCO OIL & GAS SERVICES ETF Exchange Traded Fund Financial
8064    PXLW 5/19/2000 50 PIXELWORKS INC. COMMON STOCK Semiconductors Technology
8065    PXMD 8/26/2022 4.14
8066    PXS 11/4/2015 7.96 PYXIS TANKERS INC. COMMON STOCK Marine Transportation Consumer Discretionary
8067    PXSAW 10/8/2020 0.27 PYXIS TANKERS INC. WARRANT Marine Transportation Consumer Discretionary
8068    PY 12/11/2017 0.51 PRINCIPAL VALUE ETF Exchange Traded Fund Financial
8069    PYCR 7/21/2021 12 PAYCOR HCM INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8070    PYLD 6/22/2023 3.03 PIMCO U.S. TREASURY INDEX FUND PIMCO MULTISECTOR BOND ACTIVE E Exchange Traded Fund Financial
8071    PYN 10/29/2002 4.68 PIMCO NEW YORK MUNICIPAL INCOME FUND III COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
8072    PYPD 6/26/2020 1.99 POLYPID LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
8073    PYPL 7/6/2015 55 PAYPAL HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
8074    PYPY 9/26/2023 1.05 TIDAL TRUST II YIELDMAX PYPL OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
8075    PYT 11/21/2005 0.86 PPLUS TR GSC-2 TR CTF FLTG RATE Finance: Consumer Services Finance
8076    PYXS 10/8/2021 6.46 PYXIS ONCOLOGY INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8077    PYZ 10/12/2006 4.1 INVESCO DORSEY WRIGHT BASIC MATERIALS MOMENTUM ETF Exchange Traded Fund Financial
8078    PZA 10/18/2007 32 INVESCO NATIONAL AMT-FREE MUNICIPAL BOND ETFO Exchange Traded Fund Financial
8079    PZC 10/29/2002 13 PIMCO CALIFORNIA MUNICIPAL INCOME FUND III COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
8080    PZG 8/1/2007 24 PARAMOUNT GOLD NEVADA CORP. COMMON STOCK Metal Mining Basic Materials
8081    PZT 10/11/2007 2.96 INVESCO NEW YORK AMT-FREE MUNICIPAL BOND ETF Exchange Traded Fund Financial
8082    PZZA 1/2/1998 84 PAPA JOHN'S INTERNATIONAL INC. COMMON STOCK Restaurants Consumer Discretionary
8083    QABA 7/1/2009 6.4 FIRST TRUST NASDAQ ABA COMMUNITY BANK INDEX FUND Exchange Traded Fund Financial
8084    QAI 3/25/2009 16 NYLI HEDGE MULTI-STRATEGY TRACKER ETF Exchange Traded Fund Financial
8085    QARP 4/5/2018 0.81 XTRACKERS RUSSELL 1000 US QUALITY AT A REASONABLE PRICE ETF ET Exchange Traded Fund Financial
8086    QAT 5/1/2014 2.5 ISHARES MSCI QATAR ETF Exchange Traded Fund Financial
8087    QBAK 6/23/2000 3.36
8088    QBER 7/2/2024 0.13 ELEVATION SERIES TRUST TRUESHARES QUARTERLY BEAR HEDGE ETF Exchange Traded Fund Financial
8089    QBIG 12/4/2024 0.16 INVESCO TOP QQQ ETF Exchange Traded Fund Financial
8090    QBTS 8/8/2022 12 D-WAVE QUANTUM INC. COMMON SHARES EDP Services Technology
8091    QBUF 7/1/2024 0.14 INNOVATOR NASDAQ-100 10 BUFFER ETF QUARTERLY Exchange Traded Fund Financial
8092    QBUL 7/2/2024 0.08 ELEVATION SERIES TRUST TRUESHARES QUARTERLY BULL HEDGE ETF Exchange Traded Fund Financial
8093    QCAP 4/22/2024 0.08 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST NASDAQ-100 CONSE Exchange Traded Fund Financial
8094    QCJL 7/22/2024 0.14 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST NASDAQ-100 CONSE Exchange Traded Fund Financial
8095    QCLN 2/14/2007 20 FIRST TRUST NASDAQ CLEAN EDGE GREEN ENERGY INDEX FUND Exchange Traded Fund Financial
8096    QCLR 8/26/2021 0.07 GLOBAL X NASDAQ 100 COLLAR 95-110 ETF Exchange Traded Fund Financial
8097    QCOM 1/2/1998 150 QUALCOMM INCORPORATED COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
8098    QCON 2/18/2021 0.26 AMERICAN CENTURY ETF TRUST AMERICAN CENTURY QUALITY CONVERTIBL Exchange Traded Fund Financial
8099    QCRH 9/27/2005 9.62 QCR HOLDINGS INC. COMMON STOCK Major Banks Finance
8100    QD 4/13/2007 26 QUDIAN INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Finance: Consumer Services Finance
8101    QDCC 5/8/2024 0.01 GLOBAL X FUNDS GLOBAL X S&P 500 QUALITY DIVIDEND COVERED CALL Exchange Traded Fund Financial
8102    QDEC 12/21/2020 1.37 FT VEST NASDAQ-100 BUFFER ETF - DECEMBER Exchange Traded Fund Financial
8103    QDEF 12/19/2012 3.24 FLEXSHARES QUALITY DIVIDEND DEFENSIVE INDEX FUND Exchange Traded Fund Financial
8104    QDEL 1/2/1998 64 QUIDELORTHO CORPORATION COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
8105    QDF 12/19/2012 9.98 FLEXSHARES QUALITY DIVIDEND INDEX FUND Exchange Traded Fund Financial
8106    QDIV 7/17/2018 0.59 GLOBAL X S&P 500 QUALITY DIVIDEND ETF Exchange Traded Fund Financial
8107    QDPL 7/27/2021 2.18 PACER METAURUS US LARGE CAP DIVIDEND MULTIPLIER 400 ETF Exchange Traded Fund Financial
8108    QDTE 3/7/2024 2.88 ROUNDHILL INNOVATION-100 0DTE COVERED CALL STRATEGY ETF Exchange Traded Fund Financial
8109    QDVO 8/22/2024 0.23 AMPLIFY ETF TRUST AMPLIFY CWP GROWTH & INCOME ETF Exchange Traded Fund Financial
8110    QEFA 6/5/2014 4.75 SPDR MSCI EAFE STRATEGICFACTORS ETF Exchange Traded Fund Financial
8111    QEMM 6/5/2014 1.43 SPDR MSCI EMERGING MARKETS STRATEGICFACTORS ETF Exchange Traded Fund Financial
8112    QETA 11/30/2023 0.04 QUETTA ACQUISITION CORPORATION COMMON STOCK Blank Checks Finance
8113    QETAR 11/30/2023 0.03 QUETTA ACQUISITION CORPORATION RIGHT Blank Checks Finance
8114    QETH 7/23/2024 0.36 INVESCO GALAXY ETHEREUM ETF Exchange Traded Fund Financial
8115    QFIN 12/14/2018 25 QIFU TECHNOLOGY INC. AMERICAN DEPOSITARY SHARES Finance: Consumer Services Finance
8116    QFLR 1/26/2024 0.61 INNOVATOR ETFS TRUST INNOVATOR NASDAQ-100 MANAGED FLOOR ETF Exchange Traded Fund Financial
8117    QGEN 2/15/2005 77 QIAGEN N.V. COMMON SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8118    QGRO 9/12/2018 2.17 AMERICAN CENTURY U.S. QUALITY GROWTH ETF Exchange Traded Fund Financial
8119    QGRW 12/22/2022 1.38 WISDOMTREE TRUST WISDOMTREE U.S. QUALITY GROWTH FUND Exchange Traded Fund Financial
8120    QH 7/10/2020 2.91 QUHUO LIMITED AMERICAN DEPOSITORY SHARES Business Services Consumer Discretionary
8121    QHDG 8/20/2024 0.03 INNOVATOR HEDGED NASDAQ-100 ETF Exchange Traded Fund Financial
8122    QHY 7/8/2024 0.19 WISDOMTREE U.S. HIGH YIELD CORPORATE BOND FUND Exchange Traded Fund Financial
8123    QID 7/13/2006 111 PROSHARES ULTRASHORT QQQ Exchange Traded Fund Financial
8124    QIG 7/9/2024 0.01 WISDOMTREE U.S. CORPORATE BOND FUND Exchange Traded Fund Financial
8125    QINT 9/18/2018 1.06 AMERICAN CENTURY QUALITY DIVERSIFIED INTERNATIONAL ETF Exchange Traded Fund Financial
8126    QIPT 5/27/2021 4.08 QUIPT HOME MEDICAL CORP. COMMON SHARES Misc Health and Biotechnology Services Health Care
8127    QIS 7/11/2023 0.2 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY MULTI-QIS ALTERNATIVE Exchange Traded Fund Financial
8128    QLC 9/24/2015 0.89 FLEXSHARES TRUST FLEXSHARES US QUALITY LARGE CAP INDEX FUND Exchange Traded Fund Financial
8129    QLD 6/21/2006 105 PROSHARES ULTRA QQQ Exchange Traded Fund Financial
8130    QLGN 6/24/2015 15 QUALIGEN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8131    QLTA 2/16/2012 9.77 ISHARES AAA A RATED CORPORATE BOND ETF Exchange Traded Fund Financial
8132    QLTI 2/26/1999 45 THE 2023 ETF SERIES TRUST II GMO INTERNATIONAL QUALITY ETF Exchange Traded Fund Financial
8133    QLTY 11/15/2023 1.7 THE 2023 ETF SERIES TRUST II GMO U.S. QUALITY ETF Exchange Traded Fund Financial
8134    QLV 7/16/2019 0.89 FLEXSHARES US QUALITY LOW VOLATILITY INDEX FUND Exchange Traded Fund Financial
8135    QLVD 7/16/2019 0.24 FLEXSHARES DEVELOPED MARKETS EX-US QUALITY LOW VOLATILITY INDE Exchange Traded Fund Financial
8136    QLVE 7/16/2019 0.19 FLEXSHARES EMERGING MARKETS QUALITY LOW VOLATILITY INDEX FUND Exchange Traded Fund Financial
8137    QLYS 9/28/2012 35 QUALYS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8138    QMAR 3/22/2021 1.04 FT VEST NASDAQ-100 BUFFER ETF - MARCH Exchange Traded Fund Financial
8139    QMCO 1/15/2019 11 QUANTUM CORPORATION COMMON STOCK Electronic Components Technology
8140    QMID 1/25/2024 0.03 WISDOMTREE U.S. MIDCAP QUALITY GROWTH FUND Exchange Traded Fund Financial
8141    QMMM 7/19/2024 1.44 QMMM HOLDINGS LIMITED ORDINARY SHARES Advertising Consumer Discretionary
8142    QMMY 5/20/2024 0.16 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST NASDAQ-100 MODER Exchange Traded Fund Financial
8143    QMOM 12/2/2015 1.63 ALPHA ARCHITECT U.S. QUANTITATIVE MOMENTUM ETF Exchange Traded Fund Financial
8144    QNCX 5/9/2019 9.79 QUINCE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8145    QNRX 8/1/2016 9.55 QUOIN PHARMACEUTICALS LTD. AMERICAN DEPOSITARY SHARES Medical/Dental Instruments Health Care
8146    QNST 2/11/2010 35 QUINSTREET INC. COMMON STOCK Business Services Consumer Discretionary
8147    QNTM 1/9/2020 7.79 QUANTUM BIOPHARMA LTD. CLASS B SUBORDINATE VOTING SHARES Biotechnology: Pharmaceutical Preparations Health Care
8148    QNXT 10/24/2024 0.07 ISHARES NASDAQ-100 EX TOP 30 ETF Exchange Traded Fund Financial
8149    QOWZ 12/6/2023 0.09 INVESCO NASDAQ FREE CASH FLOW ACHIEVERS ETF Exchange Traded Fund Financial
8150    QPFF 2/19/2021 0.46 AMERICAN CENTURY ETF TRUST AMERICAN CENTURY QUALITY PREFERRED Exchange Traded Fund Financial
8151    QPX 12/29/2020 0.47 ADVISORSHARES Q DYNAMIC GROWTH ETF Exchange Traded Fund Financial
8152    QQA 7/17/2024 0.17 INVESCO QQQ INCOME ADVANTAGE ETF Exchange Traded Fund Financial
8153    QQEW 5/2/2006 15 FIRST TRUST NASDAQ-100 EQUAL WEIGHTED INDEX FUND Exchange Traded Fund Financial
8154    QQH 10/10/2019 1.93 HCM DEFENDER 100 INDEX ETF Exchange Traded Fund Financial
8155    QQJG 10/27/2021 0.12 INVESCO ESG NASDAQ NEXT GEN 100 ETF Exchange Traded Fund Financial
8156    QQLV 12/4/2024 0.01 INVESCO QQQ LOW VOLATILITY ETF Exchange Traded Fund Financial
8157    QQMG 10/28/2021 0.6 INVESCO ESG NASDAQ 100 ETF Exchange Traded Fund Financial
8158    QQQ 3/10/1999 203 INVESCO QQQ TRUST SERIES 1 Exchange Traded Fund Financial
8159    QQQA 5/20/2021 0.37 PROSHARES NASDAQ-100 DORSEY WRIGHT MOMENTUM ETF Exchange Traded Fund Financial
8160    QQQD 3/8/2024 0.15 DIREXION DAILY MAGNIFICENT 7 BEAR 1X SHARES Exchange Traded Fund Financial
8161    QQQE 3/21/2012 9.11 DIREXION NASDAQ-100 EQUAL WEIGHTED INDEX SHARES Exchange Traded Fund Financial
8162    QQQG 8/21/2024 0.04 PACER NASDAQ 100 TOP 50 CASH COWS GROWTH LEADERS ETF Exchange Traded Fund Financial
8163    QQQH 12/20/2019 7.02 NEOS NASDAQ-100 HEDGED EQUITY INCOME ETF Exchange Traded Fund Financial
8164    QQQI 1/30/2024 2.5 NEOS NASDAQ 100 HIGH INCOME ETF Exchange Traded Fund Financial
8165    QQQJ 10/13/2020 9.98 INVESCO NASDAQ NEXT GEN 100 ETF Exchange Traded Fund Financial
8166    QQQM 10/13/2020 19 INVESCO NASDAQ 100 ETF Exchange Traded Fund Financial
8167    QQQP 10/1/2024 0.06 TRADR 2X LONG TRIPLE Q QUARTERLY ETF Exchange Traded Fund Financial
8168    QQQS 10/13/2022 0.24 INVESCO NASDAQ FUTURE GEN 200 ETF Exchange Traded Fund Financial
8169    QQQT 6/21/2024 0.35 DEFIANCE NASDAQ 100 INCOME TARGET ETF Exchange Traded Fund Financial
8170    QQQU 3/7/2024 0.58 DIREXION DAILY MAGNIFICENT 7 BULL 2X SHARES Exchange Traded Fund Financial
8171    QQQW 9/3/2024 0.03
8172    QQQX 2/1/2007 26 NUVEEN NASDAQ 100 DYNAMIC OVERWRITE FUND SHARES OF BENEFICIAL INTEREST Finance Companies Finance
8173    QQQY 9/14/2023 4.49 DEFIANCE NASDAQ 100 ENHANCED OPTIONS & 0DTE INCOME ETF Exchange Traded Fund Financial
8174    QQXT 5/8/2007 3.34 FIRST TRUST NASDAQ-100 EX-TECHNOLOGY SECTOR INDEX FUND Exchange Traded Fund Financial
8175    QRFT 5/21/2019 0.49 QRAFT AI-ENHANCED U.S. LARGE CAP ETF Exchange Traded Fund Financial
8176    QRHC 1/5/2010 5.06 QUEST RESOURCE HOLDING CORPORATION COMMON STOCK Environmental Services Utilities
8177    QRMI 8/26/2021 0.45 GLOBAL X NASDAQ 100 RISK MANAGED INCOME ETF Exchange Traded Fund Financial
8178    QRTEA 3/12/2018 31
8179    QRTEB 3/16/2018 0.88
8180    QRTEP 9/1/2020 4.11
8181    QRVO 1/2/2015 45 QORVO INC. COMMON STOCK Semiconductors Technology
8182    QS 8/17/2020 26 QUANTUMSCAPE CORPORATION CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
8183    QSG 1/25/2023 1.67 QUANTASING GROUP LIMITED AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
8184    QSI 11/13/2020 15 QUANTUM-SI INCORPORATED CLASS A COMMON STOCK Industrial Machinery/Components Industrials
8185    QSIAW 11/4/2020 0.78 QUANTUM-SI INCORPORATED WARRANT Industrial Machinery/Components Industrials
8186    QSIG 7/8/2024 0.05 WISDOMTREE U.S. SHORT TERM CORPORATE BOND FUND Exchange Traded Fund Financial
8187    QSIX 9/24/2024 0.04 PACER METAURUS NASDAQ 100 DIVIDEND MULTIPLIER 600 ETF Exchange Traded Fund Financial
8188    QSML 1/25/2024 0.05 WISDOMTREE U.S. SMALLCAP QUALITY GROWTH FUND Exchange Traded Fund Financial
8189    QSPT 9/20/2021 0.72 FT VEST NASDAQ-100 BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
8190    QSR 12/15/2014 47 RESTAURANT BRANDS INTERNATIONAL INC. COMMON SHARES Restaurants Consumer Discretionary
8191    QSWN 12/9/2021 0.04
8192    QTAP 4/1/2021 0.26 INNOVATOR GROWTH ACCELERATED PLUS ETF - APRIL Exchange Traded Fund Financial
8193    QTEC 5/3/2006 26 FIRST TRUST NASDAQ-100-TECHNOLOGY SECTOR INDEX FUND Exchange Traded Fund Financial
8194    QTJA 1/3/2022 0.27 INNOVATOR ETFS TRUST INNOVATOR GROWTH ACCELERATED PLUS ETF - J Exchange Traded Fund Financial
8195    QTJL 7/1/2021 0.23 INNOVATOR GROWTH ACCELERATED PLUS ETF - JULY Exchange Traded Fund Financial
8196    QTOC 10/1/2021 0.15 INNOVATOR GROWTH ACCELERATED PLUS ETF - OCTOBER Exchange Traded Fund Financial
8197    QTOP 10/24/2024 0.37 ISHARES NASDAQ TOP 30 STOCKS ETF Exchange Traded Fund Financial
8198    QTR 8/26/2021 0.07 GLOBAL X NASDAQ 100 TAIL RISK ETF Exchange Traded Fund Financial
8199    QTRX 12/7/2017 16 QUANTERIX CORPORATION COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
8200    QTTB 3/28/2018 14 Q32 BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8201    QTUM 9/5/2018 3.98 DEFIANCE QUANTUM ETF Exchange Traded Fund Financial
8202    QTWO 3/20/2014 30 Q2 HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8203    QUAD 7/6/2010 36 QUAD GRAPHICS INC CLASS A COMMON STOCK Publishing Consumer Discretionary
8204    QUAL 7/18/2013 37 ISHARES MSCI USA QUALITY FACTOR ETF Exchange Traded Fund Financial
8205    QUBT 12/4/2007 13 QUANTUM COMPUTING INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8206    QUIK 10/18/1999 32 QUICKLOGIC CORPORATION COMMON STOCK Semiconductors Technology
8207    QULL 2/5/2021 0.24 ETRACS 2X LEVERAGED MSCI US QUALITY FACTOR TR ETN Exchange Traded Fund Financial
8208    QURE 2/5/2014 32 UNIQURE N.V. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
8209    QUS 8/24/2015 3.69 SPDR MSCI USA STRATEGICFACTORS ETF Exchange Traded Fund Financial
8210    QUVU 10/16/2023 0.18 HARTFORD FUNDS EXCHANGE-TRADED TRUST HARTFORD QUALITY VALUE ET Exchange Traded Fund Financial
8211    QVAL 10/22/2014 2.88 ALPHA ARCHITECT U.S. QUANTITATIVE VALUE ETF Exchange Traded Fund Financial
8212    QVCC 11/29/2019 4.18 QVC INC. 6.250% SENIOR SECURED NOTES DUE 2068 Catalog/Specialty Distribution Consumer Discretionary
8213    QVCD 9/18/2018 2.85 QVC INC. 6.375% SENIOR SECURED NOTES DUE 2067 Catalog/Specialty Distribution Consumer Discretionary
8214    QVCGA 3/12/2018 30 QVC GROUP INC. SERIES A COMMON STOCK
8215    QVCGB 3/16/2018 0.98 QVC GROUP INC. SERIES B COMMON STOCK
8216    QVCGP 9/1/2020 4.19 QVC GROUP INC. 8.0% FIXED RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
8217    QVML 6/30/2021 0.11 INVESCO S&P 500 QVM MULTI-FACTOR ETF Exchange Traded Fund Financial
8218    QVMM 6/30/2021 0.09 INVESCO S&P MIDCAP 400 QVM MULTI-FACTOR ETF Exchange Traded Fund Financial
8219    QVMS 6/30/2021 0.07 INVESCO S&P SMALLCAP 600 QVM MULTI-FACTOR ETF Exchange Traded Fund Financial
8220    QVOY 12/7/2022 0.26 Q3 ALL-SEASON ACTIVE ROTATION ETF Q3 ALL-SEASON ACTIVE ROTATIO Exchange Traded Fund Financial
8221    QWLD 6/5/2014 0.56 SPDR MSCI WORLD STRATEGICFACTORS ETF Exchange Traded Fund Financial
8222    QXO 5/16/2007 6.62 QXO INC. COMMON STOCK EDP Services Technology
8223    QXQ 6/14/2024 0.06 SGI ENHANCED NASDAQ-100 ETF Exchange Traded Fund Financial
8224    QYLD 12/12/2013 34 GLOBAL X NASDAQ 100 COVERED CALL ETF Exchange Traded Fund Financial
8225    QYLE 2/22/2023 0.04
8226    QYLG 9/23/2020 1.69 GLOBAL X NASDAQ 100 COVERED CALL & GROWTH ETF Exchange Traded Fund Financial
8227    R 1/2/1998 99 RYDER SYSTEM INC. COMMON STOCK Rental/Leasing Companies Consumer Discretionary
8228    RA 12/5/2016 18 BROOKFIELD REAL ASSETS INCOME FUND INC. COMMON STOCK Investment Managers Finance
8229    RAAX 4/10/2018 1.56 VANECK REAL ASSETS ETF Exchange Traded Fund Financial
8230    RACE 10/21/2015 31 FERRARI N.V. COMMON SHARES Auto Manufacturing Consumer Discretionary
8231    RADX 12/5/2024 0.19 RADIOPHARM THERANOSTICS LIMITED AMERICAN DEPOSITARY SHARES
8232    RAFE 12/19/2019 0.32 PIMCO RAFI ESG U.S. ETF Exchange Traded Fund Financial
8233    RAIL 4/6/2005 39 FREIGHTCAR AMERICA INC. COMMON STOCK Railroads Industrials
8234    RAIN 4/23/2021 3.64 RAIN ENHANCEMENT TECHNOLOGIES HOLDCO INC. CLASS A COMMON STOCK Industrial Machinery/Components Technology
8235    RAINW 1/3/2025 0.02 RAIN ENHANCEMENT TECHNOLOGIES HOLDCO INC. WARRANTS Industrial Machinery/Components Technology
8236    RAMP 5/2/2007 60 LIVERAMP HOLDINGS INC. COMMON STOCK EDP Services Technology
8237    RAND 10/16/2002 1.96 RAND CAPITAL CORPORATION COMMON STOCK Finance: Consumer Services Finance
8238    RANG 1/13/2025 0.01 RANGE CAPITAL ACQUISITION CORP. ORDINARY SHARES
8239    RANGR 1/13/2025 0.01 RANGE CAPITAL ACQUISITION CORP. RIGHTS
8240    RANGU 12/20/2024 0.03 RANGE CAPITAL ACQUISITION CORP. UNITS
8241    RANI 7/30/2021 3.37 RANI THERAPEUTICS HOLDINGS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8242    RAPP 6/7/2024 1.06 RAPPORT THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8243    RAPT 12/13/2010 12 RAPT THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8244    RARE 1/31/2014 36 ULTRAGENYX PHARMACEUTICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8245    RATE 11/14/2022 0.07 GLOBAL X FUNDS GLOBAL X INTEREST RATE HEDGE ETF Exchange Traded Fund Financial
8246    RAVE 5/16/2007 11 RAVE RESTAURANT GROUP INC. COMMON STOCK Food Distributors Consumer Discretionary
8247    RAVI 10/11/2012 2.85 FLEXSHARES ULTRA-SHORT INCOME FUND Exchange Traded Fund Financial
8248    RAY 5/15/2024 0.48 RAYTECH HOLDING LIMITED ORDINARY SHARES Consumer Electronics/Appliances Consumer Discretionary
8249    RAYA 12/14/2022 0.65 ERAYAK POWER SOLUTION GROUP INC. CLASS A ORDINARY SHARES Metal Fabrications Consumer Discretionary
8250    RAYC 12/31/2020 0.73 RAYLIANT QUANTAMENTAL CHINA EQUITY ETF Exchange Traded Fund Financial
8251    RAYD 12/16/2021 0.14 THE ADVISORS' INNER CIRCLE FUND III RAYLIANT QUANTITATIVE DEVE Exchange Traded Fund Financial
8252    RAYE 12/16/2021 0.16 RAYLIANT QUANTAMENTAL EMERGING MARKET EX-CHINA EQUITY ETF Exchange Traded Fund Financial
8253    RAYJ 4/4/2024 0.06 THE ADVISORS' INNER CIRCLE FUND III RAYLIANT SMDAM JAPAN EQUIT Exchange Traded Fund Financial
8254    RAYS 9/13/2021 0.45 GLOBAL X SOLAR ETF Exchange Traded Fund Financial
8255    RBA 3/10/1998 72 RB GLOBAL INC. COMMON STOCK Business Services Consumer Discretionary
8256    RBB 7/26/2017 5.37 RBB BANCORP COMMON STOCK Major Banks Finance
8257    RBBN 4/30/2007 55 RIBBON COMMUNICATIONS INC. COMMON STOCK EDP Services Technology
8258    RBC 1/21/2005 56 RBC BEARINGS INCORPORATED COMMON STOCK Metal Fabrications Industrials
8259    RBCAA 7/22/1998 16 REPUBLIC BANCORP INC. CLASS A COMMON STOCK Major Banks Finance
8260    RBCN 11/16/2007 23
8261    RBKB 1/17/2019 0.52 RHINEBECK BANCORP INC. COMMON STOCK Banks Finance
8262    RBLD 10/17/2008 1.44 FIRST TRUST ALERIAN US NEXTGEN INFRASTRUCTURE ETF Exchange Traded Fund Financial
8263    RBLX 3/10/2021 24 ROBLOX CORPORATION CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
8264    RBOT 9/4/2020 8.25 VICARIOUS SURGICAL INC. CLASS A COMMON STOCK Industrial Specialties Health Care
8265    RBRK 4/25/2024 3.73 RUBRIK INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
8266    RBUF 7/1/2024 0.11 SHL TELEMEDICINE LTD INNOVATOR U.S. SMALL CAP 10 BUFFER ETF - Exchange Traded Fund Financial
8267    RC 2/8/2013 28 READY CAPITAL CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
8268    RC.C 3/23/2021 0.13 READY CAPITAL CORPORATION 6.25% SERIES C CUMULATIVE CONVERTIBLE PREFERRED STOCK
8269    RC.E 6/17/2021 0.88 READY CAPITAL CORPORATION 6.50% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK
8270    RCAT 5/17/2007 10 RED CAT HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8271    RCB 7/25/2019 0.65 READY CAPITAL CORPORATION 6.20% SENIOR NOTES DUE 2026 Real Estate Investment Trusts Real Estate
8272    RCC 2/16/2021 0.61 READY CAPITAL CORPORATION 5.75% SENIOR NOTES DUE 2026 Real Estate Investment Trusts Real Estate
8273    RCD 11/7/2006 4.18 READY CAPITAL CORPORATION 9.00% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
8274    RCEL 5/14/2012 11 AVITA MEDICAL INC. COMMON STOCK Medical/Dental Instruments Health Care
8275    RCG 5/22/2007 2.13 RENN FUND INC COMMON STOCK Investment Managers Finance
8276    RCI 1/2/1998 86 ROGERS COMMUNICATION INC. COMMON STOCK Cable & Other Pay Television Services Telecommunications
8277    RCKT 2/18/2015 28 ROCKET PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8278    RCKTW 2/27/2023 0.14 ROCKET PHARMACEUTICALS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
8279    RCKY 1/2/1998 18 ROCKY BRANDS INC. COMMON STOCK Shoe Manufacturing Consumer Discretionary
8280    RCL 1/2/1998 121 ROYAL CARIBBEAN CRUISES LTD. COMMON STOCK Marine Transportation Consumer Discretionary
8281    RCMT 1/2/1998 12 RCM TECHNOLOGIES INC. COMMON STOCK Professional Services Consumer Discretionary
8282    RCON 7/31/2009 13 RECON TECHNOLOGY LTD. CLASS A ORDINARY SHARES Oilfield Services/Equipment Energy
8283    RCS 1/2/1998 28 PIMCO STRATEGIC INCOME FUND INC. Investment Managers Finance
8284    RCUS 3/15/2018 20 ARCUS BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8285    RDAC 12/2/2024 0.01 RISING DRAGON ACQUISITION CORP. ORDINARY SHARES
8286    RDACR 12/2/2024 0.01
8287    RDACU 10/11/2024 0.01
8288    RDCM 4/5/1999 9.98 RADCOM LTD. ORDINARY SHARES Computer peripheral equipment Technology
8289    RDDT 3/21/2024 5.59 REDDIT INC. CLASS A COMMON STOCK EDP Services Technology
8290    RDFI 10/21/2020 0.33 RAREVIEW DYNAMIC FIXED INCOME ETF Exchange Traded Fund Financial
8291    RDFN 7/28/2017 33 REDFIN CORPORATION COMMON STOCK Real Estate Finance
8292    RDGT 9/28/2009 11 RIDGETECH INC. ORDINARY SHARES Retail-Drug Stores and Proprietary Stores Consumer Staples
8293    RDHL 1/7/2013 17 REDHILL BIOPHARMA LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
8294    RDI 3/30/2004 9.96 READING INTERNATIONAL INC CLASS A COMMON STOCK Movies/Entertainment Consumer Discretionary
8295    RDIB 9/4/2009 0.43 READING INTERNATIONAL INC CLASS B COMMON STOCK Movies/Entertainment Consumer Discretionary
8296    RDIV 10/1/2013 13 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO S&P ULTRA DIVIDE Exchange Traded Fund Financial
8297    RDN 6/10/1999 111 RADIAN GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
8298    RDNT 2/14/2007 35 RADNET INC. COMMON STOCK Medical Specialities Health Care
8299    RDOG 1/2/2020 0.25 ALPS ETF TRUST ALPS REIT DIVIDEND DOGS ETF Exchange Traded Fund Financial
8300    RDUS 6/6/2014 36 RADIUS RECYCLING INC. CLASS A COMMON STOCK Industrial Specialties Consumer Discretionary
8301    RDVI 10/20/2022 4.62 FT VEST RISING DIVIDEND ACHIEVERS TARGET INCOME ETF Exchange Traded Fund Financial
8302    RDVT 3/27/2018 4.99 RED VIOLET INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8303    RDVY 1/7/2014 25 FIRST TRUST RISING DIVIDEND ACHIEVERS ETF Exchange Traded Fund Financial
8304    RDW 9/3/2021 8.31 REDWIRE CORPORATION COMMON STOCK Military/Government/Technical Industrials
8305    RDWR 9/30/1999 51 RADWARE LTD. ORDINARY SHARES Business Services Consumer Discretionary
8306    RDY 4/11/2001 67 DR. REDDY'S LABORATORIES LTD COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8307    RDZN 1/13/2022 1.63 ROADZEN INC. ORDINARY SHARES Specialty Insurers Finance
8308    RDZNW 1/13/2022 0.2
8309    REAI 6/13/2023 0.05 INTELLIGENT REAL ESTATE ETF Exchange Traded Fund Financial
8310    REAL 6/28/2019 25 THE REALREAL INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
8311    REAX 6/15/2021 5.83 THE REAL BROKERAGE INC. COMMON SHARES Real Estate Finance
8312    REBN 8/12/2022 2.17 REBORN COFFEE INC. COMMON STOCK Restaurants Consumer Discretionary
8313    RECS 9/25/2019 2.82 COLUMBIA RESEARCH ENHANCED CORE ETF Exchange Traded Fund Financial
8314    RECT 6/21/2024 0.19 RECTITUDE HOLDINGS LTD ORDINARY SHARES Industrial Machinery/Components Consumer Discretionary
8315    REE 7/23/2021 7.48 REE AUTOMOTIVE LTD. CLASS A ORDINARY SHARES Auto Manufacturing Consumer Discretionary
8316    REED 5/1/2007 13
8317    REET 7/10/2014 25 ISHARES TRUST ISHARES GLOBAL REIT ETF Exchange Traded Fund Financial
8318    REFI 12/8/2021 3.8 CHICAGO ATLANTIC REAL ESTATE FINANCE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8319    REFR 1/2/1998 18 RESEARCH FRONTIERS INCORPORATED COMMON STOCK Multi-Sector Companies Miscellaneous
8320    REG 1/2/1998 92 REGENCY CENTERS CORPORATION COMMON STOCK Real Estate Investment Trusts Real Estate
8321    REGCO 8/22/2023 0.18 REGENCY CENTERS CORPORATION 5.875% SERIES B CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
8322    REGCP 8/21/2023 0.12 REGENCY CENTERS CORPORATION 6.25% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK Real Estate Investment Trusts Real Estate
8323    REGL 2/5/2015 8.79 PROSHARES S&P MIDCAP 400 DIVIDEND ARISTOCRATS ETF Exchange Traded Fund Financial
8324    REGN 1/2/1998 98 REGENERON PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8325    REI 2/13/2012 35 RING ENERGY INC. COMMON STOCK Oil & Gas Production Energy
8326    REIT 2/26/2021 0.47 ALPS ACTIVE REIT ETF Exchange Traded Fund Financial
8327    REK 3/18/2010 5.63 PROSHARES SHORT REAL ESTATE Exchange Traded Fund Financial
8328    REKR 8/29/2017 17 REKOR SYSTEMS INC. COMMON STOCK Telecommunications Equipment Telecommunications
8329    REKT 7/17/2024 0.02 DIREXION SHARES ETF TRUST DIREXION DAILY CRYPTO INDUSTRY BEAR Exchange Traded Fund Financial
8330    RELI 2/9/2021 5.56 RELIANCE GLOBAL GROUP INC. COMMON STOCK Specialty Insurers Finance
8331    RELIW 2/9/2021 0.31 RELIANCE GLOBAL GROUP INC. SERIES A WARRANTS Specialty Insurers Finance
8332    RELL 1/5/1998 22 RICHARDSON ELECTRONICS LTD. COMMON STOCK Electronic Components Technology
8333    RELV 1/2/1998 6.4
8334    RELX 5/7/2007 42 RELX PLC PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE ORDINARY SHARE) Business Services Consumer Discretionary
8335    RELY 4/21/2015 18 REMITLY GLOBAL INC. COMMON STOCK Business Services Consumer Discretionary
8336    REM 5/4/2007 47 ISHARES TRUST ISHARES MORTGAGE REAL ESTATE ETF Exchange Traded Fund Financial
8337    REMX 10/28/2010 20 VANECK RARE EARTH AND STRATEGIC METALS ETF Exchange Traded Fund Financial
8338    RENB 2/2/2015 8.16 RENOVARO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8339    RENE 7/8/2022 0.14 CARTESIAN GROWTH CORPORATION II CLASS A ORDINARY SHARES Blank Checks Finance
8340    RENEU 5/6/2022 0.05
8341    RENEW 7/5/2022 0.1
8342    RENO 10/28/2015 4.73
8343    RENT 10/27/2021 8.78 RENT THE RUNWAY INC. CLASS A COMMON STOCK Other Specialty Stores Consumer Discretionary
8344    REPL 7/20/2018 15 REPLIMUNE GROUP INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8345    REPX 5/16/2007 14 RILEY EXPLORATION PERMIAN INC. COMMON STOCK Oil & Gas Production Energy
8346    RERE 6/18/2021 7.02 ATRENEW INC. AMERICAN DEPOSITARY SHARES (EVERY THREE OF WHICH REPRESENTING TWO CLASS A ORDINARY SHARES) Other Specialty Stores Consumer Discretionary
8347    RES 1/2/1998 88 RPC INC. COMMON STOCK Oilfield Services/Equipment Energy
8348    RETL 7/14/2010 16 DIREXION DAILY RETAIL BULL 3X SHARES ETF Exchange Traded Fund Financial
8349    RETO 11/29/2017 6.6 RETO ECO-SOLUTIONS INC. CLASS A SHARES Industrial Machinery/Components Industrials
8350    REVB 11/17/2020 5.48 REVELATION BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8351    REVBW 11/16/2020 0.92 REVELATION BIOSCIENCES INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
8352    REVG 1/27/2017 23 REV GROUP INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
8353    REVS 9/25/2019 0.56 COLUMBIA RESEARCH ENHANCED VALUE ETF Exchange Traded Fund Financial
8354    REW 2/2/2007 10 PROSHARES ULTRASHORT TECHNOLOGY Exchange Traded Fund Financial
8355    REX 11/27/2009 16 REX AMERICAN RESOURCES CORPORATION Major Chemicals Industrials
8356    REXR 7/19/2013 43 REXFORD INDUSTRIAL REALTY INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8357    REXR.B 11/16/2017 0.7 REXFORD INDUSTRIAL REALTY INC. 5.875% SERIES B CUMULATIVE REDEEMABLE PREFERRED STOCK
8358    REXR.C 9/24/2019 0.68 REXFORD INDUSTRIAL REALTY INC. 5.625% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK PAR VALUE $0.01 PER SHARE
8359    REYN 1/31/2020 16 REYNOLDS CONSUMER PRODUCTS INC. COMMON STOCK Containers/Packaging Consumer Discretionary
8360    REZ 5/4/2007 15 ISHARES RESIDENTIAL AND MULTISECTOR REAL ESTATE ETF Exchange Traded Fund Financial
8361    REZI 10/15/2018 23 RESIDEO TECHNOLOGIES INC. COMMON STOCK Wholesale Distributors Industrials
8362    RF 5/10/2002 115 REGIONS FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
8363    RF.C 5/3/2019 4.07 REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.700% FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES C
8364    RF.E 5/6/2021 2.43 REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 4.45% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E
8365    RF.F 7/29/2024 0.68 REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES F
8366    RFAC 4/20/2022 0.14
8367    RFACR 4/20/2022 0.07
8368    RFACU 3/24/2022 0.05
8369    RFACW 4/20/2022 0.08
8370    RFAI 7/5/2024 0.03 RF ACQUISITION CORP II ORDINARY SHARES
8371    RFAIR 7/5/2024 0.02
8372    RFAIU 5/17/2024 0.04
8373    RFCI 6/17/2016 0.76 RIVERFRONT DYNAMIC CORE INCOME ETF Exchange Traded Fund Financial
8374    RFDA 9/28/2016 0.98 RIVERFRONT DYNAMIC US DIVIDEND ADVANTAGE ETF Exchange Traded Fund Financial
8375    RFDI 4/14/2016 3.07 FIRST TRUST RIVERFRONT DYNAMIC DEVELOPED INTERNATIONAL ETF Exchange Traded Fund Financial
8376    RFEM 6/15/2016 1.14 FIRST TRUST RIVERFRONT DYNAMIC EMERGING MARKETS ETF Exchange Traded Fund Financial
8377    RFEU 4/14/2016 0.81 FIRST TRUST RIVERFRONT DYNAMIC EUROPE ETF Exchange Traded Fund Financial
8378    RFFC 6/28/2016 1.14 ALPS ACTIVE EQUITY OPPORTUNITY ETF Exchange Traded Fund Financial
8379    RFG 6/22/2006 8.84 INVESCO S&P MIDCAP 400 PURE GROWTH ETF Exchange Traded Fund Financial
8380    RFI 1/2/1998 18 COHEN & STEERS TOTAL RETURN REALTY FUND INC. COMMON STOCK Investment Managers Finance
8381    RFIL 9/5/2002 7.72 RF INDUSTRIES LTD. COMMON STOCK Electrical Products Technology
8382    RFL 7/22/2008 6.12 RAFAEL HOLDINGS INC. CLASS B COMMON STOCK Real Estate Finance
8383    RFLR 9/17/2024 0.06 INNOVATOR U.S. SMALL CAP MANAGED FLOOR ETF Exchange Traded Fund Financial
8384    RFM 3/27/2020 1.53 RIVERNORTH FLEXIBLE MUNICIPAL INCOME FUND INC. COMMON STOCK Finance/Investors Services Finance
8385    RFMZ 2/24/2021 3.14 RIVERNORTH FLEXIBLE MUNICIPAL INCOME FUND II INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
8386    RFV 3/7/2006 4.02 INVESCO S&P MIDCAP 400 PURE VALUE ETF Exchange Traded Fund Financial
8387    RGA 11/26/2008 58 REINSURANCE GROUP OF AMERICA INCORPORATED COMMON STOCK Life Insurance Finance
8388    RGC 5/10/2002 62 REGENCELL BIOSCIENCE HOLDINGS LIMITED ORDINARY SHARES Medicinal Chemicals and Botanical Products Health Care
8389    RGCO 2/24/2004 2.87 RGC RESOURCES INC. COMMON STOCK Oil & Gas Production Utilities
8390    RGEF 10/28/2024 0.02 TIDAL TRUST III ROCKEFELLER GLOBAL EQUITY ETF Exchange Traded Fund Financial
8391    RGEN 1/2/1998 53 REPLIGEN CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8392    RGLD 1/2/1998 92 ROYAL GOLD INC. COMMON STOCK Precious Metals Industrials
8393    RGLS 10/9/2012 25 REGULUS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8394    RGNX 9/17/2015 26 REGENXBIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8395    RGP 5/9/2007 49 RESOURCES CONNECTION INC. COMMON STOCK Business Services Consumer Discretionary
8396    RGR 1/2/1998 62 STURM RUGER & COMPANY INC. COMMON STOCK Ordnance And Accessories Industrials
8397    RGS 3/27/2003 62 REGIS CORPORATION COMMON STOCK Other Consumer Services Consumer Discretionary
8398    RGT 10/18/2013 4.07 ROYCE GLOBAL TRUST INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
8399    RGTI 3/2/2022 15 RIGETTI COMPUTING INC. COMMON STOCK EDP Services Technology
8400    RGTIW 3/2/2022 1.49 RIGETTI COMPUTING INC. WARRANTS EDP Services Technology
8401    RH 11/2/2012 49 RH COMMON STOCK Other Specialty Stores Consumer Discretionary
8402    RHI 1/2/1998 112 ROBERT HALF INC. COMMON STOCK Professional Services Consumer Discretionary
8403    RHLD 2/20/2025 0.09 RESOLUTE HOLDINGS MANAGEMENT COMMON STOCK Finance: Consumer Services Finance
8404    RHLDV 2/20/2025 0.01
8405    RHP 4/30/2007 65 RYMAN HOSPITALITY PROPERTIES INC. (REIT) Real Estate Investment Trusts Real Estate
8406    RHRX 11/8/2021 0.16 RH TACTICAL ROTATION ETF Exchange Traded Fund Financial
8407    RHTX 11/8/2021 0.11 RH TACTICAL OUTLOOK ETF Exchange Traded Fund Financial
8408    RIBB 3/7/2025 0.01 RIBBON ACQUISITION CORP CLASS A ORDINARY SHARES
8409    RIBBR 3/7/2025 0.01 RIBBON ACQUISITION CORP RIGHTS
8410    RIBBU 1/15/2025 0.01 RIBBON ACQUISITION CORP UNIT
8411    RIBT 5/9/2007 12
8412    RICK 1/2/1998 23 RCI HOSPITALITY HOLDINGS INC. COMMON STOCK Restaurants Consumer Discretionary
8413    RIET 9/22/2021 2.01 HOYA CAPITAL HIGH DIVIDEND YIELD ETF Exchange Traded Fund Financial
8414    RIG 1/2/1998 128 TRANSOCEAN LTD (SWITZERLAND) COMMON STOCK Oil & Gas Production Energy
8415    RIGL 11/29/2000 66 RIGEL PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8416    RIGS 10/9/2013 5.25 RIVERFRONT STRATEGIC INCOME FUND Exchange Traded Fund Financial
8417    RILY 8/4/2009 17 B. RILEY FINANCIAL INC. COMMON STOCK Investment Managers Finance
8418    RILYG 12/6/2021 1.29 B. RILEY FINANCIAL INC. 5.00% SENIOR NOTES DUE 2026 Investment Managers Finance
8419    RILYK 3/30/2021 1.41 B. RILEY FINANCIAL INC. 5.50% SENIOR NOTES DUE 2026 Investment Managers Finance
8420    RILYL 9/8/2020 0.73 B. RILEY FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING 1/1000TH IN A SHARE OF 7.375% SERIES B CUMULATIVE PERPETUAL PREFERRED STOCK PAR VALUE $0.0001 Investment Managers Finance
8421    RILYM 2/13/2020 2.01
8422    RILYN 9/24/2019 2.33 B. RILEY FINANCIAL INC. 6.50% SENIOR NOTES DUE 2026 Investment Managers Finance
8423    RILYP 10/8/2019 1.19 B. RILEY FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH FRACTIONAL INTEREST IN A SHARE OF SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK Investment Managers Finance
8424    RILYT 1/26/2021 1.88 B. RILEY FINANCIAL INC. 6.00% SENIOR NOTES DUE 2028 Investment Managers Finance
8425    RILYZ 8/9/2021 3.1 B. RILEY FINANCIAL INC. 5.25% SENIOR NOTES DUE 2028 Investment Managers Finance
8426    RIME 7/7/2009 4.08 ALGORHYTHM HOLDINGS INC. COMMON STOCK Diversified Electronic Products Consumer Staples
8427    RINC 8/28/2023 0.17 INVESTMENT MANAGERS SERIES TRUST II AXS REAL ESTATE INCOME ETF Exchange Traded Fund Financial
8428    RINF 3/7/2014 1.87 PROSHARES INFLATION EXPECTATIONS ETF Exchange Traded Fund Financial
8429    RING 2/2/2012 18 ISHARES MSCI GLOBAL GOLD MINERS ETF Exchange Traded Fund Financial
8430    RIO 2/11/2010 83 RIO TINTO PLC COMMON STOCK Metal Mining Basic Materials
8431    RIOT 3/31/2016 45 RIOT PLATFORMS INC. COMMON STOCK Finance: Consumer Services Finance
8432    RISN 7/17/2020 0.64 INSPIRE TACTICAL BALANCED ETF Exchange Traded Fund Financial
8433    RISR 10/1/2021 1.52 FOLIOBEYOND ALTERNATIVE INCOME AND INTEREST RATE HEDGE ETF Exchange Traded Fund Financial
8434    RITA 12/9/2021 0.06 ETF SERIES SOLUTIONS ETFB GREEN SRI REITS ETF Exchange Traded Fund Financial
8435    RITM 5/2/2013 57 RITHM CAPITAL CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
8436    RITM.A 7/5/2019 2.32 RITHM CAPITAL CORP. 7.50% SERIES A FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
8437    RITM.B 8/19/2019 3.24 RITHM CAPITAL CORP. 7.125% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
8438    RITM.C 2/20/2020 3.35 RITHM CAPITAL CORP. 6.375% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
8439    RITM.D 9/22/2021 2.31 RITHM CAPITAL CORP. 7.00% FIXED-RATE RESET SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK
8440    RITR 8/23/2024 0.44 REITAR LOGTECH HOLDINGS LIMITED ORDINARY SHARES Real Estate Finance
8441    RIV 1/8/2016 7.94 RIVERNORTH OPPORTUNITIES FUND INC. COMMON STOCK Finance Companies Finance
8442    RIV.A 5/4/2022 0.56 RIVERNORTH OPPORTUNITIES FUND INC. 6.00% SERIES A PERPETUAL PREFERRED STOCK
8443    RIVN 11/10/2021 26 RIVIAN AUTOMOTIVE INC. CLASS A COMMON STOCK Auto Manufacturing Consumer Discretionary
8444    RJF 1/2/1998 102 RAYMOND JAMES FINANCIAL INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
8445    RJF.B 6/2/2022 0.25 RAYMOND JAMES FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 6.375% FIXED-TO-FLOATING RATE SERIES B NON-CUMULATIVE PERPETUAL PREFERRED STOCK
8446    RJMG 1/18/2024 0.06 FIRST TRUST EXCHANGE-TRADED FUND VIII FT RAYMOND JAMES MULTICA Exchange Traded Fund Financial
8447    RKDA 5/15/2015 11 ARCADIA BIOSCIENCES INC. COMMON STOCK Farming/Seeds/Milling Consumer Staples
8448    RKLB 11/24/2020 22 ROCKET LAB USA INC. COMMON STOCK Military/Government/Technical Industrials
8449    RKT 8/6/2020 24 ROCKET COMPANIES INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
8450    RL 1/2/1998 106 RALPH LAUREN CORPORATION COMMON STOCK Apparel Consumer Discretionary
8451    RLAY 7/16/2020 16 RELAY THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8452    RLGT 5/18/2007 17 RADIANT LOGISTICS INC. COMMON STOCK Oil Refining/Marketing Consumer Discretionary
8453    RLI 1/2/1998 51 RLI CORP. COMMON STOCK (DE) Property-Casualty Insurers Finance
8454    RLJ 5/11/2011 60 RLJ LODGING TRUST COMMON SHARES OF BENEFICIAL INTEREST $0.01 PAR VALUE Real Estate Investment Trusts Real Estate
8455    RLJ.A 9/1/2017 3.69 RLJ LODGING TRUST $1.95 SERIES A CUMULATIVE CONVERTIBLE PREFERRED SHARES
8456    RLMD 9/8/2015 9.54 RELMADA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8457    RLTY 2/24/2022 3.48 COHEN & STEERS REAL ESTATE OPPORTUNITIES AND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
8458    RLX 1/22/2021 21 RLX TECHNOLOGY INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING THE RIGHT TO RECEIVE ONE (1) CLASS A ORDINARY SHARE Medicinal Chemicals and Botanical Products Health Care
8459    RLY 4/26/2012 6.27 SPDR SSGA MULTI ASSET REAL RETURN ETF Exchange Traded Fund Financial
8460    RLYB 7/29/2021 3.54 RALLYBIO CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8461    RM 3/28/2012 15 REGIONAL MANAGEMENT CORP. COMMON STOCK Finance: Consumer Services Finance
8462    RMAX 10/2/2013 19 RE/MAX HOLDINGS INC. CLASS A COMMON STOCK Real Estate Finance
8463    RMBI 7/2/2019 2.1 RICHMOND MUTUAL BANCORPORATION INC. COMMON STOCK Major Banks Finance
8464    RMBL 1/9/2017 10 RUMBLEON INC. CLASS B COMMON STOCK EDP Services Technology
8465    RMBS 1/2/1998 108 RAMBUS INC. COMMON STOCK Semiconductors Technology
8466    RMCA 8/13/2024 0.01 TIDAL TRUST III ROCKEFELLER CALIFORNIA MUNICIPAL BOND ETF Exchange Traded Fund Financial
8467    RMCF 1/2/1998 6.53 ROCKY MOUNTAIN CHOCOLATE FACTORY INC. COMMON STOCK Specialty Foods Consumer Staples
8468    RMCO 5/5/2021 0.85 ROYALTY MANAGEMENT HOLDING CORPORATION CLASS A COMMON STOCK Multi-Sector Companies Miscellaneous
8469    RMCOW 4/30/2021 0.18
8470    RMD 9/30/1999 95 RESMED INC. COMMON STOCK Medical/Dental Instruments Health Care
8471    RMI 10/26/2018 2.1 RIVERNORTH OPPORTUNISTIC MUNICIPAL INCOME FUND INC. COMMON STOCK Finance/Investors Services Finance
8472    RMIF 6/9/2023 0.07 ETF SERIES SOLUTIONS LHA RISK-MANAGED INCOME ETF Exchange Traded Fund Financial
8473    RMM 7/26/2019 4.31 RIVERNORTH MANAGED DURATION MUNICIPAL INCOME FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
8474    RMMZ 2/11/2022 1.16 RIVERNORTH MANAGED DURATION MUNICIPAL INCOME FUND II INC. COMMON STOCK Investment Managers Finance
8475    RMNI 8/28/2015 12 RIMINI STREET INC. (DE) COMMON STOCK Business Services Consumer Discretionary
8476    RMNY 2/28/2025 0.01 TIDAL TRUST III ROCKEFELLER NEW YORK MUNICIPAL BOND ETF Exchange Traded Fund Financial
8477    RMOP 8/14/2024 0.14 TIDAL TRUST III ROCKEFELLER OPPORTUNISTIC MUNICIPAL BOND ETF Exchange Traded Fund Financial
8478    RMR 12/14/2015 11 THE RMR GROUP INC. CLASS A COMMON STOCK Professional Services Consumer Discretionary
8479    RMSG 11/20/2024 0.19 REAL MESSENGER CORPORATION ORDINARY SHARES Computer Software: Programming Data Processing Technology
8480    RMSGW 11/20/2024 0.05 REAL MESSENGER CORPORATION WARRANTS Computer Software: Programming Data Processing Technology
8481    RMT 12/1/2003 23 ROYCE MICRO-CAP TRUST INC. COMMON STOCK Investment Managers Finance
8482    RMTI 1/27/1998 37 ROCKWELL MEDICAL INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8483    RNA 6/28/2013 17 AVIDITY BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8484    RNAC 6/22/2016 21 CARTESIAN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8485    RNAZ 7/9/2021 7.47 TRANSCODE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8486    RND 5/6/2024 0.01 FIRST TRUST EXCHANGE-TRADED FUND VI FIRST TRUST BLOOMBERG R&D Exchange Traded Fund Financial
8487    RNEM 7/10/2017 0.26 EMERGING MARKETS EQUITY SELECT ETF Exchange Traded Fund Financial
8488    RNEW 10/20/2022 0.05 VANECK GREEN INFRASTRUCTURE ETF Exchange Traded Fund Financial
8489    RNG 9/27/2013 44 RINGCENTRAL INC. CLASS A COMMON STOCK EDP Services Technology
8490    RNGR 8/11/2017 5.5 RANGER ENERGY SERVICES INC. CLASS A COMMON STOCK Oilfield Services/Equipment Energy
8491    RNP 6/25/2003 37 COHEN & STEERS REIT AND PREFERRED AND INCOME FUND INC. COMMON SHARES Investment Managers Finance
8492    RNR 1/2/1998 83 RENAISSANCERE HOLDINGS LTD. COMMON STOCK Property-Casualty Insurers Finance
8493    RNR.F 6/22/2018 2.7 RENAISSANCERE HOLDINGS LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 5.750% SERIES F PREFERENCE SHARE
8494    RNR.G 7/15/2021 1.85 RENAISSANCERE HOLDINGS LTD. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.20% SERIES G PREFERENCE SHARES
8495    RNRG 5/28/2015 2.85 GLOBAL X RENEWABLE ENERGY PRODUCERS ETF Exchange Traded Fund Financial
8496    RNST 5/2/2005 38 RENASANT CORPORATION COMMON STOCK Major Banks Finance
8497    RNTX 6/29/2017 9.36 REIN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8498    RNW 8/24/2021 11 RENEW ENERGY GLOBAL PLC CLASS A ORDINARY SHARES Electric Utilities: Central Utilities
8499    RNWWW 8/24/2021 0.54 RENEW ENERGY GLOBAL PLC WARRANT Electric Utilities: Central Utilities
8500    RNWZ 12/9/2022 0.02 LISTED FUNDS TRUST TRUESHARES EAGLE GLOBAL RENEWABLE ENERGY IN Exchange Traded Fund Financial
8501    RNXT 8/26/2021 2.13 RENOVORX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8502    ROAD 5/4/2018 15 CONSTRUCTION PARTNERS INC. CLASS A COMMON STOCK Military/Government/Technical Industrials
8503    ROAM 2/27/2015 1.04 HARTFORD MULTIFACTOR EMERGING MARKETS ETF Exchange Traded Fund Financial
8504    ROBO 10/22/2013 19 EXCHANGE TRADED CONCEPTS TRUST ROBO GLOBAL ROBOTICS AND AUTOMA Exchange Traded Fund Financial
8505    ROBT 3/5/2018 4.7 FIRST TRUST NASDAQ ARTIFICIAL INTELLIGENCE AND ROBOTICS ETF Exchange Traded Fund Financial
8506    ROCK 1/2/1998 48 GIBRALTAR INDUSTRIES INC. COMMON STOCK Steel/Iron Ore Industrials
8507    RODE 11/6/2019 0.13 HARTFORD MULTIFACTOR DIVERSIFIED INTERNATIONAL ETF Exchange Traded Fund Financial
8508    RODM 2/27/2015 16 HARTFORD MULTIFACTOR DEVELOPED MARKETS (EX-US) ETF Exchange Traded Fund Financial
8509    ROE 8/1/2023 0.23 ASTORIA US EQUAL WEIGHT QUALITY KINGS ETF Exchange Traded Fund Financial
8510    ROG 4/18/2000 44 ROGERS CORPORATION COMMON STOCK Major Chemicals Industrials
8511    ROIC 11/3/2009 59
8512    ROIS 3/19/2024 0.01 LATTICE STRATEGIES TRUST HARTFORD MULTIFACTOR INTERNATIONAL SM Exchange Traded Fund Financial
8513    ROIV 10/1/2021 14 ROIVANT SCIENCES LTD. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
8514    ROK 1/2/1998 113 ROCKWELL AUTOMATION INC. COMMON STOCK Industrial Machinery/Components Industrials
8515    ROKT 10/23/2018 0.6 SPDR S&P KENSHO FINAL FRONTIERS ETF Exchange Traded Fund Financial
8516    ROKU 9/28/2017 44 ROKU INC. CLASS A COMMON STOCK Cable & Other Pay Television Services Telecommunications
8517    ROL 1/2/1998 80 ROLLINS INC. COMMON STOCK Diversified Commercial Services Finance
8518    ROLR 10/23/2024 0.14 HIGH ROLLER TECHNOLOGIES INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
8519    ROM 2/1/2007 24 PROSHARES ULTRA TECHNOLOGY Exchange Traded Fund Financial
8520    ROMA 7/12/2006 6.29 ROMA GREEN FINANCE LIMITED ORDINARY SHARES Professional Services Consumer Discretionary
8521    ROMO 11/4/2019 0.44 STRATEGY SHARES NEWFOUND/RESOLVE ROBUST MOMENTUM ETF Exchange Traded Fund Financial
8522    ROOT 10/28/2020 15 ROOT INC. CLASS A COMMON STOCK Property-Casualty Insurers Finance
8523    ROP 1/2/1998 87 ROPER TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Industrials
8524    RORO 11/19/2020 0.53 ATAC US ROTATION ETF Exchange Traded Fund Financial
8525    ROSC 3/24/2015 0.5 HARTFORD MULTIFACTOR SMALL CAP ETF Exchange Traded Fund Financial
8526    ROST 1/2/1998 121 ROSS STORES INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
8527    ROUS 2/27/2015 2.41 HARTFORD MULTIFACTOR U.S. EQUITY ETF Exchange Traded Fund Financial
8528    RPAR 12/13/2019 4.55 RPAR RISK PARITY ETF Exchange Traded Fund Financial
8529    RPAY 7/17/2018 18 REPAY HOLDINGS CORPORATION CLASS A COMMON STOCK Business Services Consumer Discretionary
8530    RPD 7/17/2015 31 RAPID7 INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8531    RPG 3/7/2006 25 INVESCO S&P 500 PURE GROWTH ETF Exchange Traded Fund Financial
8532    RPHS 3/31/2022 0.93 TWO ROADS SHARED TRUST REGENTS PARK HEDGED MARKET STRATEGY ETF Exchange Traded Fund Financial
8533    RPID 5/16/2007 3.32 RAPID MICRO BIOSYSTEMS INC. CLASS A COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
8534    RPM 6/9/1998 100 RPM INTERNATIONAL INC. COMMON STOCK Paints/Coatings Consumer Discretionary
8535    RPRX 6/16/2020 22 ROYALTY PHARMA PLC CLASS A ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
8536    RPT 2/13/2015 33 RITHM PROPERTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8537    RPTX 6/19/2020 7.62 REPARE THERAPEUTICS INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
8538    RPV 3/7/2006 28 INVESCO S&P 500 PURE VALUE ETF Exchange Traded Fund Financial
8539    RQI 5/10/2002 51 COHEN & STEERS QUALITY INCOME REALTY FUND INC COMMON SHARES Trusts Except Educational Religious and Charitable Finance
8540    RR 11/17/2023 5.54 RICHTECH ROBOTICS INC. CLASS B COMMON STOCK Industrial Machinery/Components Industrials
8541    RRBI 5/3/2019 1.03 RED RIVER BANCSHARES INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
8542    RRC 8/26/1998 106 RANGE RESOURCES CORPORATION COMMON STOCK Oil & Gas Production Energy
8543    RRGB 7/19/2002 60 RED ROBIN GOURMET BURGERS INC. COMMON STOCK Restaurants Consumer Discretionary
8544    RRR 4/27/2016 34 RED ROCK RESORTS INC. CLASS A COMMON STOCK Hotels/Resorts Consumer Discretionary
8545    RRTS 5/13/2010 20
8546    RRX 10/5/2021 12 REGAL REXNORD CORPORATION COMMON STOCK Metal Fabrications Consumer Discretionary
8547    RS 1/2/1998 86 RELIANCE INC. COMMON STOCK Metal Fabrications Industrials
8548    RSBT 2/8/2023 0.48 RETURN STACKED BONDS & MANAGED FUTURES ETF Exchange Traded Fund Financial
8549    RSF 6/13/2019 1.55 RIVERNORTH CAPITAL AND INCOME FUND COMMON STOCK Investment Managers Finance
8550    RSG 7/1/1998 110 REPUBLIC SERVICES INC. COMMON STOCK Environmental Services Utilities
8551    RSHO 5/11/2023 0.43 TEMA ETF TRUST TEMA AMERICAN RESHORING ETF Exchange Traded Fund Financial
8552    RSI 4/23/2020 17 RUSH STREET INTERACTIVE INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
8553    RSJN 6/24/2024 0.06 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. EQUITY EQUA Exchange Traded Fund Financial
8554    RSKD 7/29/2021 11 RISKIFIED LTD. CLASS A ORDINARY SHARES Business Services Consumer Discretionary
8555    RSLS 10/6/2016 20 RESHAPE LIFESCIENCES INC. COMMON STOCK Medical/Dental Instruments Health Care
8556    RSMC 10/11/2024 0.04 TIDAL TRUST III ROCKEFELLER U.S. SMALL-MID CAP ETF Exchange Traded Fund Financial
8557    RSP 5/1/2003 81 INVESCO S&P 500 EQUAL WEIGHT ETF Exchange Traded Fund Financial
8558    RSPA 7/17/2024 0.13 INVESCO ACTIVELY MANAGED EXCHANGE-TRADED FUND TRUS INVESCO S&P Exchange Traded Fund Financial
8559    RSPC 11/7/2018 0.92 INVESCO S&P 500 EQUAL WEIGHT COMMUNICATION SERVICES ETF Exchange Traded Fund Financial
8560    RSPD 5/16/2007 5.35 INVESCO S&P 500 EQUAL WEIGHT CONSUMER DISCRETIONARY ETF Exchange Traded Fund Financial
8561    RSPE 11/17/2021 0.25 INVESCO ESG S&P 500 EQUAL WEIGHT ETF Exchange Traded Fund Financial
8562    RSPF 5/16/2007 8.11 INVESCO S&P 500 EQUAL WEIGHT FINANCIAL ETF Exchange Traded Fund Financial
8563    RSPG 5/16/2007 12 INVESCO S&P 500 EQUAL WEIGHT ENERGY ETF Exchange Traded Fund Financial
8564    RSPH 5/16/2007 7.91 INVESCO S&P 500 EQUAL WEIGHT HEALTH CARE ETF Exchange Traded Fund Financial
8565    RSPM 5/16/2007 4.08 INVESCO S&P 500 EQUAL WEIGHT MATERIALS ETF Exchange Traded Fund Financial
8566    RSPN 5/16/2007 5.35 INVESCO S&P 500 EQUAL WEIGHT INDUSTRIALS PORTFOLIO Exchange Traded Fund Financial
8567    RSPR 8/14/2015 2.08 INVESCO S&P 500 EQUAL WEIGHT REAL ESTATE ETF Exchange Traded Fund Financial
8568    RSPS 7/1/2008 8.37 INVESCO S&P 500 EQUAL WEIGHT CONSUMER STAPLES ETF Exchange Traded Fund Financial
8569    RSPT 5/16/2007 18 INVESCO S&P 500 EQUAL WEIGHT TECHNOLOGY ETF Exchange Traded Fund Financial
8570    RSPU 5/16/2007 6.9 INVESCO S&P 500 EQUAL WEIGHT UTILITIES ETF Exchange Traded Fund Financial
8571    RSSB 12/5/2023 0.53 TIDAL TRUST II RETURN STACKED GLOBAL STOCKS & BONDS ETF Exchange Traded Fund Financial
8572    RSSE 9/23/2024 0.07 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. EQUITY EQUA Exchange Traded Fund Financial
8573    RSSL 6/5/2024 0.12 GLOBAL X FUNDS GLOBAL X RUSSELL 2000 ETF Exchange Traded Fund Financial
8574    RSSS 5/15/2009 2.15 RESEARCH SOLUTIONS INC COMMON STOCK Business Services Consumer Discretionary
8575    RSST 9/7/2023 0.93 TIDAL TRUST II RETURN STACKED U.S. STOCKS & MANAGED FUTURES ET Exchange Traded Fund Financial
8576    RSSY 5/29/2024 0.28 TIDAL TRUST II RETURN STACKED U.S. STOCKS & FUTURES YIELD ETF Exchange Traded Fund Financial
8577    RSVR 1/5/2021 3.23 RESERVOIR MEDIA INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
8578    RSVRW 1/7/2021 0.53 RESERVOIR MEDIA INC. WARRANT Services-Misc. Amusement & Recreation Consumer Discretionary
8579    RTAI 10/21/2020 0.13 RAREVIEW TAX ADVANTAGED INCOME ETF Exchange Traded Fund Financial
8580    RTC 5/16/2007 6.62 BAIJIAYUN GROUP LTD. CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
8581    RTH 5/17/2001 42 VANECK RETAIL ETF Exchange Traded Fund Financial
8582    RTO 10/27/2008 11 RENTOKIL INITIAL PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING FIVE (5) ORDINARY SHARES) Other Consumer Services Consumer Discretionary
8583    RTRE 6/3/2024 0.03 COLLABORATIVE INVESTMENT SERIES TRUST RAREVIEW TOTAL RETURN BO Exchange Traded Fund Financial
8584    RTX 4/27/2007 89 RTX CORPORATION COMMON STOCK Aerospace Industrials
8585    RULE 11/3/2021 0.39 ADAPTIVE CORE ETF Exchange Traded Fund Financial
8586    RUM 4/14/2021 14 RUMBLE INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
8587    RUMBW 4/15/2021 1.97 RUMBLE INC. WARRANT Computer Software: Programming Data Processing Technology
8588    RUN 8/5/2015 44 SUNRUN INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
8589    RUNN 6/8/2023 0.56 RUNNING OAK EFFICIENT GROWTH ETF Exchange Traded Fund Financial
8590    RUSHA 10/7/2003 49 RUSH ENTERPRISES INC. COMMON STOCK CL A Retail-Auto Dealers and Gas Stations Consumer Discretionary
8591    RUSHB 7/10/2002 7.66 RUSH ENTERPRISES INC. CLASS B Retail-Auto Dealers and Gas Stations Consumer Discretionary
8592    RVER 4/3/2024 0.12 ADVISOR MANAGED PORTFOLIOS TRENCHLESS FUND ETF Exchange Traded Fund Financial
8593    RVLV 6/7/2019 24 REVOLVE GROUP INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
8594    RVMD 2/13/2020 17 REVOLUTION MEDICINES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8595    RVMDW 11/17/2023 0.08 REVOLUTION MEDICINES INC. WARRANT
8596    RVNU 6/4/2013 2.16 XTRACKERS MUNICIPAL INFRASTRUCTURE REVENUE BOND ETF Exchange Traded Fund Financial
8597    RVP 5/4/2001 13 RETRACTABLE TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
8598    RVPH 10/18/2018 6.7 REVIVA PHARMACEUTICALS HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8599    RVPHW 10/18/2018 1.09 REVIVA PHARMACEUTICALS HOLDINGS INC. WARRANTS Biotechnology: Pharmaceutical Preparations Health Care
8600    RVRB 11/4/2022 0.01 ADVISORS SERIES TRUST REVERB ETF Exchange Traded Fund Financial
8601    RVSB 2/4/2002 8.3 RIVERVIEW BANCORP INC COMMON STOCK Savings Institutions Finance
8602    RVSN 3/31/2022 5.38 RAIL VISION LTD. ORDINARY SHARE Railroads Industrials
8603    RVSNW 3/31/2022 0.2 RAIL VISION LTD. WARRANT Railroads Industrials
8604    RVT 1/2/1998 48 ROYCE SMALL-CAP TRUST INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
8605    RVTY 4/26/2007 77 REVVITY INC. COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
8606    RVYL 2/17/2021 6.5 RYVYL INC. COMMON STOCK Professional Services Consumer Discretionary
8607    RWAY 10/21/2021 6.56 RUNWAY GROWTH FINANCE CORP. COMMON STOCK Finance: Consumer Services Finance
8608    RWAYL 8/1/2022 0.34 RUNWAY GROWTH FINANCE CORP. 7.50% NOTES DUE 2027 Finance: Consumer Services Finance
8609    RWAYZ 12/8/2022 0.32 RUNWAY GROWTH FINANCE CORP. 8.00% NOTES DUE 2027 Finance: Consumer Services Finance
8610    RWJ 2/22/2008 12 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO S&P SMALLCAP 600 Exchange Traded Fund Financial
8611    RWK 3/11/2008 6.29 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO S&P MIDCAP 400 R Exchange Traded Fund Financial
8612    RWL 3/7/2008 13 INVESCO EXCHANGE-TRADED FUND TRUST II INVESCO S&P 500 REVENUE Exchange Traded Fund Financial
8613    RWM 1/25/2007 63 PROSHARES SHORT RUSSELL2000 Exchange Traded Fund Financial
8614    RWO 5/22/2008 26 SPDR DJ WILSHIRE GLOBAL REAL ESTATE ETF Exchange Traded Fund Financial
8615    RWR 8/29/2001 54 SPDR DJ WILSHIRE REIT ETF Exchange Traded Fund Financial
8616    RWT 1/28/1998 85 REDWOOD TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8617    RWT.A 1/23/2023 0.43 REDWOOD TRUST INC. 10.00% SERIES A FIXED-RATE RESET CUMULATIVE REDEEMABLE PREFERRED STOCK
8618    RWTN 2/2/2024 0.27 REDWOOD TRUST INC. 9.125% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
8619    RWTO 6/25/2024 0.2 REDWOOD TRUST INC. 9.00% SENIOR NOTES DUE 2029 Real Estate Investment Trusts Real Estate
8620    RWTP 1/30/2025 0.07 REDWOOD TRUST INC. 9.125% SENIOR NOTES DUE 2030 Real Estate Investment Trusts Real Estate
8621    RWX 12/19/2006 46 SPDR DJ WILSHIRE INTL REAL ESTATE Exchange Traded Fund Financial
8622    RXD 2/1/2007 1.79 PROSHARES ULTRASHORT HEALTH CARE Exchange Traded Fund Financial
8623    RXI 9/21/2006 5.49 ISHARES GLOBAL CONSUMER DISCRETIONARY ETF Exchange Traded Fund Financial
8624    RXL 2/1/2007 6.05 PROSHARES ULTRA HEALTH CARE Exchange Traded Fund Financial
8625    RXO 10/27/2022 8.43 RXO INC. COMMON STOCK Transportation Services Consumer Discretionary
8626    RXRX 4/16/2021 18 RECURSION PHARMACEUTICALS INC. CLASS A COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8627    RXST 7/30/2021 7.57 RXSIGHT INC. COMMON STOCK Ophthalmic Goods Health Care
8628    RXT 8/5/2020 17 RACKSPACE TECHNOLOGY INC. COMMON STOCK Computer Software: Programming Data Processing Technology
8629    RY 1/2/1998 91 ROYAL BANK OF CANADA COMMON STOCK Commercial Banks Finance
8630    RYAAY 1/2/1998 82 RYANAIR HOLDINGS PLC AMERICAN DEPOSITARY SHARES Air Freight/Delivery Services Consumer Discretionary
8631    RYAM 6/16/2014 34 RAYONIER ADVANCED MATERIALS INC. COMMON STOCK Paper Basic Materials
8632    RYAN 7/22/2021 13 RYAN SPECIALTY HOLDINGS INC. CLASS A COMMON STOCK Specialty Insurers Finance
8633    RYDE 3/6/2024 1.87 RYDE GROUP LTD. CLASS A ORDINARY SHARES Business Services Consumer Discretionary
8634    RYI 8/8/2014 25 RYERSON HOLDING CORPORATION COMMON STOCK Metal Fabrications Industrials
8635    RYLD 4/22/2019 16 GLOBAL X RUSSELL 2000 COVERED CALL ETF Exchange Traded Fund Financial
8636    RYLG 10/5/2022 0.18 GLOBAL X FUNDS GLOBAL X RUSSELL 2000 COVERED CALL & GROWTH ETF Exchange Traded Fund Financial
8637    RYN 1/2/1998 96 RAYONIER INC. REIT COMMON STOCK Real Estate Investment Trusts Real Estate
8638    RYSE 2/6/2023 0.05 VEST 10 YEAR INTEREST RATE HEDGE ETF Exchange Traded Fund Financial
8639    RYTM 10/5/2017 19 RHYTHM PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8640    RZB 6/13/2016 4.91 REINSURANCE GROUP OF AMERICA INCORPORATED 5.75% FIXED-TO-FLOATING RATE SUBORDINATED DEBENTURES DUE 2056 Life Insurance Finance
8641    RZC 10/12/2022 1.73 REINSURANCE GROUP OF AMERICA INCORPORATED 7.125% FIXED-RATE RESET SUBORDINATED DEBENTURES DUE 2052 Life Insurance Finance
8642    RZG 3/7/2006 3.46 INVESCO S&P SMALLCAP 600 PURE GROWTH ETF Exchange Traded Fund Financial
8643    RZLT 12/19/2017 3.82 REZOLUTE INC. COMMON STOCK (NV) Biotechnology: Pharmaceutical Preparations Health Care
8644    RZLV 8/16/2024 2.66 REZOLVE AI LIMITED ORDINARY SHARES Computer Software: Programming Data Processing Technology
8645    RZLVW 8/16/2024 0.23 REZOLVE AI LIMITED WARRANTS Computer Software: Programming Data Processing Technology
8646    RZV 3/7/2006 6.67 INVESCO S&P SMALLCAP 600 PURE VALUE ETF Exchange Traded Fund Financial
8647    S 1/2/1998 118 SENTINELONE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
8648    SA 4/20/2004 58 SEABRIDGE GOLD INC. ORDINARY SHARES (CANADA) Precious Metals Basic Materials
8649    SAA 1/25/2007 5.97 PROSHARES ULTRA SMALLCAP600 Exchange Traded Fund Financial
8650    SABA 4/7/2000 40 SABA CAPITAL INCOME & OPPORTUNITIES FUND II SHARES OF BENEFICIAL INTEREST
8651    SABR 4/17/2014 47 SABRE CORPORATION COMMON STOCK Computer Software: Programming Data Processing Technology
8652    SABS 2/9/2021 2.45 SAB BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8653    SABSW 2/9/2021 0.65 SAB BIOTHERAPEUTICS INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8654    SACH 2/10/2017 12 SACHEM CAPITAL CORP. COMMON SHARES Real Estate Investment Trusts Real Estate
8655    SACH.A 7/6/2021 0.62 SACHEM CAPITAL CORP. 7.75% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK
8656    SAEF 11/16/2021 0.2 SCHWAB STRATEGIC TRUST SCHWAB ARIEL ESG ETF Exchange Traded Fund Financial
8657    SAFE 6/22/2017 16 SAFEHOLD INC. NEW COMMON STOCK Real Estate Investment Trusts Real Estate
8658    SAFT 11/22/2002 28 SAFETY INSURANCE GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
8659    SAG 10/23/2024 0.54 SAG HOLDINGS LIMITED ORDINARY SHARES Motor Vehicles Consumer Discretionary
8660    SAGE 7/18/2014 35 SAGE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8661    SAGP 1/25/2022 0.22 THE ADVISORS' INNER CIRCLE FUND III STRATEGAS GLOBAL POLICY OP Exchange Traded Fund Financial
8662    SAGT 3/7/2025 0.01 SAGTEC GLOBAL LIMITED ORDINARY SHARES Computer Software: Prepackaged Software Technology
8663    SAH 1/2/1998 79 SONIC AUTOMOTIVE INC. COMMON STOCK Retail-Auto Dealers and Gas Stations Consumer Discretionary
8664    SAIA 7/24/2006 46 SAIA INC. COMMON STOCK Trucking Freight/Courier Services Industrials
8665    SAIC 9/16/2013 36 SCIENCE APPLICATIONS INTERNATIONAL CORPORATION COMMON STOCK EDP Services Technology
8666    SAIH 6/28/2021 2.33 SAIHEAT LIMITED CLASS A ORDINARY SHARES EDP Services Technology
8667    SAIHW 6/28/2021 0.14 SAIHEAT LIMITED WARRANT EDP Services Technology
8668    SAIL 11/17/2017 19 SAILPOINT INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8669    SAJ 11/3/2022 0.23 SARATOGA INVESTMENT CORP 8.00% NOTES DUE 2027 Investment Managers Finance
8670    SALM 7/1/1999 21
8671    SAM 1/2/1998 45 BOSTON BEER COMPANY INC. (THE) COMMON STOCK Beverages (Production/Distribution) Consumer Staples
8672    SAMG 6/27/2013 5.44 SILVERCREST ASSET MANAGEMENT GROUP INC. CLASS A COMMON STOCK Investment Managers Finance
8673    SAMM 4/4/2024 0.08 THE ADVISORS' INNER CIRCLE FUND III STRATEGAS MACRO MOMENTUM E Exchange Traded Fund Financial
8674    SAMT 1/25/2022 0.48 THE ADVISORS' INNER CIRCLE FUND III STRATEGAS MACRO THEMATIC O Exchange Traded Fund Financial
8675    SAN 1/2/1998 93 BANCO SANTANDER S.A. SPONSORED ADR (SPAIN) Commercial Banks Finance
8676    SANA 2/4/2021 15 SANA BIOTECHNOLOGY INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8677    SAND 2/22/2010 53 SANDSTORM GOLD LTD. ORDINARY SHARES (CANADA) Precious Metals Basic Materials
8678    SANG 12/16/2021 0.26 SANGOMA TECHNOLOGIES CORPORATION COMMON SHARES Computer Software: Programming Data Processing Technology
8679    SANM 1/2/1998 99 SANMINA CORPORATION COMMON STOCK Electrical Products Technology
8680    SANW 6/14/2010 8.87 S&W SEED COMPANY COMMON STOCK (NV) Farming/Seeds/Milling Consumer Staples
8681    SAP 8/3/1998 104 SAP SE ADS Computer Software: Prepackaged Software Technology
8682    SAR 11/27/2009 9.53 SARATOGA INVESTMENT CORP NEW Investment Managers Finance
8683    SARK 11/9/2021 16 TRADR 2X SHORT INNOVATION DAILY ETF Exchange Traded Fund Financial
8684    SARO 10/2/2024 1.64 STANDARDAERO INC. COMMON STOCK Aerospace Industrials
8685    SASR 1/5/1998 35 SANDY SPRING BANCORP INC. COMMON STOCK Major Banks Finance
8686    SAT 5/3/2022 0.39 SARATOGA INVESTMENT CORP 6.00% NOTES DUE 2027 Investment Managers Finance
8687    SATL 1/26/2022 2.76 SATELLOGIC INC. CLASS A ORDINARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
8688    SATLW 1/26/2022 0.28 SATELLOGIC INC. WARRANT Radio And Television Broadcasting And Communications Equipment Technology
8689    SATO 10/7/2021 0.56 INVESCO ALERIAN GALAXY CRYPTO ECONOMY ETF Exchange Traded Fund Financial
8690    SATS 1/2/2008 47 ECHOSTAR CORPORATION COMMON STOCK Telecommunications Equipment Consumer Discretionary
8691    SATX 11/8/2021 2.93 SATIXFY COMMUNICATIONS LTD. ORDINARY SHARE Radio And Television Broadcasting And Communications Equipment Technology
8692    SAUG 8/21/2023 0.22 FT VEST U.S. SMALL CAP MODERATE BUFFER ETF - AUGUST Exchange Traded Fund Financial
8693    SAVA 4/30/2007 46 CASSAVA SCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8694    SAWG 7/31/2024 0.01 ETF SERIES SOLUTIONS AAM SAWGRASS US LARGE CAP QUALITY GROWTH Exchange Traded Fund Financial
8695    SAWS 7/31/2024 0.01 ETF SERIES SOLUTIONS AAM SAWGRASS US SMALL CAP QUALITY GROWTH Exchange Traded Fund Financial
8696    SAY 12/16/2022 0.28 SARATOGA INVESTMENT CORP 8.125% NOTES DUE 2027 Investment Managers Finance
8697    SAZ 4/24/2023 0.25 SARATOGA INVESTMENT CORP 8.50% NOTES DUE 2028 Investment Managers Finance
8698    SB 5/30/2008 44 SAFE BULKERS INC COMMON STOCK ($0.001 PAR VALUE) Marine Transportation Consumer Discretionary
8699    SB.C 5/9/2014 1.09 SAFE BULKERS INC CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SERIES C (MARSHALL ISLANDS)
8700    SB.D 7/3/2014 1.5 SAFE BULKERS INC PERPETUAL PREFERRED SERIES D (MARSHALL ISLANDS)
8701    SBAC 6/16/1999 100 SBA COMMUNICATIONS CORPORATION CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
8702    SBB 1/25/2007 3.6 PROSHARES SHORT SMALLCAP600 Exchange Traded Fund Financial
8703    SBBA 6/5/2020 0.63
8704    SBC 9/26/2022 0.4 SBC MEDICAL GROUP HOLDINGS INCORPORATED COMMON STOCK Medical/Nursing Services Health Care
8705    SBCF 6/3/2002 43 SEACOAST BANKING CORPORATION OF FLORIDA COMMON STOCK Major Banks Finance
8706    SBCWW 9/26/2022 0.3 SBC MEDICAL GROUP HOLDINGS INCORPORATED WARRANTS Medical/Nursing Services Health Care
8707    SBET 5/16/2007 7.62 SHARPLINK GAMING INC. COMMON STOCK Computer Software: Prepackaged Software Technology
8708    SBEV 2/5/2019 5.48 SPLASH BEVERAGE GROUP INC. (NV) COMMON STOCK Beverages (Production/Distribution) Consumer Staples
8709    SBFG 2/4/2002 2.5 SB FINANCIAL GROUP INC. COMMON STOCK Major Banks Finance
8710    SBFM 2/15/2022 6.47 SUNSHINE BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8711    SBFMW 2/15/2022 0.3 SUNSHINE BIOPHARMA INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
8712    SBGI 1/2/1998 93 SINCLAIR INC. CLASS A COMMON STOCK Broadcasting Industrials
8713    SBH 11/17/2006 74 SALLY BEAUTY HOLDINGS INC. (NAME TO BE CHANGED FROM SALLY HOLDINGS INC.) COMMON STOCK Other Specialty Stores Consumer Discretionary
8714    SBI 1/2/1998 7.2 WESTERN ASSET INTERMEDIATE MUNI FUND INC COMMON STOCK Finance/Investors Services Finance
8715    SBIG 4/6/2021 1.2
8716    SBIGW 4/5/2021 0.2
8717    SBIO 12/31/2014 7.31 ALPS MEDICAL BREAKTHROUGHS ETF Exchange Traded Fund Financial
8718    SBIT 4/2/2024 5.16 PROSHARES TRUST PROSHARES ULTRASHORT BITCOIN ETF Exchange Traded Fund Financial
8719    SBLK 12/3/2007 52 STAR BULK CARRIERS CORP. COMMON SHARES Marine Transportation Consumer Discretionary
8720    SBND 7/1/2010 2.32 COLUMBIA SHORT DURATION BOND ETF Exchange Traded Fund Financial
8721    SBNY 3/23/2004 62
8722    SBR 1/2/1998 18 SABINE ROYALTY TRUST COMMON STOCK Oil & Gas Production Energy
8723    SBRA 11/8/2010 60 SABRA HEALTH CARE REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8724    SBS 5/10/2002 81 COMPANHIA DE SANEAMENTO BASICO DO ESTADO DE SAO PAULO - SABESP AMERICAN DEPOSITARY SHARES (EACH REPSTG 250 COMMON SHARES) Water Supply Utilities
8725    SBSI 5/14/1998 29 SOUTHSIDE BANCSHARES INC. COMMON STOCK Major Banks Finance
8726    SBSW 2/21/2013 57 D/B/A SIBANYE-STILLWATER LIMITED ADS Precious Metals Basic Materials
8727    SBT 11/17/2017 4.78 STERLING BANCORP INC. COMMON STOCK Savings Institutions Finance
8728    SBUX 1/2/1998 141 STARBUCKS CORPORATION COMMON STOCK Restaurants Consumer Discretionary
8729    SBXD 10/7/2024 0.02 SILVERBOX CORP IV CLASS A ORDINARY SHARES
8730    SCAP 12/12/2023 0.11 SERIES PORTFOLIOS TRUST INFRACAP SMALL CAP INCOME ETF Exchange Traded Fund Financial
8731    SCC 2/5/2007 5.93 PROSHARES ULTRASHORT CONSUMER DISCRETIONARY Exchange Traded Fund Financial
8732    SCCC 9/10/2020 0.7 SACHEM CAPITAL CORP. 7.75% NOTES DUE 2025 Real Estate Investment Trusts Real Estate
8733    SCCD 12/22/2021 0.32 SACHEM CAPITAL CORP. 6.00% NOTES DUE 2026 Real Estate Investment Trusts Real Estate
8734    SCCE 3/10/2022 0.51 SACHEM CAPITAL CORP. 6.00% NOTES DUE 2027 Real Estate Investment Trusts Real Estate
8735    SCCF 5/12/2022 0.36 SACHEM CAPITAL CORP. 7.125% NOTES DUE 2027 Real Estate Investment Trusts Real Estate
8736    SCCG 8/25/2022 0.4 SACHEM CAPITAL CORP. 8.00% NOTES DUE 2027 Real Estate Investment Trusts Real Estate
8737    SCCO 1/2/1998 102 SOUTHERN COPPER CORPORATION COMMON STOCK Metal Mining Basic Materials
8738    SCD 2/25/2004 20 LMP CAPITAL AND INCOME FUND INC. COMMON STOCK Trusts Except Educational Religious and Charitable Finance
8739    SCDL 2/5/2021 0.25 ETRACS 2X LEVERAGED US DIVIDEND FACTOR TR ETN Exchange Traded Fund Financial
8740    SCDS 8/13/2024 0.01 JPMORGAN FUNDAMENTAL DATA SCIENCE SMALL CORE ETF Exchange Traded Fund Financial
8741    SCE.G 2/4/2013 5.3 SCE TRUST II TRUST PREFERRED SECURITIES
8742    SCE.J 8/26/2015 4.23 SOUTHERN CALIFORNIA EDISON COMPANY 5.375% FIXED-TO-FLOATING RATE TRUST PREFERENCE SECURITIES
8743    SCE.K 3/10/2016 4.09 SOUTHERN CALIFORNIA EDISON COMPANY 5.45% FIXED-TO-FLOATING RATE TRUST PREFERENCE SECURITIES
8744    SCE.L 6/29/2017 4.39 SCE TRUST VI
8745    SCE.M 12/1/2023 0.92 SCE TRUST VII 7.50% TRUST PREFERENCE SECURITIES
8746    SCE.N 6/3/2024 0.38 SCE TRUST VIII 6.95% TRUST PREFERENCE SECURITIES
8747    SCHA 11/3/2009 50 SCHWAB U.S. SMALL-CAP ETF Exchange Traded Fund Financial
8748    SCHB 11/3/2009 55 SCHWAB U.S. BROAD MARKET ETF Exchange Traded Fund Financial
8749    SCHC 1/14/2010 26 SCHWAB INTERNATIONAL SMALL-CAP EQUITY ETF Exchange Traded Fund Financial
8750    SCHD 10/20/2011 55 SCHWAB US DIVIDEND EQUITY ETF Exchange Traded Fund Financial
8751    SCHE 1/14/2010 50 SCHWAB EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
8752    SCHF 11/3/2009 59 SCHWAB INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
8753    SCHG 1/4/2010 44 SCHWAB U.S. LARGE-CAP GROWTH ETF Exchange Traded Fund Financial
8754    SCHH 1/13/2011 48 SCHWAB U.S. REIT ETF Exchange Traded Fund Financial
8755    SCHI 10/11/2019 6.24 SCHWAB 5-10 YEAR CORPORATE BOND ETF Exchange Traded Fund Financial
8756    SCHJ 10/11/2019 3.32 SCHWAB 1-5 YEAR CORPORATE BOND ETF Exchange Traded Fund Financial
8757    SCHK 10/12/2017 14 SCHWAB 1000 INDEX ETF Exchange Traded Fund Financial
8758    SCHL 1/2/1998 66 SCHOLASTIC CORPORATION COMMON STOCK Books Consumer Discretionary
8759    SCHM 1/13/2011 37 SCHWAB U.S. MID CAP ETF Exchange Traded Fund Financial
8760    SCHO 8/5/2010 33 SCHWAB SHORT-TERM U.S. TREASURY ETF Exchange Traded Fund Financial
8761    SCHP 8/5/2010 37 SCHWAB U.S. TIPS ETF Exchange Traded Fund Financial
8762    SCHQ 10/11/2019 6.75 SCHWAB LONG-TERM U.S. TREASURY ETF Exchange Traded Fund Financial
8763    SCHR 8/5/2010 26 SCHWAB INTERMEDIATE-TERM U.S. TREASURY ETF Exchange Traded Fund Financial
8764    SCHV 12/15/2009 38 SCHWAB U.S. LARGE-CAP VALUE ETF Exchange Traded Fund Financial
8765    SCHW 1/2/1998 135 CHARLES SCHWAB CORPORATION (THE) COMMON STOCK Investment Bankers/Brokers/Service Finance
8766    SCHW.D 3/9/2016 7.91 THE CHARLES SCHWAB CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/40TH INTEREST IN A SHARE OF 5.95% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES D
8767    SCHW.J 4/1/2021 3.91 THE CHARLES SCHWAB CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 4.450% NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES J
8768    SCHX 11/3/2009 56 SCHWAB U.S. LARGE-CAP ETF Exchange Traded Fund Financial
8769    SCHY 4/29/2021 5.3 SCHWAB INTERNATIONAL DIVIDEND EQUITY ETF Exchange Traded Fund Financial
8770    SCHZ 7/14/2011 36 SCHWAB US AGGREGATE BOND ETF Exchange Traded Fund Financial
8771    SCI 8/27/2004 86 SERVICE CORPORATION INTERNATIONAL COMMON STOCK Other Consumer Services Consumer Discretionary
8772    SCIO 2/29/2024 0.03 FIRST TRUST EXCHANGE-TRADED FUND IV FIRST TRUST STRUCTURED CRE Exchange Traded Fund Financial
8773    SCJ 12/27/2007 5.83 ISHARES MSCI JAPAN SM CAP Exchange Traded Fund Financial
8774    SCKT 7/10/2000 9.06 SOCKET MOBILE INC. COMMON STOCK Computer Manufacturing Technology
8775    SCL 1/2/1998 28 STEPAN COMPANY COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
8776    SCLX 3/5/2021 6.59 SCILEX HOLDING COMPANY COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8777    SCLXW 3/8/2021 0.75 SCILEX HOLDING COMPANY WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8778    SCLZ 2/27/2024 0.01 NORTHERN LIGHTS FUND TRUST III SWAN ENHANCED DIVIDEND INCOME E Exchange Traded Fund Financial
8779    SCM 11/8/2012 15 STELLUS CAPITAL INVESTMENT CORPORATION COMMON STOCK Finance/Investors Services Finance
8780    SCMB 10/12/2022 1.59 SCHWAB STRATEGIC TRUST SCHWAB MUNICIPAL BOND ETF Exchange Traded Fund Financial
8781    SCNI 5/12/2015 5.1 SCINAI IMMUNOTHERAPEUTICS LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8782    SCNX 2/13/2020 3.69 SCIENTURE HOLDINGS INC. COMMON STOCK Other Pharmaceuticals Health Care
8783    SCO 11/25/2008 75 PROSHARES ULTRASHORT BLOOMBERG CRUDE OIL Exchange Traded Fund Financial
8784    SCOR 6/27/2007 37 COMSCORE INC. COMMON STOCK Business Services Consumer Discretionary
8785    SCPH 11/17/2017 8.31 SCPHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8786    SCPS 12/16/2020 2.15
8787    SCPX 7/24/2013 20 SCORPIUS HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8788    SCS 2/18/1998 88 STEELCASE INC. COMMON STOCK Office Equipment/Supplies/Services Consumer Discretionary
8789    SCSC 1/2/1998 46 SCANSOURCE INC. COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
8790    SCUS 8/13/2024 0.3 SCHWAB STRATEGIC TRUST SCHWAB ULTRA-SHORT INCOME ETF Exchange Traded Fund Financial
8791    SCVL 1/2/1998 49 SHOE CARNIVAL INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
8792    SCWO 10/3/2008 3.42 374WATER INC. COMMON STOCK Metal Fabrications Consumer Discretionary
8793    SCY 12/3/2024 0.01 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY US SMALL CAP PLUS INCO Exchange Traded Fund Financial
8794    SCYB 7/11/2023 1.79 SCHWAB STRATEGIC TRUST SCHWAB HIGH YIELD BOND ETF Exchange Traded Fund Financial
8795    SCYX 5/2/2014 16 SCYNEXIS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8796    SCZ 12/12/2007 57 ISHARES MSCI EAFE SMALL-CAP ETF Exchange Traded Fund Financial
8797    SD 10/4/2016 26 SANDRIDGE ENERGY INC. COMMON STOCK Oil & Gas Production Energy
8798    SDA 4/6/2010 3.52 SUNCAR TECHNOLOGY GROUP INC. CLASS A ORDINARY SHARES Automotive Aftermarket Consumer Discretionary
8799    SDAWW 4/16/2021 0.29 SUNCAR TECHNOLOGY GROUP INC. WARRANT Automotive Aftermarket Consumer Discretionary
8800    SDCI 5/4/2018 0.66 USCF SUMMERHAVEN DYNAMIC COMMODITY STRATEGY NO K-1 FUND Exchange Traded Fund Financial
8801    SDCP 11/16/2023 0.01 VIRTUS ETF TRUST II VIRTUS NEWFLEET SHORT DURATION CORE PLUS B Exchange Traded Fund Financial
8802    SDD 1/25/2007 6.18 PROSHARES ULTRASHORT SMALLCAP600 Exchange Traded Fund Financial
8803    SDEM 3/17/2015 2.07 GLOBAL X MSCI SUPERDIVIDEND EMERGING MARKETS ETF Exchange Traded Fund Financial
8804    SDFI 6/10/2024 0.04 AB ACTIVE ETFS INC. AB SHORT DURATION INCOME ETF Exchange Traded Fund Financial
8805    SDG 4/22/2016 2.13 ISHARES MSCI GLOBAL SUSTAINABLE DEVELOPMENT GOALS ETF Exchange Traded Fund Financial
8806    SDGR 2/6/2020 20 SCHRODINGER INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8807    SDHC 1/11/2024 1.46 SMITH DOUGLAS HOMES CORP. CLASS A COMMON STOCK Homebuilding Consumer Discretionary
8808    SDHY 11/25/2020 5.14 PGIM SHORT DURATION HIGH YIELD OPPORTUNITIES FUND COMMON SHARES Finance/Investors Services Finance
8809    SDIG 10/20/2021 10 STRONGHOLD DIGITAL MINING INC. CLASS A COMMON STOCK EDP Services Technology
8810    SDIV 6/9/2011 31 GLOBAL X SUPERDIVIDEND ETF Exchange Traded Fund Financial
8811    SDOG 7/16/2012 19 ALPS SECTOR DIVIDEND DOGS ETF Exchange Traded Fund Financial
8812    SDOT 2/13/2020 7.06 SADOT GROUP INC. COMMON STOCK Restaurants Consumer Discretionary
8813    SDOW 2/11/2010 74 ULTRAPRO SHORT DOW30 Exchange Traded Fund Financial
8814    SDP 3/15/2007 4.02 PROSHARES ULTRASHORT UTILITIES Exchange Traded Fund Financial
8815    SDRL 4/15/2010 54 SEADRILL LIMITED COMMON SHARES Oil & Gas Production Energy
8816    SDS 7/13/2006 118 PROSHARES ULTRASHORT S&P500 Exchange Traded Fund Financial
8817    SDSI 10/13/2022 0.18 AMERICAN CENTURY SHORT DURATION STRATEGIC INCOME ETF Exchange Traded Fund Financial
8818    SDST 3/5/2021 1.08 STARDUST POWER INC. COMMON STOCK Major Chemicals Industrials
8819    SDSTW 3/8/2021 0.26 STARDUST POWER INC. WARRANT
8820    SDVD 8/10/2023 1 FT VEST SMID RISING DIVIDEND ACHIEVERS TARGET INCOME ETF Exchange Traded Fund Financial
8821    SDVY 11/3/2017 11 FIRST TRUST SMID CAP RISING DIVIDEND ACHIEVERS ETF Exchange Traded Fund Financial
8822    SDY 11/15/2005 67 SPDR S&P DIVIDEND ETF Exchange Traded Fund Financial
8823    SE 1/3/2007 83 SEA LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Other Consumer Services Consumer Discretionary
8824    SEA 1/20/2022 0.37 ETF SERIES SOLUTIONS U.S. GLOBAL SEA TO SKY CARGO ETF Exchange Traded Fund Financial
8825    SEAC 1/2/1998 50
8826    SEAL.A 10/10/2016 2.18 SEAPEAK LLC 9.00% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS
8827    SEAL.B 10/25/2017 2.43 SEAPEAK LLC 8.50% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS
8828    SEAT 10/20/2021 10 VIVID SEATS INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
8829    SEATW 10/19/2021 0.35 VIVID SEATS INC. WARRANT Services-Misc. Amusement & Recreation Consumer Discretionary
8830    SEB 1/2/1998 29 SEABOARD CORPORATION COMMON STOCK Farming/Seeds/Milling Industrials
8831    SECR 7/11/2024 0.01 NYLI MACKAY SECURITIZED INCOME ETF Exchange Traded Fund Financial
8832    SECT 9/6/2017 3.18 NORTHERN LIGHTS FUND TRUST IV MAIN SECTOR ROTATION ETF Exchange Traded Fund Financial
8833    SEDG 3/26/2015 42 SOLAREDGE TECHNOLOGIES INC. COMMON STOCK Semiconductors Technology
8834    SEE 1/2/1998 114 SEALED AIR CORPORATION COMMON STOCK Major Chemicals Industrials
8835    SEED 11/9/2005 21 ORIGIN AGRITECH LIMITED COMMON STOCK Farming/Seeds/Milling Consumer Staples
8836    SEEM 10/10/2024 0.08 SEI SELECT EMERGING MARKETS EQUITY ETF Exchange Traded Fund Financial
8837    SEER 12/4/2020 11 SEER INC. CLASS A COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
8838    SEF 6/12/2008 11 PROSHARES SHORT FINANCIALS Exchange Traded Fund Financial
8839    SEG 7/29/2024 0.83 SEAPORT ENTERTAINMENT GROUP INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
8840    SEI 9/12/2024 1.77 SOLARIS ENERGY INFRASTRUCTURE INC. CLASS A COMMON STOCK Metal Fabrications Industrials
8841    SEIC 1/2/1998 102 SEI INVESTMENTS COMPANY COMMON STOCK Investment Bankers/Brokers/Service Finance
8842    SEIE 10/10/2024 0.14 SEI SELECT INTERNATIONAL EQUITY ETF Exchange Traded Fund Financial
8843    SEIM 5/18/2022 0.37 SEI ENHANCED U.S. LARGE CAP MOMENTUM FACTOR ETF Exchange Traded Fund Financial
8844    SEIQ 5/19/2022 0.22 SEI ENHANCED U.S. LARGE CAP QUALITY FACTOR ETF Exchange Traded Fund Financial
8845    SEIS 10/10/2024 0.1 SEI SELECT SMALL CAP ETF Exchange Traded Fund Financial
8846    SEIV 5/18/2022 0.32 SEI ENHANCED U.S. LARGE CAP VALUE FACTOR ETF Exchange Traded Fund Financial
8847    SEIX 4/25/2019 1.75 VIRTUS SEIX SENIOR LOAN ETF Exchange Traded Fund Financial
8848    SELF 4/7/2008 3.58 GLOBAL SELF STORAGE INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8849    SELV 5/18/2022 0.1 SEI ENHANCED LOW VOLATILITY U.S. LARGE CAP ETF Exchange Traded Fund Financial
8850    SELX 2/16/2024 0.54 SEMILUX INTERNATIONAL LTD. ORDINARY SHARES Semiconductors Technology
8851    SEM 9/25/2009 57 SELECT MEDICAL HOLDINGS CORPORATION COMMON STOCK Hospital/Nursing Management Health Care
8852    SEMI 3/30/2022 0.25 COLUMBIA SELECT TECHNOLOGY ETF Exchange Traded Fund Financial
8853    SEMR 3/25/2021 9.95 SEMRUSH HOLDINGS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
8854    SENEA 5/13/2005 9.6 SENECA FOODS CORP. CLASS A COMMON STOCK Packaged Foods Consumer Staples
8855    SENEB 3/20/2006 0.26 SENECA FOODS CORP. CLASS B COMMON STOCK Packaged Foods Consumer Staples
8856    SENS 3/18/2016 37 SENSEONICS HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Industrials
8857    SEPN 10/25/2024 0.86 SEPTERNA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8858    SEPP 6/11/2024 0.01 PGIM S&P 500 BUFFER 12 ETF - SEPTEMBER Exchange Traded Fund Financial
8859    SEPT 9/1/2023 0.11 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER10 SEP E Exchange Traded Fund Financial
8860    SEPW 9/1/2023 0.21 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP BUFFER20 SEP E Exchange Traded Fund Financial
8861    SEPZ 9/1/2020 0.17 LISTED FUNDS TRUST TRUESHARES STRUCTURED OUTCOME (SEPTEMBER) E Exchange Traded Fund Financial
8862    SER 11/29/2018 4.8 SERINA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8863    SERA 7/15/2021 3.06 SERA PROGNOSTICS INC. CLASS A COMMON STOCK Medical Specialities Health Care
8864    SERV 6/26/2014 29 SERVE ROBOTICS INC. COMMON STOCK Industrial Specialties Consumer Discretionary
8865    SES 8/8/2007 23 SES AI CORPORATION CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
8866    SETH 11/6/2023 0.58 PROSHARES SHORT ETHER ETF Exchange Traded Fund Financial
8867    SETM 2/2/2023 0.36 SPROTT CRITICAL MATERIALS ETF Exchange Traded Fund Financial
8868    SEVN 5/16/2007 9.4 SEVEN HILLS REALTY TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
8869    SEZL 8/17/2023 1.7 SEZZLE INC. COMMON STOCK Business Services Consumer Discretionary
8870    SF 1/2/1998 69 STIFEL FINANCIAL CORPORATION COMMON STOCK Investment Bankers/Brokers/Service Finance
8871    SF.B 3/8/2019 1.28 STIFEL FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 6.25% NON-CUMULATIVE PREFERRED STOCK SERIES B
8872    SF.C 5/22/2020 1.49 STIFEL FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 6.125% NON CUMULATIVE PREFERRED STOCK SERIES C
8873    SF.D 7/28/2021 1.43 STIFEL FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 4.50% NON-CUMULATIVE PREFERRED STOCK SERIES D
8874    SFB 2/8/2012 3.02 STIFEL FINANCIAL CORPORATION 5.20% SENIOR NOTES DUE 2047 Investment Bankers/Brokers/Service Finance
8875    SFBC 8/23/2012 0.47 SOUND FINANCIAL BANCORP INC. COMMON STOCK Savings Institutions Finance
8876    SFBS 5/14/2014 20 SERVISFIRST BANCSHARES INC. COMMON STOCK Major Banks Finance
8877    SFD 9/28/1999 50 SMITHFIELD FOODS INC. COMMON STOCK Meat/Poultry/Fish Consumer Staples
8878    SFEB 2/20/2024 0.22 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. SMALL CAP M Exchange Traded Fund Financial
8879    SFHG 10/15/2024 1.1 SAMFINE CREATION HOLDINGS GROUP LIMITED ORDINARY SHARE Publishing Consumer Discretionary
8880    SFIX 11/17/2017 32 STITCH FIX INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
8881    SFL 6/17/2004 78 SFL CORPORATION LTD Marine Transportation Consumer Discretionary
8882    SFLO 12/26/2023 0.34 VICTORYSHARES SMALL CAP FREE CASH FLOW ETF Exchange Traded Fund Financial
8883    SFLR 11/9/2022 1.4 INNOVATOR ETFS TRUST INNOVATOR EQUITY MANAGED FLOOR ETF Exchange Traded Fund Financial
8884    SFM 8/1/2013 49 SPROUTS FARMERS MARKET INC. COMMON STOCK Food Chains Consumer Staples
8885    SFNC 8/1/2003 42 SIMMONS FIRST NATIONAL CORPORATION CLASS A COMMON STOCK Major Banks Finance
8886    SFST 7/6/2007 3.29 SOUTHERN FIRST BANCSHARES INC. COMMON STOCK Major Banks Finance
8887    SFWL 3/31/2023 2.11 SHENGFENG DEVELOPMENT LIMITED CLASS A ORDINARY SHARES Trucking Freight/Courier Services Industrials
8888    SFY 4/11/2019 5.15 SOFI SELECT 500 ETF Exchange Traded Fund Financial
8889    SFYF 5/8/2019 0.74 SOFI SOCIAL 50 ETF Exchange Traded Fund Financial
8890    SFYX 4/11/2019 1.27 SOFI NEXT 500 ETF Exchange Traded Fund Financial
8891    SG 10/2/2015 15 SWEETGREEN INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
8892    SGA 1/20/2004 8.2 SAGA COMMUNICATIONS INC. CLASS A COMMON STOCK (FL) Broadcasting Consumer Discretionary
8893    SGBX 6/22/2017 10 SAFE & GREEN HOLDINGS CORP. COMMON STOCK RETAIL: Building Materials Consumer Discretionary
8894    SGC 1/2/1998 8.58 SUPERIOR GROUP OF COMPANIES INC. COMMON STOCK Apparel Consumer Discretionary
8895    SGD 9/19/2023 2.34 SAFE AND GREEN DEVELOPMENT CORPORATION COMMON STOCK Real Estate Finance
8896    SGDJ 3/31/2015 4.79 SPROTT JUNIOR GOLD MINERS ETF Exchange Traded Fund Financial
8897    SGDM 7/15/2014 9.22 SPROTT GOLD MINERS ETF Exchange Traded Fund Financial
8898    SGHC 1/28/2022 7.25 SUPER GROUP (SGHC) LIMITED ORDINARY SHARES Services-Misc. Amusement & Recreation Consumer Discretionary
8899    SGHT 7/15/2021 6.51 SIGHT SCIENCES INC. COMMON STOCK Medical/Dental Instruments Health Care
8900    SGI 5/18/2009 63 SOMNIGROUP INTERNATIONAL INC. COMMON STOCK Home Furnishings Consumer Discretionary
8901    SGLC 3/31/2023 0.31 THE RBB FUND INC. SGI U.S. LARGE CAP CORE ETF Exchange Traded Fund Financial
8902    SGLY 5/21/2008 11 SINGULARITY FUTURE TECHNOLOGY LTD. COMMON STOCK Oil Refining/Marketing Consumer Discretionary
8903    SGMA 1/2/1998 7.69 SIGMATRON INTERNATIONAL INC. COMMON STOCK Electrical Products Technology
8904    SGML 9/13/2021 12 SIGMA LITHIUM CORPORATION COMMON SHARES Metal Mining Basic Materials
8905    SGMO 4/6/2000 70 SANGAMO THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
8906    SGMT 7/14/2023 3.94 SAGIMET BIOSCIENCES INC. SERIES A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8907    SGN 11/14/2023 2.01 SIGNING DAY SPORTS INC. COMMON STOCK EDP Services Technology
8908    SGOL 9/9/2009 31 ABRDN PHYSICAL GOLD SHARES ETF Exchange Traded Fund Financial
8909    SGOV 6/1/2020 15 ISHARES 0-3 MONTH TREASURY BOND ETF Exchange Traded Fund Financial
8910    SGRP 7/9/1999 4.73 SPAR GROUP INC. COMMON STOCK Business Services Consumer Discretionary
8911    SGRY 10/1/2015 27 SURGERY PARTNERS INC. COMMON STOCK Hospital/Nursing Management Health Care
8912    SGU 5/29/1998 28 STAR GROUP L.P. COMMON STOCK Other Specialty Stores Consumer Discretionary
8913    SH 6/21/2006 86 PROSHARES SHORT S&P500 Exchange Traded Fund Financial
8914    SHAG 5/19/2017 1.39 WISDOMTREE YIELD ENHANCED U.S. SHORT-TERM AGGREGATE BOND FUND Exchange Traded Fund Financial
8915    SHAK 1/30/2015 40 SHAKE SHACK INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
8916    SHBI 2/4/2002 10 SHORE BANCSHARES INC COMMON STOCK Major Banks Finance
8917    SHC 11/20/2020 16 SOTERA HEALTH COMPANY COMMON STOCK Misc Health and Biotechnology Services Health Care
8918    SHCO 7/15/2021 6.76 SOHO HOUSE & CO INC. CLASS A COMMON STOCK Hotels/Resorts Consumer Discretionary
8919    SHDG 10/25/2022 0.08 TRUST FOR ADVISED PORTFOLIOS SOUNDWATCH HEDGED EQUITY ETF Exchange Traded Fund Financial
8920    SHE 3/8/2016 1.71 SPDR MSCI USA GENDER DIVERSITY ETF Exchange Traded Fund Financial
8921    SHEL 4/26/2007 97 SHELL PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO (2) ORDINARY SHARES) Oil & Gas Production Energy
8922    SHEN 5/9/2002 33 SHENANDOAH TELECOMMUNICATIONS CO COMMON STOCK Telecommunications Equipment Telecommunications
8923    SHFS 8/20/2021 1.76 SHF HOLDINGS INC. CLASS A COMMON STOCK Finance: Consumer Services Finance
8924    SHFSW 8/20/2021 0.34
8925    SHG 9/17/2003 29 SHINHAN FINANCIAL GROUP CO LTD AMERICAN DEPOSITARY SHARES Major Banks Finance
8926    SHIM 11/14/2023 0.85 SHIMMICK CORPORATION COMMON STOCK Military/Government/Technical Industrials
8927    SHIP 10/15/2008 27 SEANERGY MARITIME HOLDINGS CORP. COMMON STOCK Marine Transportation Consumer Discretionary
8928    SHLD 6/17/2024 1.68 GLOBAL X FUNDS GLOBAL X DEFENSE TECH ETF Exchange Traded Fund Financial
8929    SHLS 1/27/2021 18 SHOALS TECHNOLOGIES GROUP INC. CLASS A COMMON STOCK Semiconductors Technology
8930    SHLT 4/6/2023 0.13 SHL TELEMEDICINE LTD AMERICAN DEPOSITARY SHARES Medical/Nursing Services Health Care
8931    SHM 10/18/2007 36 SPDR NUVEEN BLOOMBERG SHORT TERM MUNICIPAL BOND ETF Exchange Traded Fund Financial
8932    SHMD 5/1/2024 0.41 SCHMID GROUP N.V. CLASS A ORDINARY SHARES Industrial Machinery/Components Technology
8933    SHMDW 5/1/2024 0.12 SCHMID GROUP N.V. WARRANTS Industrial Machinery/Components Technology
8934    SHNY 9/8/2016 0.98 BANK OF MONTREAL MICROSECTORS GOLD 3X LEVERAGED ETNS DUE JANUA Exchange Traded Fund Financial
8935    SHO 10/21/2004 90 SUNSTONE HOTEL INVESTORS INC. SUNSTONE HOTEL INVESTORS INC. COMMON SHARES Hotels/Resorts Consumer Discretionary
8936    SHO.H 5/26/2021 0.46 SUNSTONE HOTEL INVESTORS INC. 6.125% SERIES H CUMULATIVE REDEEMABLE PREFERRED STOCK
8937    SHO.I 7/20/2021 0.55 SUNSTONE HOTEL INVESTORS INC. 5.70% SERIES I CUMULATIVE REDEEMABLE PREFERRED STOCK
8938    SHOC 10/6/2022 0.89 EA SERIES TRUST STRIVE U.S. SEMICONDUCTOR ETF Exchange Traded Fund Financial
8939    SHOO 1/2/1998 83 STEVEN MADDEN LTD. COMMON STOCK Shoe Manufacturing Consumer Discretionary
8940    SHOP 5/21/2015 49 SHOPIFY INC. CLASS A SUBORDINATE VOTING SHARES Computer Software: Prepackaged Software Technology
8941    SHOT 10/30/2020 9.79 SAFETY SHOT INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
8942    SHOTW 10/30/2020 0.38 SAFETY SHOT INC. WARRANT Package Goods/Cosmetics Consumer Discretionary
8943    SHPH 8/31/2022 3.07 SHUTTLE PHARMACEUTICALS HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8944    SHPP 4/27/2023 0.01 PACER FUNDS PACER INDUSTRIALS AND LOGISTICS ETF Exchange Traded Fund Financial
8945    SHRT 11/6/2023 0.09 TIDAL ETF TRUST GOTHAM SHORT STRATEGIES ETF Exchange Traded Fund Financial
8946    SHRY 6/22/2017 0.37 FIRST TRUST BLOOMBERG SHAREHOLDER YIELD ETF Exchange Traded Fund Financial
8947    SHUS 6/16/2021 0.07 EXCHANGE LISTED FUNDS TRUST STRATIFIED LARGECAP HEDGED ETF Exchange Traded Fund Financial
8948    SHV 1/11/2007 51 ISHARES SHORT TREASURY BOND ETF Exchange Traded Fund Financial
8949    SHW 1/2/1998 115 SHERWIN-WILLIAMS COMPANY (THE) COMMON STOCK RETAIL: Building Materials Consumer Discretionary
8950    SHY 7/30/2002 84 ISHARES 1-3 YEAR TREASURY BOND ETF Exchange Traded Fund Financial
8951    SHYD 1/14/2014 7.44 VANECK ETF TRUST VANECK SHORT HIGH YIELD MUNI ETF Exchange Traded Fund Financial
8952    SHYF 5/4/2007 41 THE SHYFT GROUP INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
8953    SHYG 10/17/2013 33 ISHARES 0-5 YEAR HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
8954    SHYL 1/10/2018 1.22 XTRACKERS SHORT DURATION HIGH YIELD BOND ETF Exchange Traded Fund Financial
8955    SHYM 2/10/2025 0.07 ISHARES HIGH YIELD MUNI INCOME ACTIVE ETF Exchange Traded Fund Financial
8956    SIBN 5/16/2007 14 SI-BONE INC. COMMON STOCK Medical/Dental Instruments Health Care
8957    SID 1/2/1998 93 COMPANHIA SIDERURGICA NACIONAL S.A. COMMON STOCK Steel/Iron Ore Industrials
8958    SIDU 12/14/2021 8.72 SIDUS SPACE INC. CLASS A COMMON STOCK Telecommunications Equipment Telecommunications
8959    SIEB 1/12/1998 7.31 SIEBERT FINANCIAL CORP. COMMON STOCK Investment Bankers/Brokers/Service Finance
8960    SIF 1/2/1998 4.45 SIFCO INDUSTRIES INC. COMMON STOCK Aerospace Industrials
8961    SIFI 9/16/2021 0.03 HARBOR SCIENTIFIC ALPHA INCOME ETF Exchange Traded Fund Financial
8962    SIFY 10/19/1999 38 SIFY TECHNOLOGIES LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Programming Data Processing Technology
8963    SIG 11/16/2004 73 SIGNET JEWELERS LIMITED COMMON SHARES Consumer Specialties Consumer Discretionary
8964    SIGA 2/4/2000 43 SIGA TECHNOLOGIES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8965    SIGI 1/2/1998 61 SELECTIVE INSURANCE GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
8966    SIGIP 12/9/2020 0.61 SELECTIVE INSURANCE GROUP INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.60% NON-CUMULATIVE PREFERRED STOCK SERIES B Property-Casualty Insurers Finance
8967    SIHY 8/16/2022 0.29 HARBOR SCIENTIFIC ALPHA HIGH-YIELD ETF Exchange Traded Fund Financial
8968    SII 6/29/2020 6.69 SPROTT INC. COMMON SHARES Finance: Consumer Services Finance
8969    SIJ 2/1/2007 4.91 PROSHARES ULTRASHORT INDUSTRIALS Exchange Traded Fund Financial
8970    SIL 4/20/2010 36 GLOBAL X SILVER MINERS ETF Exchange Traded Fund Financial
8971    SILA 6/13/2024 2.4 SILA REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
8972    SILC 1/3/2006 14 SILICOM LTD ORDINARY SHARES Computer Communications Equipment Telecommunications
8973    SILJ 11/29/2012 28 AMPLIFY ETF TRUST AMPLIFY JUNIOR SILVER MINERS ETF Exchange Traded Fund Financial
8974    SILO 9/27/2022 2.22 SILO PHARMA INC. COMMON STOCK Apparel Consumer Discretionary
8975    SILV 8/21/2018 21
8976    SIM 1/2/1998 13 GRUPO SIMEC S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES Steel/Iron Ore Industrials
8977    SIMA 8/30/2024 0.03 SIM ACQUISITION CORP. I CLASS A ORDINARY SHARES Industrial Machinery/Components Miscellaneous
8978    SIMAU 7/10/2024 0.04 SIM ACQUISITION CORP. I UNIT Blank Checks Finance
8979    SIMAW 8/30/2024 0.02 SIM ACQUISITION CORP. I WARRANT Blank Checks Finance
8980    SIMO 6/30/2005 63 SILICON MOTION TECHNOLOGY CORPORATION AMERICAN DEPOSITARY SHARES Semiconductors Technology
8981    SIMS 12/27/2017 0.74 SPDR S&P KENSHO INTELLIGENT STRUCTURES ETF Exchange Traded Fund Financial
8982    SINT 2/13/2014 23 SINTX TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
8983    SIO 7/25/2022 0.05 TOUCHSTONE STRATEGIC INCOME ETF Exchange Traded Fund Financial
8984    SION 2/7/2025 0.17 SIONNA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
8985    SIRI 1/12/2000 133 SIRIUSXM HOLDINGS INC. COMMON STOCK Broadcasting Consumer Discretionary
8986    SISI 9/28/2016 8.06 SHINECO INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
8987    SITC 5/1/2007 81 SITE CENTERS CORP. COMMON STOCK Real Estate Investment Trusts Real Estate
8988    SITE 5/12/2016 26 SITEONE LANDSCAPE SUPPLY INC. COMMON STOCK Professional and commerical equipment Consumer Discretionary
8989    SITM 6/2/2009 11 SITIME CORPORATION COMMON STOCK Semiconductors Technology
8990    SIVR 7/24/2009 35 ABRDN PHYSICAL SILVER SHARES ETF Exchange Traded Fund Financial
8991    SIXA 5/11/2020 0.26 ETC 6 MERIDIAN MEGA CAP EQUITY ETF Exchange Traded Fund Financial
8992    SIXD 12/15/2010 0.76 SHL TELEMEDICINE LTD ALLIANZIM U.S. LARGE CAP 6 MONTH BUFFER10 Exchange Traded Fund Financial
8993    SIXF 2/1/2024 0.08 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP 6 MONTH BUFFER Exchange Traded Fund Financial
8994    SIXG 3/5/2019 9.31 DEFIANCE CONNECTIVE TECHNOLOGIES ETF Exchange Traded Fund Financial
8995    SIXH 5/11/2020 0.34 ETC 6 MERIDIAN HEDGED EQUITY INDEX OPTION ETF Exchange Traded Fund Financial
8996    SIXJ 1/3/2022 0.59 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP 6 MONTH BUFFER Exchange Traded Fund Financial
8997    SIXL 5/11/2020 0.18 ETC 6 MERIDIAN LOW BETA EQUITY ETF Exchange Traded Fund Financial
8998    SIXO 10/1/2021 0.51 ALLIANZIM U.S. LARGE CAP 6 MONTH BUFFER10 APR/OCT ETF Exchange Traded Fund Financial
8999    SIXP 3/1/2024 0.09 AIM ETF PRODUCTS TRUST ALLIANZIM U.S. LARGE CAP 6 MONTH BUFFER Exchange Traded Fund Financial
9000    SIXS 5/11/2020 0.2 ETC 6 MERIDIAN SMALL CAP EQUITY ETF Exchange Traded Fund Financial
9001    SIXZ 5/1/2024 0.03 SHL TELEMEDICINE LTD ALLIANZIM U.S. LARGE CAP 6 MONTH BUFFER10 Exchange Traded Fund Financial
9002    SIZE 4/18/2013 3.78 ISHARES MSCI USA SIZE FACTOR ETF Exchange Traded Fund Financial
9003    SJ 2/6/2019 2.57 SCIENJOY HOLDING CORPORATION CLASS A ORDINARY SHARES EDP Services Technology
9004    SJB 3/22/2011 13 PROSHARES SHORT HIGH YIELD Exchange Traded Fund Financial
9005    SJCP 9/10/2024 0.01 SANJAC ALPHA CORE PLUS BOND ETF Exchange Traded Fund Financial
9006    SJLD 9/10/2024 0.01 SANJAC ALPHA LOW DURATION ETF Exchange Traded Fund Financial
9007    SJM 8/29/2000 97 THE J.M. SMUCKER COMPANY COMMON STOCK Packaged Foods Consumer Staples
9008    SJNK 4/9/2012 53 SPDR BLOOMBERG SHORT TERM HIGH YIELD BOND ETF Exchange Traded Fund Financial
9009    SJT 1/2/1998 51 SAN JUAN BASIN ROYALTY TRUST COMMON STOCK Oil & Gas Production Energy
9010    SJW 11/14/2005 29 SJW GROUP COMMON STOCK Water Supply Utilities
9011    SKBL 1/23/2025 0.34 SKYLINE BUILDERS GROUP HOLDING LIMITED CLASS A ORDINARY SHARES Engineering & Construction Consumer Discretionary
9012    SKE 3/25/2008 4.23 SKEENA RESOURCES LIMITED COMMON SHARES Precious Metals Basic Materials
9013    SKF 2/1/2007 43 PROSHARES ULTRASHORT FINANCIALS Exchange Traded Fund Financial
9014    SKGR 8/18/2022 0.22 SK GROWTH OPPORTUNITIES CORPORATION CLASS A COMMON STOCK Blank Checks Finance
9015    SKGRU 6/24/2022 0.07 SK GROWTH OPPORTUNITIES CORPORATION UNIT Blank Checks Finance
9016    SKGRW 8/15/2022 0.19 SK GROWTH OPPORTUNITIES CORPORATION WARRANT Blank Checks Finance
9017    SKIL 7/26/2019 8.46 SKILLSOFT CORP. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9018    SKIN 11/24/2020 17 THE BEAUTY HEALTH COMPANY CLASS A COMMON STOCK Medical/Dental Instruments Health Care
9019    SKK 2/22/2007 4.03 SKK HOLDINGS LIMITED ORDINARY SHARES Water Sewer Pipeline Comm & Power Line Construction Industrials
9020    SKLZ 4/27/2020 20 SKILLZ INC. CLASS A COMMON STOCK EDP Services Technology
9021    SKM 1/2/1998 85 SK TELECOM CO. LTD. COMMON STOCK Telecommunications Equipment Telecommunications
9022    SKOR 11/13/2014 1.98 FLEXSHARES CREDIT-SCORED US CORPORATE BOND INDEX FUND Exchange Traded Fund Financial
9023    SKRE 1/9/2024 0.66 TUTTLE CAPITAL DAILY 2X INVERSE REGIONAL BANKS ETF Exchange Traded Fund Financial
9024    SKT 1/2/1998 90 TANGER INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9025    SKWD 1/13/2023 5.05 SKYWARD SPECIALTY INSURANCE GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
9026    SKX 6/9/1999 93 SKECHERS U.S.A. INC. COMMON STOCK Shoe Manufacturing Consumer Discretionary
9027    SKY 1/2/1998 34 CHAMPION HOMES INC. COMMON STOCK Homebuilding Consumer Discretionary
9028    SKYE 11/26/2014 5.7 SKYE BIOSCIENCE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9029    SKYH 9/16/2009 2.47 SKY HARBOUR GROUP CORPORATION CLASS A COMMON STOCK Real Estate Finance
9030    SKYQ 10/10/2024 0.45 SKY QUARRY INC. COMMON STOCK Environmental Services Industrials
9031    SKYT 5/16/2007 9.97 SKYWATER TECHNOLOGY INC. COMMON STOCK Semiconductors Technology
9032    SKYU 1/21/2021 0.27 PROSHARES ULTRA CLOUD COMPUTING Exchange Traded Fund Financial
9033    SKYW 1/2/1998 84 SKYWEST INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
9034    SKYX 5/17/2007 5.37 SKYX PLATFORMS CORP. COMMON STOCK Building Products Consumer Discretionary
9035    SKYY 7/6/2011 28 FIRST TRUST CLOUD COMPUTING ETF Exchange Traded Fund Financial
9036    SLAB 3/24/2000 80 SILICON LABORATORIES INC. COMMON STOCK Semiconductors Technology
9037    SLB 1/2/1998 139 SCHLUMBERGER N.V. COMMON STOCK Oilfield Services/Equipment Energy
9038    SLDB 1/26/2018 17 SOLID BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9039    SLDP 5/18/2021 16 SOLID POWER INC. CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
9040    SLDPW 5/17/2021 1.65 SOLID POWER INC. WARRANT Industrial Machinery/Components Miscellaneous
9041    SLDR 10/21/2024 0.01 GLOBAL X FUNDS GLOBAL X SHORT-TERM TREASURY LADDER ETF Exchange Traded Fund Financial
9042    SLE 1/2/1998 71 SUPER LEAGUE ENTERPRISE INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
9043    SLF 11/14/2002 82 SUN LIFE FINANCIAL INC. COMMON STOCK Life Insurance Finance
9044    SLG 1/2/1998 95 SL GREEN REALTY CORP COMMON STOCK Real Estate Investment Trusts Real Estate
9045    SLG.I 8/14/2012 3.4 SL GREEN REALTY CORPORATION PREFERRED SERIES I
9046    SLGL 2/1/2018 2.46 SOL-GEL TECHNOLOGIES LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
9047    SLGN 1/2/1998 71 SILGAN HOLDINGS INC. COMMON STOCK Containers/Packaging Industrials
9048    SLI 1/5/2004 15 STANDARD LITHIUM LTD. COMMON SHARES Major Chemicals Industrials
9049    SLM 1/2/1998 122 SLM CORPORATION COMMON STOCK Finance: Consumer Services Finance
9050    SLMBP 5/16/2007 1.61 SLM CORPORATION FLOATING RATE NON-CUMULATIVE PREFERRED STOCK SERIES B Finance: Consumer Services Finance
9051    SLN 9/8/2020 3.45 SILENCE THERAPEUTICS PLC AMERICAN DEPOSITORY SHARE Biotechnology: Pharmaceutical Preparations Health Care
9052    SLND 12/23/2021 1.01 SOUTHLAND HOLDINGS INC. COMMON STOCK Military/Government/Technical Industrials
9053    SLNG 5/16/2007 3.84 STABILIS SOLUTIONS INC. COMMON STOCK Oil/Gas Transmission Utilities
9054    SLNH 4/24/2007 7.62 SOLUNA HOLDINGS INC. COMMON STOCK EDP Services Technology
9055    SLNHP 8/20/2021 0.63 SOLUNA HOLDINGS INC 9.0% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK EDP Services Technology
9056    SLNO 11/13/2014 14 SOLENO THERAPEUTICS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9057    SLP 3/17/2004 19 SIMULATIONS PLUS INC. COMMON STOCK EDP Services Technology
9058    SLQD 10/17/2013 16 ISHARES 0-5 YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
9059    SLQT 5/21/2020 17 SELECTQUOTE INC. COMMON STOCK Specialty Insurers Finance
9060    SLRC 2/9/2010 35 SLR INVESTMENT CORP. COMMON STOCK Finance/Investors Services Finance
9061    SLRN 5/5/2023 6.04 ACELYRIN INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9062    SLRX 1/29/2015 13 SALARIUS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9063    SLS 3/12/2008 38 SELLAS LIFE SCIENCES GROUP INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9064    SLSR 4/19/2024 0.43 SOLARIS RESOURCES INC. COMMON SHARES
9065    SLV 4/28/2006 109 ISHARES SILVER TRUST Exchange Traded Fund Financial
9066    SLVM 9/23/2021 9.63 SYLVAMO CORPORATION COMMON STOCK Paper Basic Materials
9067    SLVO 4/17/2013 7.95 UBS AG Exchange Traded Fund Financial
9068    SLVP 2/2/2012 11 ISHARES MSCI GLOBAL SILVER MINERS FUND Exchange Traded Fund Financial
9069    SLVR 11/1/2021 0.28
9070    SLX 10/17/2006 24 VANECK STEEL ETF Exchange Traded Fund Financial
9071    SLXN 8/16/2024 2.02 SILEXION THERAPEUTICS CORP ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9072    SLXNW 8/16/2024 0.07 SILEXION THERAPEUTICS CORP WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9073    SLYG 5/16/2007 16 SPDR S&P 600 SMALL CAP GROWTH ETF (BASED ON S&P SMALLCAP 600 G Exchange Traded Fund Financial
9074    SLYV 5/16/2007 21 SPDR S&P 600 SMALL CAP VALUE ETF (BASED ON S&P SMALLCAP VALUE Exchange Traded Fund Financial
9075    SM 11/20/2002 99 SM ENERGY COMPANY COMMON STOCK Oil & Gas Production Energy
9076    SMAP 11/16/2021 0.08 AMPLIFY ETF TRUST AMPLIFY SMALL-MID CAP EQUITY ETF Exchange Traded Fund Financial
9077    SMAY 5/22/2023 0.3 FT VEST U.S. SMALL CAP MODERATE BUFFER ETF - MAY Exchange Traded Fund Financial
9078    SMB 2/28/2008 8.12 VANECK ETF TRUST VANECK SHORT MUNI ETF Exchange Traded Fund Financial
9079    SMBC 7/21/2006 3.63 SOUTHERN MISSOURI BANCORP INC. COMMON STOCK Banks Finance
9080    SMBK 5/16/2007 4.59 SMARTFINANCIAL INC. COMMON STOCK Major Banks Finance
9081    SMBS 11/19/2024 0.07 SCHWAB STRATEGIC TRUST SCHWAB MORTGAGE-BACKED SECURITIES ETF Exchange Traded Fund Financial
9082    SMC 5/16/2007 18 SUMMIT MIDSTREAM CORPORATION COMMON STOCK Natural Gas Distribution Utilities
9083    SMCF 3/13/2024 0.04 THEMES US SMALL CAP CASH FLOW CHAMPIONS ETF Exchange Traded Fund Financial
9084    SMCI 3/29/2007 55 SUPER MICRO COMPUTER INC. COMMON STOCK Computer Manufacturing Technology
9085    SMCO 11/29/2023 0.11 HILTON SMALL-MIDCAP OPPORTUNITY ETF Exchange Traded Fund Financial
9086    SMCX 8/22/2024 3.22 DEFIANCE DAILY TARGET 2X LONG SMCI ETF Exchange Traded Fund Financial
9087    SMCY 9/12/2024 0.92 TIDAL TRUST II YIELDMAX SMCI OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
9088    SMDD 2/11/2010 6.5 ULTRAPRO SHORT MIDCAP400 Exchange Traded Fund Financial
9089    SMDV 2/5/2015 8.29 PROSHARES RUSSELL 2000 DIVIDEND GROWERS ETF Exchange Traded Fund Financial
9090    SMFG 11/1/2010 50 SUMITOMO MITSUI FINANCIAL GROUP INC UNSPONSORED AMERICAN DEPOSITARY SHARES (JAPAN) Commercial Banks Finance
9091    SMFL 2/16/2022 5.6
9092    SMG 1/2/1998 88 SCOTTS MIRACLE-GRO COMPANY (THE) COMMON STOCK Agricultural Chemicals Industrials
9093    SMH 6/5/2000 125 VANECK SEMICONDUCTOR ETF Exchange Traded Fund Financial
9094    SMHB 11/9/2018 3.79 NO NAME Exchange Traded Fund Financial
9095    SMHI 6/2/2017 8.07 SEACOR MARINE HOLDINGS INC. COMMON STOCK Marine Transportation Consumer Discretionary
9096    SMHX 8/28/2024 0.36 VANECK FABLESS SEMICONDUCTOR ETF Exchange Traded Fund Financial
9097    SMI 3/17/2004 21 VANECK HIP SUSTAINABLE MUNI ETF Exchange Traded Fund Financial
9098    SMID 5/16/2007 2.58 SMITH-MIDLAND CORPORATION COMMON STOCK Building Materials Industrials
9099    SMIG 8/26/2021 2 BAHL & GAYNOR SMALL/MID CAP INCOME GROWTH ETF Exchange Traded Fund Financial
9100    SMIN 2/9/2012 11 ISHARES MSCI INDIA SMALL CAP ETF Exchange Traded Fund Financial
9101    SMIT 1/2/1998 3.52
9102    SMIZ 3/13/2024 0.19 ZACKS TRUST ZACKS SMALL/MID CAP ETF Exchange Traded Fund Financial
9103    SMLF 4/30/2015 5.65 ISHARES U.S. SMALL-CAP EQUITY FACTOR ETF Exchange Traded Fund Financial
9104    SMLL 8/29/2024 0.03 HARBOR ETF TRUST HARBOR ACTIVE SMALL CAP ETF Exchange Traded Fund Financial
9105    SMLR 2/21/2014 6.14 SEMLER SCIENTIFIC INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9106    SMLV 2/21/2013 2.36 SPDR SSGA US SMALL CAP LOW VOLATILITY INDEX ETF Exchange Traded Fund Financial
9107    SMMD 7/10/2017 3.45 ISHARES TRUST ISHARES RUSSELL 2500 ETF Exchange Traded Fund Financial
9108    SMMT 3/5/2015 15
9109    SMMU 2/3/2010 3.8 SHORT TERM MUNICIPAL BOND ACTIVE EXCHANGE-TRADED FUND Exchange Traded Fund Financial
9110    SMMV 9/9/2016 6.76 ISHARES MSCI USA SMALL-CAP MIN VOL FACTOR ETF Exchange Traded Fund Financial
9111    SMN 2/2/2007 25 PROSHARES ULTRASHORT MATERIALS Exchange Traded Fund Financial
9112    SMOG 5/16/2007 7.65 VANECK LOW CARBON ENERGY ETF Exchange Traded Fund Financial
9113    SMOT 10/6/2022 1.68 VANECK ETF TRUST VANECK MORNINGSTAR SMID MOAT ETF Exchange Traded Fund Financial
9114    SMP 1/2/1998 42
9115    SMPL 5/16/2007 28 THE SIMPLY GOOD FOODS COMPANY COMMON STOCK Packaged Foods Consumer Staples
9116    SMR 5/3/2022 14 NUSCALE POWER CORPORATION CLASS A COMMON STOCK Metal Fabrications Industrials
9117    SMRI 9/14/2023 0.12 BUSHIDO CAPITAL US EQUITY ETF Exchange Traded Fund Financial
9118    SMRT 1/2/1998 58 SMARTRENT INC. CLASS A COMMON STOCK EDP Services Technology
9119    SMSI 1/2/1998 46 SMITH MICRO SOFTWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9120    SMST 8/21/2024 3.2 DEFIANCE DAILY TARGET 2X SHORT MSTR ETF Exchange Traded Fund Financial
9121    SMTC 1/2/1998 94 SEMTECH CORPORATION COMMON STOCK Semiconductors Technology
9122    SMTH 12/6/2023 0.8 ALPS ETF TRUST ALPS Exchange Traded Fund Financial
9123    SMTI 6/12/2008 2.07 SANARA MEDTECH INC. COMMON STOCK Industrial Specialties Health Care
9124    SMTK 2/3/2022 0.35 SMARTKEM INC. COMMON STOCK Semiconductors Technology
9125    SMWB 5/12/2021 6.17 SIMILARWEB LTD. ORDINARY SHARES Computer Software: Programming Data Processing Technology
9126    SMX 3/8/2023 6.8 SMX (SECURITY MATTERS) PUBLIC LIMITED COMPANY CLASS A ORDINARY SHARES Industrial Machinery/Components Technology
9127    SMXT 2/27/2024 1.62 SOLARMAX TECHNOLOGY INC. COMMON STOCK Engineering & Construction Consumer Discretionary
9128    SMXWW 3/8/2023 0.25 SMX (SECURITY MATTERS) PUBLIC LIMITED COMPANY WARRANT Industrial Machinery/Components Technology
9129    SN 7/31/2023 6.45 SHARKNINJA INC. ORDINARY SHARES Consumer Electronics/Appliances Consumer Discretionary
9130    SNA 1/2/1998 92 SNAP-ON INCORPORATED COMMON STOCK Industrial Machinery/Components Consumer Discretionary
9131    SNAL 11/10/2022 1 SNAIL INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9132    SNAP 3/2/2017 51 SNAP INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
9133    SNAV 3/15/2023 0.15 COLLABORATIVE INVESTMENT SERIES TRUST MOHR SECTOR NAV ETF Exchange Traded Fund Financial
9134    SNAX 3/6/2019 3.28
9135    SNAXW 12/7/2015 0.88
9136    SNBR 4/27/2007 62 SLEEP NUMBER CORPORATION COMMON STOCK Home Furnishings Consumer Discretionary
9137    SNCR 6/15/2006 52 SYNCHRONOSS TECHNOLOGIES INC. COMMON STOCK EDP Services Technology
9138    SNCRL 7/7/2021 0.5 SYNCHRONOSS TECHNOLOGIES INC. 8.375% SENIOR NOTES DUE 2026 Biotechnology: Pharmaceutical Preparations Health Care
9139    SNCY 3/17/2021 12 SUN COUNTRY AIRLINES HOLDINGS INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
9140    SND 11/4/2016 18 SMART SAND INC. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
9141    SNDA 5/13/2004 49 SONIDA SENIOR LIVING INC. COMMON STOCK Hospital/Nursing Management Health Care
9142    SNDK 1/2/1998 82 SANDISK CORPORATION COMMON STOCK Electronic Components Technology
9143    SNDKV 2/13/2025 0.05
9144    SNDL 8/1/2019 34 SNDL INC. COMMON SHARES Medicinal Chemicals and Botanical Products Health Care
9145    SNDR 4/6/2017 30 SCHNEIDER NATIONAL INC. COMMON STOCK Trucking Freight/Courier Services Industrials
9146    SNDX 3/3/2016 23 SYNDAX PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9147    SNES 12/8/2016 8.96 SENESTECH INC. COMMON STOCK Agricultural Chemicals Industrials
9148    SNEX 4/16/2007 20 STONEX GROUP INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
9149    SNFCA 8/27/2001 6.17 SECURITY NATIONAL FINANCIAL CORPORATION CLASS A COMMON STOCK Finance: Consumer Services Finance
9150    SNGX 9/30/2009 13 SOLIGENIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9151    SNN 11/16/1999 59 SMITH & NEPHEW SNATS INC. COMMON STOCK Industrial Specialties Health Care
9152    SNOA 5/16/2007 15 SONOMA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9153    SNOV 11/20/2023 0.22 FT VEST U.S. SMALL CAP MODERATE BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
9154    SNOW 1/31/2014 33 SNOWFLAKE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9155    SNOY 6/11/2024 0.45 TIDAL TRUST II YIELDMAX SNOW OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
9156    SNPD 1/5/2023 0.01 XTRACKERS S&P DIVIDEND ARISTOCRATS SCREENED ETF Exchange Traded Fund Financial
9157    SNPE 6/26/2019 6.89 XTRACKERS S&P 500 SCORED & SCREENED ETF Exchange Traded Fund Financial
9158    SNPG 11/17/2022 0.03 XTRACKERS S&P 500 GROWTH SCORED & SCREENED ETF Exchange Traded Fund Financial
9159    SNPS 1/2/1998 109 SYNOPSYS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9160    SNPV 3/31/2023 0.01 XTRACKERS S&P 500 VALUE SCORED & SCREENED ETF Exchange Traded Fund Financial
9161    SNPX 6/7/2021 3.75 SYNAPTOGENIX INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9162    SNRE 11/4/2024 1.02 SUNRISE COMMUNICATIONS AG AMERICAN DEPOSITARY SHARES REPRESENTING CLASS A SHARES Cable & Other Pay Television Services Telecommunications
9163    SNSE 2/4/2021 3.18 SENSEI BIOTHERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9164    SNSR 9/16/2016 6.56 GLOBAL X INTERNET OF THINGS ETF Exchange Traded Fund Financial
9165    SNT 5/17/2002 7.32 SENSTAR TECHNOLOGIES CORPORATION COMMON SHARES Telecommunications Equipment Telecommunications
9166    SNTG 7/9/2021 2.65 SENTAGE HOLDINGS INC. CLASS A ORDINARY SHARES Finance: Consumer Services Finance
9167    SNTI 5/26/2021 4.09 SENTI BIOSCIENCES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9168    SNV 1/2/1998 114 SYNOVUS FINANCIAL CORP. COMMON STOCK Major Banks Finance
9169    SNV.D 6/25/2018 2.13 SYNOVUS FINANCIAL CORP. FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES D LIQUATION PREFERENCE $25.00 PER SHARE
9170    SNV.E 7/5/2019 3.27 SYNOVUS FINANCIAL CORP. 5.875% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E
9171    SNWV 11/12/2009 2.06 SANUWAVE HEALTH INC. COMMON STOCK
9172    SNX 11/25/2003 62 TD SYNNEX CORPORATION COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
9173    SNY 7/1/2002 91 SANOFI ADS Biotechnology: Pharmaceutical Preparations Health Care
9174    SNYR 10/23/2024 0.09 SYNERGY CHC CORP. COMMON STOCK Other Pharmaceuticals Health Care
9175    SO 1/2/1998 129 SOUTHERN COMPANY (THE) COMMON STOCK Electric Utilities: Central Utilities
9176    SOAR 1/21/2022 2.54 VOLATO GROUP INC. CLASS A COMMON STOCK Transportation Services Consumer Discretionary
9177    SOBO 10/8/2024 1.53 SOUTH BOW CORPORATION COMMON SHARES Natural Gas Distribution Energy
9178    SOBR 5/16/2022 5.4 SOBR SAFE INC. COMMON STOCK Newspapers/Magazines Consumer Discretionary
9179    SOC 4/19/2021 3.61 SABLE OFFSHORE CORP. COMMON STOCK Oil & Gas Production Energy
9180    SOCL 11/15/2011 8.91 GLOBAL X SOCIAL MEDIA ETF Exchange Traded Fund Financial
9181    SOFI 11/30/2020 34 SOFI TECHNOLOGIES INC. COMMON STOCK Finance: Consumer Services Finance
9182    SOFO 4/24/2000 7.65
9183    SOFR 11/15/2023 0.1 AMPLIFY ETF TRUST AMPLIFY SAMSUNG SOFR ETF Exchange Traded Fund Financial
9184    SOGP 1/17/2020 7.06 SOUND GROUP INC. AMERICAN DEPOSITARY SHARES Computer Software: Programming Data Processing Technology
9185    SOHO 12/17/2004 9.14 SOTHERLY HOTELS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9186    SOHOB 9/7/2016 0.63 SOTHERLY HOTELS INC. 8.0% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Real Estate Investment Trusts Real Estate
9187    SOHON 4/24/2019 0.48 SOTHERLY HOTELS INC. 8.25% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Real Estate Investment Trusts Real Estate
9188    SOHOO 10/16/2017 0.63 SOTHERLY HOTELS INC. 7.875% SERIES C CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Real Estate Investment Trusts Real Estate
9189    SOHU 7/12/2000 74 SOHU.COM LIMITED AMERICAN DEPOSITARY SHARES EDP Services Technology
9190    SOJC 11/28/2017 4.49 SOUTHERN COMPANY (THE) SERIES 2017B 5.25% JUNIOR SUBORDINATED NOTES DUE DECEMBER 1 2077 Electric Utilities: Central Utilities
9191    SOJD 1/14/2020 6.83 SOUTHERN COMPANY (THE) SERIES 2020A 4.95% JUNIOR SUBORDINATED NOTES DUE JANUARY 30 2080 Electric Utilities: Central Utilities
9192    SOJE 9/23/2020 4.79 SOUTHERN COMPANY (THE) SERIES 2020C 4.20% JUNIOR SUBORDINATED NOTES DUE OCTOBER 15 2060 Metal Mining Basic Materials
9193    SOJF 1/16/2025 0.22 SOUTHERN COMPANY (THE) SERIES 2025A 6.50% JUNIOR SUBORDINATED NOTES DUE MARCH 15 2085 Metal Mining Basic Materials
9194    SOL 1/29/2008 47 EMEREN GROUP LTD AMERICAN DEPOSITARY SHARES EACH REPRESENTING 10 SHARES Semiconductors Technology
9195    SOLR 1/3/2022 0.05 SMARTETFS SUSTAINABLE ENERGY II ETF Exchange Traded Fund Financial
9196    SOLV 3/26/2024 3.82 SOLVENTUM CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
9197    SON 1/2/1998 83 SONOCO PRODUCTS COMPANY COMMON STOCK Containers/Packaging Consumer Discretionary
9198    SOND 3/15/2021 6.42 SONDER HOLDINGS INC. CLASS A COMMON STOCK Hotels/Resorts Consumer Discretionary
9199    SONDW 3/15/2021 0.6 SONDER HOLDINGS INC. WARRANTS Hotels/Resorts Consumer Discretionary
9200    SONG 9/11/2019 1
9201    SONM 5/10/2019 11 SONIM TECHNOLOGIES INC. COMMON STOCK Telecommunications Equipment Utilities
9202    SONN 1/16/2013 17 SONNET BIOTHERAPEUTICS HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9203    SONO 4/7/1998 52 SONOS INC. COMMON STOCK Consumer Electronics/Appliances Consumer Staples
9204    SONX 10/29/2021 2.44
9205    SONY 4/26/2007 82 SONY GROUP CORPORATION AMERICAN DEPOSITARY SHARES Consumer Electronics/Appliances Consumer Staples
9206    SOPA 11/9/2021 5.49 SOCIETY PASS INCORPORATED COMMON STOCK Business Services Consumer Discretionary
9207    SOPH 7/23/2021 2.7 SOPHIA GENETICS SA ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9208    SOR 1/2/1998 8.7 SOURCE CAPITAL INC. CMN SHS OF BI Investment Managers Finance
9209    SOS 4/28/2017 20 SOS LIMITED AMERICAN DEPOSITARY SHARES ONE HUNDRED AND FIFTY (150) CLASS A ORDINARY SHARES Finance: Consumer Services Finance
9210    SOTK 5/16/2007 1.34 SONO-TEK CORPORATION COMMON STOCK Industrial Machinery/Components Technology
9211    SOUN 4/28/2022 18 SOUNDHOUND AI INC CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9212    SOUNW 4/26/2021 1.59 SOUNDHOUND AI INC. WARRANT Computer Software: Prepackaged Software Technology
9213    SOVF 10/3/2023 0.2 ELEVATION SERIES TRUST SOVEREIGN'S CAPITAL FLOURISH FUND Exchange Traded Fund Financial
9214    SOWG 7/1/2010 1.59 SOW GOOD INC. COMMON STOCK Packaged Foods Consumer Staples
9215    SOXL 3/11/2010 85 DIREXION DAILY SEMICONDUCTOR BULL 3X SHARES Exchange Traded Fund Financial
9216    SOXM 9/3/2024 0.07
9217    SOXQ 6/11/2021 5.84 INVESCO PHLX SEMICONDUCTOR ETF Exchange Traded Fund Financial
9218    SOXS 3/11/2010 79 DIREXION DAILY SEMICONDUCTOR BEAR 3X SHARES Exchange Traded Fund Financial
9219    SOXW 9/3/2024 0.02
9220    SOXX 2/11/2010 55 ISHARES SEMICONDUCTOR ETF Exchange Traded Fund Financial
9221    SOXY 12/3/2024 0.03 TIDAL TRUST II YIELDMAX TARGET 12 SEMICONDUCTOR OPTION INCOME Exchange Traded Fund Financial
9222    SOYB 9/19/2011 6.96 TEUCRIUM SOYBEAN FUND ETV Exchange Traded Fund Financial
9223    SPAB 5/30/2007 31 SPDR PORTFOLIO AGGREGATE BOND ETF Exchange Traded Fund Financial
9224    SPAI 8/28/2024 0.74 SAFE PRO GROUP INC. COMMON STOCK Industrial Specialties Health Care
9225    SPAM 12/11/2023 0.05 THEMES CYBERSECURITY ETF Exchange Traded Fund Financial
9226    SPAQ 10/2/2018 3.24 HORIZON KINETICS SPAC ACTIVE ETF Exchange Traded Fund Financial
9227    SPAX 6/24/2021 0.14 ROBINSON ALTERNATIVE YIELD PRE-MERGER SPAC ETF Exchange Traded Fund Financial
9228    SPB 3/18/2010 46 SPECTRUM BRANDS HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
9229    SPBC 5/25/2021 0.35 SIMPLIFY US EQUITY PLUS BITCOIN STRATEGY ETF Exchange Traded Fund Financial
9230    SPBO 4/7/2011 7.5 SPDR PORTFOLIO CORPORATE BOND ETF Exchange Traded Fund Financial
9231    SPC 9/21/2021 0.45 CROSSINGBRIDGE PRE-MERGER SPAC ETF Exchange Traded Fund Financial
9232    SPCB 12/21/2011 16 SUPERCOM LTD. ORDINARY SHARES (ISRAEL) Semiconductors Technology
9233    SPCE 9/29/2017 34 VIRGIN GALACTIC HOLDINGS INC. COMMON STOCK Transportation Services Consumer Discretionary
9234    SPCX 12/16/2020 1.61 SPAC AND NEW ISSUE ETF Exchange Traded Fund Financial
9235    SPD 9/4/2020 1.97 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY US EQUITY PLUS DOWNSID Exchange Traded Fund Financial
9236    SPDG 9/13/2023 0.05 SPDR SERIES TRUST SPDR PORTFOLIO S&P SECTOR NEUTRAL DIVIDEND E Exchange Traded Fund Financial
9237    SPDN 6/10/2016 17 DIREXION DAILY S&P 500 BEAR 1X SHARES Exchange Traded Fund Financial
9238    SPDV 11/29/2017 1.01 AAM S&P 500 HIGH DIVIDEND VALUE ETF Exchange Traded Fund Financial
9239    SPDW 5/16/2007 36 SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF Exchange Traded Fund Financial
9240    SPE 11/27/2009 5.13 SPECIAL OPPORTUNITIES FUND INC COMMON STOCK Finance/Investors Services Finance
9241    SPE.C 1/27/2022 0.06 SPECIAL OPPORTUNITIES FUND INC. 2.75% CONVERTIBLE PREFERRED STOCK SERIES C
9242    SPEC 1/2/1998 8.95
9243    SPEM 5/16/2007 33 SPDR INDEX SHARES FUND SPDR PORTFOLIO EMERGING MARKETS ETF Exchange Traded Fund Financial
9244    SPEU 5/16/2007 8.68 SPDR PORTFOLIO EUROPE ETF Exchange Traded Fund Financial
9245    SPFF 7/19/2012 9.12 GLOBAL X SUPERINCOME PREFERRED ETF Exchange Traded Fund Financial
9246    SPFI 5/9/2019 2.81 SOUTH PLAINS FINANCIAL INC. COMMON STOCK Major Banks Finance
9247    SPG 1/2/1998 118 SIMON PROPERTY GROUP INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9248    SPG.J 5/16/2007 0.62 SIMON PROPERTY GROUP INC. SIMON PROPERTY GROUP 8 3/8% SERIES J CUMULATIVE REDEEMABLE PREFERRED STOCK
9249    SPGC 8/15/2023 2.38 SACKS PARENTE GOLF INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
9250    SPGI 4/27/2007 83 S&P GLOBAL INC. COMMON STOCK Finance: Consumer Services Finance
9251    SPGM 3/6/2012 4.09 SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF Exchange Traded Fund Financial
9252    SPGP 6/16/2011 12 INVESCO S&P 500 GARP ETF Exchange Traded Fund Financial
9253    SPH 1/2/1998 56 SUBURBAN PROPANE PARTNERS L.P. COMMON STOCK Other Specialty Stores Consumer Discretionary
9254    SPHA 1/28/2025 0.01 SHEPHERD AVE CAPITAL ACQUISITION CORPORATION CLASS A ORDINARY SHARES
9255    SPHAR 1/27/2025 0.01
9256    SPHAU 12/5/2024 0.01 SHEPHERD AVE CAPITAL ACQUISITION CORPORATION UNIT
9257    SPHB 5/5/2011 25 INVESCO S&P 500 HIGH BETA ETF Exchange Traded Fund Financial
9258    SPHD 10/26/2012 39 INVESCO S&P 500 HIGH DIVIDEND LOW VOLATILITY ETF Exchange Traded Fund Financial
9259    SPHL 10/17/2024 0.39 SPRINGVIEW HOLDINGS LTD CLASS A ORDINARY SHARES Homebuilding Consumer Discretionary
9260    SPHQ 5/8/2007 33 INVESCO S&P 500 QUALITY ETF Exchange Traded Fund Financial
9261    SPHR 4/9/2020 13 SPHERE ENTERTAINMENT CO. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
9262    SPHY 6/19/2012 14 SPDR PORTFOLIO HIGH YIELD BOND ETF Exchange Traded Fund Financial
9263    SPIB 2/20/2009 35 SPDR PORTFOLIO INTERMEDIATE TERM CORPORATE BOND ETF Exchange Traded Fund Financial
9264    SPIP 5/30/2007 24 SPDR PORTFOLIO TIPS ETF Exchange Traded Fund Financial
9265    SPIR 11/3/2020 11 SPIRE GLOBAL INC. CLASS A COMMON STOCK Telecommunications Equipment Consumer Discretionary
9266    SPKL 11/27/2023 0.05 SPARK I ACQUISITION CORP. CLASS A ORDINARY SHARE
9267    SPKLW 11/27/2023 0.03 SPARK I ACQUISITION CORP. WARRANT
9268    SPLB 3/12/2009 23 SPDR PORTFOLIO LONG TERM CORPORATE BOND ETF Exchange Traded Fund Financial
9269    SPLG 5/16/2007 33 SPDR PORTFOLIO S&P 500 ETF Exchange Traded Fund Financial
9270    SPLP 4/10/2012 2.32 STEEL PARTNERS HOLDINGS LP LTD PARTNERSHIP UNIT Industrial Specialties Industrials
9271    SPLP.A 2/15/2017 1.71 STEEL PARTNERS HOLDINGS LP 6.0% SERIES A PREFERRED UNITS NO PAR VALUE
9272    SPLV 5/5/2011 58 INVESCO S&P 500 LOW VOLATILITY ETF Exchange Traded Fund Financial
9273    SPMA 11/8/2024 0.09 SOUND POINT MERIDIAN CAPITAL INC. 8.00% SERIES A PREFERRED SHARES DUE 2029
9274    SPMB 1/30/2009 17 SPDR PORTFOLIO MORTGAGE BACKED BOND ETF Exchange Traded Fund Financial
9275    SPMC 6/14/2024 0.32 SOUND POINT MERIDIAN CAPITAL INC. COMMON STOCK
9276    SPMD 7/9/2013 27 SPDR PORTFOLIO S&P 400 MID CAP ETF Exchange Traded Fund Financial
9277    SPMO 9/8/2016 5.84 INVESCO S&P 500 MOMENTUM ETF Exchange Traded Fund Financial
9278    SPMV 7/14/2017 0.23 INVESCO S&P 500 MINIMUM VARIANCE ETF Exchange Traded Fund Financial
9279    SPNS 4/1/1999 20 SAPIENS INTERNATIONAL CORPORATION N.V. COMMON SHARES (CAYMAN ISLANDS) Computer Software: Prepackaged Software Technology
9280    SPNT 8/15/2013 32 SIRIUSPOINT LTD. COMMON SHARES Property-Casualty Insurers Finance
9281    SPNT.B 7/7/2021 1.62 SIRIUSPOINT LTD. 8.00% RESETTABLE FIXED RATE PREFERENCE SHARES SERIES B $25.00 LIQUIDATION PREFERENCE PER SHARE
9282    SPOK 5/4/2007 37 SPOK HOLDINGS INC. COMMON STOCK Telecommunications Equipment Telecommunications
9283    SPOT 4/3/2018 33 SPOTIFY TECHNOLOGY S.A. ORDINARY SHARES Broadcasting Consumer Discretionary
9284    SPPL 9/13/2023 1.47 SIMPPLE LTD. ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
9285    SPPP 12/19/2012 10 SPROTT PHYSICAL PLATINUM AND PALLADIUM TRUST Exchange Traded Fund Financial
9286    SPQ 7/12/2024 0.01 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY US EQUITY PLUS QIS ETF Exchange Traded Fund Financial
9287    SPR 11/28/2006 77 SPIRIT AEROSYSTEMS HOLDINGS INC. COMMON STOCK Military/Government/Technical Industrials
9288    SPRB 10/9/2020 5.44 SPRUCE BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9289    SPRC 12/22/2021 5.47 SCISPARC LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
9290    SPRE 12/30/2020 1.11 SP FUNDS S&P GLOBAL REIT SHARIA ETF Exchange Traded Fund Financial
9291    SPRO 4/22/2008 11 SPERO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9292    SPRU 11/14/2022 3.11 SPRUCE POWER HOLDING CORPORATION CLASS A COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
9293    SPRX 5/16/2007 1.18 SPEAR ALPHA ETF Exchange Traded Fund Financial
9294    SPRY 12/4/2020 11 ARS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9295    SPSB 1/4/2010 43 SPDR PORTFOLIO SHORT TERM CORPORATE BOND ETF Exchange Traded Fund Financial
9296    SPSC 4/22/2010 25 SPS COMMERCE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9297    SPSK 12/31/2019 1.9 TIDAL ETF TRUST SP FUNDS DOW JONES GLOBAL SUKUK ETF Exchange Traded Fund Financial
9298    SPSM 7/9/2013 25 SPDR PORTFOLIO S&P 600 SMALL CAP ETF Exchange Traded Fund Financial
9299    SPT 12/13/2019 18 SPROUT SOCIAL INC CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9300    SPTB 5/21/2024 0.05 SPDR SERIES TRUST SPDR PORTFOLIO TREASURY ETF Exchange Traded Fund Financial
9301    SPTE 12/1/2023 0.2 SP FUNDS TRUST SP FUNDS S&P GLOBAL TECHNOLOGY ETF Exchange Traded Fund Financial
9302    SPTI 5/30/2007 21 SPDR PORTFOLIO INTERMEDIATE TERM TREASURY ETF Exchange Traded Fund Financial
9303    SPTL 5/30/2007 31 SPDR PORTFOLIO LONG TERM TREASURY ETF Exchange Traded Fund Financial
9304    SPTM 5/16/2007 26 SPDR PORTFOLIO S&P 1500 COMPOSITE STOCK MARKET ETF Exchange Traded Fund Financial
9305    SPTN 8/2/2000 56 SPARTANNASH COMPANY COMMON STOCK Food Distributors Consumer Discretionary
9306    SPTS 12/1/2011 19 SPDR PORTFOLIO SHORT TERM TREASURY ETF Exchange Traded Fund Financial
9307    SPUC 9/4/2020 0.22 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY US EQUITY PLUS UPSIDE Exchange Traded Fund Financial
9308    SPUS 12/18/2019 4.31 SP FUNDS S&P 500 SHARIA INDUSTRY EXCLUSIONS ETF Exchange Traded Fund Financial
9309    SPUU 5/28/2014 4.09 DIREXION DAILY S&P 500 BULL 2X SHARES Exchange Traded Fund Financial
9310    SPVM 4/6/2017 0.78 INVESCO S&P 500 VALUE WITH MOMENTUM ETF Exchange Traded Fund Financial
9311    SPVU 10/18/2016 1.56 INVESCO S&P 500 ENHANCED VALUE ETF Exchange Traded Fund Financial
9312    SPWH 4/17/2014 32 SPORTSMAN'S WAREHOUSE HOLDINGS INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
9313    SPWO 12/20/2023 0.15 SP FUNDS TRUST SP FUNDS S&P WORLD (EX-US) ETF Exchange Traded Fund Financial
9314    SPXC 4/30/2007 56 SPX TECHNOLOGIES INC. COMMON STOCK Industrial Machinery/Components Industrials
9315    SPXE 9/24/2015 0.34 PROSHARES S&P 500 EX-ENERGY ETF Exchange Traded Fund Financial
9316    SPXL 11/5/2008 99 DIREXION DAILY S&P 500 BULL 3X SHARES Exchange Traded Fund Financial
9317    SPXN 12/19/2017 0.26 PROSHARES S&P 500 EX-FINANCIALS ETF Exchange Traded Fund Financial
9318    SPXS 11/19/2008 100 DIREXION DAILY S&P 500 BEAR 3X Exchange Traded Fund Financial
9319    SPXT 11/9/2016 0.31 PROSHARES S&P 500 EX-TECHNOLOGY ETF Exchange Traded Fund Financial
9320    SPXU 6/25/2009 101 PROSHARES ULTRAPRO SHORT S&P500 Exchange Traded Fund Financial
9321    SPXV 10/10/2018 0.16 PROSHARES S&P 500 EX-HEALTH CARE ETF Exchange Traded Fund Financial
9322    SPXX 4/24/2007 15 NUVEEN S&P 500 DYNAMIC OVERWRITE FUND Trusts Except Educational Religious and Charitable Finance
9323    SPY 1/2/1998 225 SPDR S&P 500 Exchange Traded Fund Financial
9324    SPYB 2/5/2015 0.38
9325    SPYC 9/4/2020 0.87 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY US EQUITY PLUS CONVEXI Exchange Traded Fund Financial
9326    SPYD 10/22/2015 30 SPDR SERIES TRUST SPDR PORTFOLIO S&P 500 HIGH DIVIDEND ETF Exchange Traded Fund Financial
9327    SPYG 5/16/2007 37 SPDR SERIES TRUST SPDR PORTFOLIO S&P 500 GROWTH ETF Exchange Traded Fund Financial
9328    SPYI 8/30/2022 5.98 NEOS S&P 500 HIGH INCOME ETF Exchange Traded Fund Financial
9329    SPYM 9/3/2024 0.02
9330    SPYQ 10/1/2024 0.05 TRADR 2X LONG SPY QUARTERLY ETF Exchange Traded Fund Financial
9331    SPYT 3/7/2024 1.19 TIDAL TRUST II DEFIANCE S&P 500 TARGET INCOME ETF Exchange Traded Fund Financial
9332    SPYU 12/5/2023 5.41 BANK OF MONTREAL MAX S&P 500 4X LEVERAGED ETNS DUE OCTOBER 30 Exchange Traded Fund Financial
9333    SPYV 5/16/2007 32 SPDR SERIES TRUST SPDR PORTFOLIO S&P 500 VALUE ETF Exchange Traded Fund Financial
9334    SPYX 12/1/2015 5.07 SPDR S&P 500 FOSSIL FUEL RESERVES FREE ETF Exchange Traded Fund Financial
9335    SQEW 5/12/2020 0.86 LEADERSHARES EQUITY SKEW ETF Exchange Traded Fund Financial
9336    SQFT 10/7/2020 2.49 PRESIDIO PROPERTY TRUST INC. CLASS A COMMON STOCK Real Estate Investment Trusts Real Estate
9337    SQFTP 6/11/2021 0.3 PRESIDIO PROPERTY TRUST INC. 9.375% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK $0.01 PAR VALUE PER SHARE Real Estate Investment Trusts Real Estate
9338    SQFTW 1/24/2022 0.28 PRESIDIO PROPERTY TRUST INC. SERIES A COMMON STOCK PURCHASE WARRANTS Real Estate Investment Trusts Real Estate
9339    SQLLW 8/27/2021 0.16
9340    SQLV 7/13/2017 0.31 ROYCE QUANT SMALL-CAP QUALITY VALUE ETF Exchange Traded Fund Financial
9341    SQM 1/2/1998 71 SOCIEDAD QUIMICA Y MINERA S.A. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
9342    SQNS 4/19/2011 16 SEQUANS COMMUNICATIONS S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN (10) ORDINARY SHARES) Semiconductors Technology
9343    SQQQ 2/11/2010 117 PROSHARES ULTRAPRO SHORT QQQ Exchange Traded Fund Financial
9344    SQY 10/11/2023 1.48 TIDAL TRUST II YIELDMAX SQ OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
9345    SR 1/2/1998 50 SPIRE INC. COMMON STOCK Oil/Gas Transmission Utilities
9346    SR.A 5/22/2019 2.26 SPIRE INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.90% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
9347    SRAD 9/14/2021 8.74 SPORTRADAR GROUP AG CLASS A ORDINARY SHARES Computer Software: Programming Data Processing Technology
9348    SRAX 10/13/2016 6.97
9349    SRBK 9/20/2023 0.48 SR BANCORP INC. COMMON STOCK Banks Finance
9350    SRCE 1/2/1998 22 1ST SOURCE CORPORATION COMMON STOCK Major Banks Finance
9351    SRDX 3/4/1998 40 SURMODICS INC. COMMON STOCK Medical/Dental Instruments Health Care
9352    SRE 6/29/1998 118 DBA SEMPRA COMMON STOCK Natural Gas Distribution Utilities
9353    SREA 6/27/2019 5.03 DBA SEMPRA 5.750% JUNIOR SUBORDINATED NOTES DUE 2079 Natural Gas Distribution Utilities
9354    SRET 3/17/2015 12 GLOBAL X SUPERDIVIDEND REIT ETF Exchange Traded Fund Financial
9355    SRFM 7/27/2023 3.41 SURF AIR MOBILITY INC. COMMON STOCK Transportation Services Consumer Discretionary
9356    SRG 7/6/2015 26 SERITAGE GROWTH PROPERTIES CLASS A COMMON STOCK Real Estate Finance
9357    SRG.A 12/19/2017 1.06 SERITAGE GROWTH PROPERTIES 7.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST
9358    SRHQ 10/5/2022 0.02 SRH U.S. QUALITY GARP ETF Exchange Traded Fund Financial
9359    SRHR 11/2/2023 0.01 ELEVATION SERIES TRUST SRH REIT COVERED CALL ETF Exchange Traded Fund Financial
9360    SRI 1/2/1998 39 STONERIDGE INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
9361    SRL 6/4/2019 1.12 SCULLY ROYALTY LTD. Commercial Banks Finance
9362    SRLN 4/4/2013 33 SPDR BLACKSTONE SENIOR LOAN ETF Exchange Traded Fund Financial
9363    SRM 8/15/2023 1.88 SRM ENTERTAINMENT INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
9364    SRNE 12/31/2009 37
9365    SROI 2/6/2023 0.05 CALAMOS ETF TRUST CALAMOS ANTETOKOUNMPO GLOBAL SUSTAINABLE EQU Exchange Traded Fund Financial
9366    SRPT 1/2/1998 81 SAREPTA THERAPEUTICS INC. COMMON STOCK (DE) Biotechnology: Pharmaceutical Preparations Health Care
9367    SRRK 5/24/2018 14 SCHOLAR ROCK HOLDING CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9368    SRS 2/1/2007 44 PROSHARES ULTRASHORT REAL ESTATE Exchange Traded Fund Financial
9369    SRTS 7/26/2016 7.07 SENSUS HEALTHCARE INC. COMMON STOCK Medical/Dental Instruments Health Care
9370    SRTY 2/11/2010 64 PROSHARES ULTRAPRO SHORT RUSSELL2000 Exchange Traded Fund Financial
9371    SRV 9/4/2007 13 NXG CUSHING MIDSTREAM ENERGY FUND COMMON SHARES OF BENEFICIAL INTEREST Finance Companies Finance
9372    SRVR 5/16/2018 9.36 PACER DATA & INFRASTRUCTURE REAL ESTATE ETF Exchange Traded Fund Financial
9373    SRZN 8/12/2021 2.13 SURROZEN INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9374    SRZNW 8/12/2021 0.15 SURROZEN INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9375    SSB 5/16/2007 34 SOUTHSTATE CORPORATION COMMON STOCK Major Banks Finance
9376    SSBI 7/14/2006 1.62 SUMMIT STATE BANK COMMON STOCK Major Banks Finance
9377    SSBK 8/12/2021 0.87 SOUTHERN STATES BANCSHARES INC. COMMON STOCK Savings Institutions Finance
9378    SSD 1/2/1998 62 SIMPSON MANUFACTURING COMPANY INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
9379    SSFI 9/29/2021 0.17 DAY HAGAN/NED DAVIS RESEARCH SMART SECTOR FIXED INCOME ETF Exchange Traded Fund Financial
9380    SSG 2/5/2007 15 PROSHARES ULTRASHORT SEMICONDUCTORS Exchange Traded Fund Financial
9381    SSKN 5/16/2007 18 STRATA SKIN SCIENCES INC. COMMON STOCK Medical/Dental Instruments Health Care
9382    SSL 4/9/2003 67 SASOL LTD. AMERICAN DEPOSITARY SHARES Oil & Gas Production Energy
9383    SSNC 3/31/2010 56 SS&C TECHNOLOGIES HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9384    SSO 6/21/2006 109 PROSHARES ULTRA S&P500 Exchange Traded Fund Financial
9385    SSP 1/2/1998 76 E.W. SCRIPPS COMPANY (THE) CLASS A COMMON STOCK Broadcasting Industrials
9386    SSPX 9/9/2021 0.07 JANUS HENDERSON U.S. SUSTAINABLE EQUITY ETF Exchange Traded Fund Financial
9387    SSPY 1/4/2019 0.37 EXCHANGE LISTED FUNDS TRUST STRATIFIED LARGECAP INDEX ETF Exchange Traded Fund Financial
9388    SSRM 4/27/2007 77 SSR MINING INC. COMMON STOCK Precious Metals Industrials
9389    SSSS 4/28/2011 25 SURO CAPITAL CORP. COMMON STOCK Finance: Consumer Services Finance
9390    SSSSL 12/17/2021 0.12 SURO CAPITAL CORP. 6.00% NOTES DUE 2026 Finance: Consumer Services Finance
9391    SST 12/1/2011 6.83 SYSTEM1 INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
9392    SSTI 1/2/1998 43 SOUNDTHINKING INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9393    SSTK 10/11/2012 35 SHUTTERSTOCK INC. COMMON STOCK EDP Services Technology
9394    SSUS 1/17/2020 2.45 DAY HAGAN/NED DAVIS RESEARCH SMART SECTOR ETF Exchange Traded Fund Financial
9395    SSXU 7/1/2022 0.13 STRATEGY SHARES DAY HAGAN/NED DAVIS RESEARCH SMART SECTOR INTE Exchange Traded Fund Financial
9396    SSY 11/23/2004 4.67 SUNLINK HEALTH SYSTEMS INC. COMMON STOCK Hospital/Nursing Management Health Care
9397    SSYS 1/2/1998 74 STRATASYS LTD. ORDINARY SHARES (ISRAEL) Computer peripheral equipment Technology
9398    ST 3/11/2010 63 SENSATA TECHNOLOGIES HOLDING PLC ORDINARY SHARES Industrial Machinery/Components Industrials
9399    STAA 1/2/1998 47 STAAR SURGICAL COMPANY COMMON STOCK Ophthalmic Goods Health Care
9400    STAB 5/16/2007 16
9401    STAF 3/27/2013 9.85
9402    STAG 4/15/2011 54 STAG INDUSTRIAL INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9403    STAI 1/3/2025 0.86 SCANTECH AI SYSTEMS INC. COMMON STOCK Electrical Products Industrials
9404    STAK 2/26/2025 0.04 STAK INC. ORDINARY SHARES Metal Fabrications Industrials
9405    STAX 3/5/2024 0.01 MACQUARIE ETF TRUST MACQUARIE TAX-FREE USA SHORT TERM ETF Exchange Traded Fund Financial
9406    STBA 1/2/1998 40 S&T BANCORP INC. COMMON STOCK Major Banks Finance
9407    STBF 4/9/2024 0.03 TRUST FOR PROFESSIONAL MANAGERS PERFORMANCE TRUST SHORT TERM B Exchange Traded Fund Financial
9408    STBX 8/23/2022 3.42 STARBOX GROUP HOLDINGS LTD. CLASS A ORDINARY SHARES Advertising Consumer Discretionary
9409    STC 1/2/1998 53 STEWART INFORMATION SERVICES CORPORATION COMMON STOCK Specialty Insurers Finance
9410    STCE 8/4/2022 1.07 SCHWAB STRATEGIC TRUST SCHWAB CRYPTO THEMATIC ETF Exchange Traded Fund Financial
9411    STE 12/1/1998 91 STERIS PLC (IRELAND) ORDINARY SHARES Industrial Specialties Health Care
9412    STEC 10/3/2000 34 SANTECH HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES Investment Managers Finance
9413    STEL 11/8/2017 8.81 STELLAR BANCORP INC. COMMON STOCK Major Banks Finance
9414    STEM 5/25/2000 57 STEM INC. CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
9415    STEP 9/16/2020 12 STEPSTONE GROUP INC. CLASS A COMMON STOCK Investment Managers Finance
9416    STEW 4/4/2022 3.27 SRH TOTAL RETURN FUND INC. COMMON STOCK Investment Managers Finance
9417    STFS 10/11/2024 0.78 STAR FASHION CULTURE HOLDINGS LIMITED CLASS A ORDINARY SHARES Advertising Consumer Discretionary
9418    STG 3/23/2018 4.14 SUNLANDS TECHNOLOGY GROUP AMERICAN DEPOSITARY SHARES REPRESENTING CLASS A ORDINARY SHARES Other Consumer Services Real Estate
9419    STGW 5/16/2007 36 STAGWELL INC. CLASS A COMMON STOCK Advertising Consumer Discretionary
9420    STHO 3/28/2023 1.68 STAR HOLDINGS SHARES OF BENEFICIAL INTEREST Real Estate Real Estate
9421    STI 1/2/1998 94 SOLIDION TECHNOLOGY INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
9422    STIM 6/28/2018 11 NEURONETICS INC. COMMON STOCK Medical/Dental Instruments Health Care
9423    STIP 12/3/2010 25 ISHARES 0-5 YEAR TIPS BOND ETF Exchange Traded Fund Financial
9424    STK 11/27/2009 15 COLUMBIA SELIGMAN PREMIUM TECHNOLOGY GROWTH FUND INC Investment Managers Finance
9425    STKH 3/12/2021 2.29 STEAKHOLDER FOODS LTD. AMERICAN DEPOSITARY SHARES Packaged Foods Consumer Staples
9426    STKL 5/19/1999 57 SUNOPTA INC. COMMON STOCK Farming/Seeds/Milling Industrials
9427    STKS 5/8/2015 6.94 THE ONE GROUP HOSPITALITY INC. COMMON STOCK Restaurants Consumer Discretionary
9428    STLA 6/9/2010 55 STELLANTIS N.V. COMMON SHARES Auto Manufacturing Consumer Discretionary
9429    STLD 1/2/1998 112 STEEL DYNAMICS INC. Steel/Iron Ore Industrials
9430    STM 1/2/1998 119 STMICROELECTRONICS N.V. COMMON STOCK Semiconductors Technology
9431    STN 7/31/2008 16 STANTEC INC COMMON STOCK Military/Government/Technical Consumer Discretionary
9432    STNC 3/16/2021 0.16 HENNESSY STANCE ESG ETF Exchange Traded Fund Financial
9433    STNE 10/25/2018 30 STONECO LTD. CLASS A COMMON SHARES EDP Services Technology
9434    STNG 3/31/2010 57 SCORPIO TANKERS INC. COMMON SHARES Marine Transportation Consumer Discretionary
9435    STOK 6/19/2019 11 STOKE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9436    STOT 4/14/2016 1.79 SPDR DOUBLELINE SHORT DURATION TOTAL RETURN TACTICAL ETF Exchange Traded Fund Financial
9437    STPZ 8/21/2009 16 PIMCO 1-5 YEAR U.S. TIPS INDEX EXCHANGE-TRADED FUND Exchange Traded Fund Financial
9438    STR 10/30/2017 19 SITIO ROYALTIES CORP. CLASS A COMMON STOCK Oil & Gas Production Energy
9439    STRA 1/2/1998 54 STRATEGIC EDUCATION INC. COMMON STOCK Other Consumer Services Real Estate
9440    STRK 2/6/2025 0.28 MICROSTRATEGY INCORPORATED 8.00% SERIES A PERPETUAL STRIKE PREFERRED STOCK Computer Software: Prepackaged Software Technology
9441    STRL 1/20/2006 36 STERLING INFRASTRUCTURE INC. COMMON STOCK Military/Government/Technical Industrials
9442    STRM 7/3/2006 7.37 STREAMLINE HEALTH SOLUTIONS INC. COMMON STOCK EDP Services Technology
9443    STRO 9/27/2018 14 SUTRO BIOPHARMA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9444    STRR 4/19/2007 13 STAR EQUITY HOLDINGS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9445    STRRP 9/13/2019 0.2 STAR EQUITY HOLDINGS INC. SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9446    STRS 2/4/2002 3.48 STRATUS PROPERTIES INC. COMMON STOCK Homebuilding Real Estate
9447    STRT 1/2/1998 5.46 STRATTEC SECURITY CORPORATION COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
9448    STRV 9/15/2022 2.24 EA SERIES TRUST STRIVE 500 ETF Exchange Traded Fund Financial
9449    STRW 2/22/2023 0.55 STRAWBERRY FIELDS REIT INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9450    STSB 4/16/2020 0.07 STANCE SUSTAINABLE BETA ETF Exchange Traded Fund Financial
9451    STSS 4/14/2022 4.18 SHARPS TECHNOLOGY INC. COMMON STOCK Medical/Dental Instruments Health Care
9452    STSSW 4/14/2022 0.23 SHARPS TECHNOLOGY INC. WARRANT Finance: Consumer Services Finance
9453    STT 1/2/1998 123 STATE STREET CORPORATION COMMON STOCK Major Banks Finance
9454    STT.G 4/13/2016 6.05 STATE STREET CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/4000TH OWNERSHIP INTEREST IN A SHARE OF FIXED-TO-FLOATING RATE NON-CUMULATIVE
9455    STTK 10/9/2020 6.84 SHATTUCK LABS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9456    STVN 7/16/2021 9.97 STEVANATO GROUP S.P.A. ORDINARY SHARES Medical/Dental Instruments Health Care
9457    STWD 8/12/2009 72 STARWOOD PROPERTY TRUST INC. STARWOOD PROPERTY TRUST INC. Real Estate Investment Trusts Real Estate
9458    STX 12/11/2002 109 SEAGATE TECHNOLOGY HOLDINGS PLC ORDINARY SHARES (IRELAND) Electronic Components Technology
9459    STXD 11/11/2022 0.27 EA SERIES TRUST STRIVE 1000 DIVIDEND GROWTH ETF Exchange Traded Fund Financial
9460    STXE 1/31/2023 0.49 EA SERIES TRUST STRIVE EMERGING MARKETS EX-CHINA ETF Exchange Traded Fund Financial
9461    STXG 11/11/2022 0.39 EA SERIES TRUST STRIVE 1000 GROWTH ETF Exchange Traded Fund Financial
9462    STXI 6/26/2024 0.05 EA SERIES TRUST STRIVE INTERNATIONAL DEVELOPED MARKETS ETF Exchange Traded Fund Financial
9463    STXK 11/11/2022 0.3 EA SERIES TRUST STRIVE SMALL-CAP ETF Exchange Traded Fund Financial
9464    STXM 4/11/2024 0.1 EA SERIES TRUST STRIVE MID-CAP ETF Exchange Traded Fund Financial
9465    STXS 8/12/2004 33 STEREOTAXIS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9466    STXT 8/10/2023 0.44 EA SERIES TRUST STRIVE TOTAL RETURN BOND ETF Exchange Traded Fund Financial
9467    STXV 11/11/2022 0.28 EA SERIES TRUST STRIVE 1000 VALUE ETF Exchange Traded Fund Financial
9468    STZ 9/20/2000 110 CONSTELLATION BRANDS INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
9469    SU 1/2/1998 112 SUNCOR ENERGY INC. COMMON STOCK Integrated oil Companies Energy
9470    SUAC 1/10/2022 0.06
9471    SUB 11/19/2008 23 ISHARES SHORT-TERM NATIONAL MUNI BOND ETF Exchange Traded Fund Financial
9472    SUGP 1/24/2024 0.77 SU GROUP HOLDINGS LIMITED ORDINARY SHARES Diversified Commercial Services Consumer Discretionary
9473    SUI 1/2/1998 70 SUN COMMUNITIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9474    SUN 9/20/2012 36 SUNOCO LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Integrated oil Companies Energy
9475    SUNE 1/2/1998 71 SUNATION ENERGY INC. COMMON STOCK Telecommunications Equipment Utilities
9476    SUNS 7/9/2024 0.69 SUNRISE REALTY TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9477    SUP 1/2/1998 55 SUPERIOR INDUSTRIES INTERNATIONAL INC. COMMON STOCK (DE) Auto Parts:O.E.M. Consumer Discretionary
9478    SUPL 8/2/2024 0.01 PROSHARES TRUST PROSHARES SUPPLY CHAIN LOGISTICS ETF Exchange Traded Fund Financial
9479    SUPN 5/1/2012 39 SUPERNUS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9480    SUPP 2/15/2023 0.05 TCW TRANSFORM SUPPLY CHAIN ETF Exchange Traded Fund Financial
9481    SUPV 5/19/2016 23 GRUPO SUPERVIELLE S.A. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FIVE CLASS B SHARES Commercial Banks Finance
9482    SURE 10/5/2011 2.04 ADVISORSHARES INSIDER ADVANTAGE ETF Exchange Traded Fund Financial
9483    SURG 11/2/2021 4.78 SURGEPAYS INC. COMMON STOCK Advertising Consumer Discretionary
9484    SURI 2/10/2023 0.05 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY PROPEL OPPORTUNITIES E Exchange Traded Fund Financial
9485    SUSA 7/13/2017 10 ISHARES MSCI USA ESG SELECT ETF Exchange Traded Fund Financial
9486    SUSB 7/18/2017 7.36 ISHARES ESG AWARE 1-5 YEAR USD CORPORATE BOND ETF Exchange Traded Fund Financial
9487    SUSC 7/20/2017 9.93 ISHARES ESG AWARE USD CORPORATE BOND ETF Exchange Traded Fund Financial
9488    SUSL 5/10/2019 2.79 ISHARES ESG MSCI USA LEADERS ETF Exchange Traded Fund Financial
9489    SUUN 4/8/2024 0.62 SOLARBANK CORPORATION COMMON STOCK Power Generation Utilities
9490    SUZ 12/10/2018 21 SUZANO S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE ORDINARY SHARE) Paper Basic Materials
9491    SVAL 10/29/2020 1.95 ISHARES US SMALL CAP VALUE FACTOR ETF Exchange Traded Fund Financial
9492    SVC 9/25/2019 23 SERVICE PROPERTIES TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
9493    SVCCU 1/30/2025 0.02
9494    SVCO 5/9/2024 1.81 SILVACO GROUP INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9495    SVII 10/28/2022 0.18 SPRING VALLEY ACQUISITION CORP. II CLASS A ORDINARY SHARES Blank Checks Finance
9496    SVIIR 10/28/2022 0.08 SPRING VALLEY ACQUISITION CORP. II RIGHTS
9497    SVIIU 10/13/2022 0.06
9498    SVIIW 10/28/2022 0.11 SPRING VALLEY ACQUISITION CORP. II WARRANT Blank Checks Finance
9499    SVIX 3/30/2022 13 VS TR -1X SHORT VIX FUTURES ETF Exchange Traded Fund Financial
9500    SVM 5/15/2017 28 SILVERCORP METALS INC. COMMON SHARES Precious Metals Basic Materials
9501    SVOL 5/13/2021 8.7 SIMPLIFY VOLATILITY PREMIUM ETF Exchange Traded Fund Financial
9502    SVRA 5/1/2007 39 SAVARA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9503    SVRE 6/3/2022 2.85 SAVERONE 2014 LTD. AMERICAN DEPOSITARY SHARES EDP Services Technology
9504    SVREW 6/3/2022 0.07 SAVERONE 2014 LTD. WARRANT EDP Services Technology
9505    SVT 12/31/2003 1.51 SERVOTRONICS INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
9506    SVV 6/29/2023 5.36 SAVERS VALUE VILLAGE INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
9507    SVVC 4/28/2011 6.07
9508    SVXY 10/4/2011 64 PROSHARES SHORT VIX SHORT TERM FUTURES ETF Exchange Traded Fund Financial
9509    SW 7/8/2024 3.32 SMURFIT WESTROCK PLC ORDINARY SHARES Containers/Packaging Consumer Discretionary
9510    SWAG 9/20/2021 0.83 STRAN & COMPANY INC. COMMON STOCK Advertising Consumer Discretionary
9511    SWAGW 9/21/2021 0.14 STRAN & COMPANY INC. WARRANT Advertising Consumer Discretionary
9512    SWAN 11/6/2018 4.82 AMPLIFY ETF TRUST AMPLIFY BLACKSWAN GROWTH & TREASURY CORE ETF Exchange Traded Fund Financial
9513    SWBI 5/1/2007 76 SMITH & WESSON BRANDS INC. COMMON STOCK Ordnance And Accessories Industrials
9514    SWI 10/19/2018 21 SOLARWINDS CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
9515    SWIM 8/11/1999 19 LATHAM GROUP INC. COMMON STOCK Plastic Products Industrials
9516    SWIN 1/12/2017 2.56 SOLOWIN HOLDINGS CLASS A ORDINARY SHARE Investment Bankers/Brokers/Service Finance
9517    SWK 1/2/1998 112 STANLEY BLACK & DECKER INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
9518    SWKH 2/4/2010 1.55 SWK HOLDINGS CORPORATION COMMON STOCK Diversified Financial Services Finance
9519    SWKHL 10/4/2023 0.11 SWK HOLDINGS CORPORATION 9.00% SENIOR NOTES DUE 2027
9520    SWKS 6/26/2002 112 SKYWORKS SOLUTIONS INC. COMMON STOCK Semiconductors Technology
9521    SWP 9/25/2024 0.05 SWP GROWTH & INCOME ETF Exchange Traded Fund Financial
9522    SWTX 5/16/2007 16 SPRINGWORKS THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9523    SWVL 4/1/2022 3.42 SWVL HOLDINGS CORP CLASS A COMMON SHARES Business Services Consumer Discretionary
9524    SWVLW 4/1/2022 0.62 SWVL HOLDINGS CORP WARRANT Business Services Consumer Discretionary
9525    SWX 1/2/1998 70 SOUTHWEST GAS HOLDINGS INC. COMMON STOCK (DE) Oil & Gas Production Utilities
9526    SWZ 1/2/1998 12 SWISS HELVETIA FUND INC. (THE) COMMON STOCK Finance Companies Finance
9527    SXC 7/21/2011 52 SUNCOKE ENERGY INC. COMMON STOCK Steel/Iron Ore Industrials
9528    SXI 1/2/1998 27 STANDEX INTERNATIONAL CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
9529    SXQG 5/12/2021 0.12 ETC 6 MERIDIAN QUALITY GROWTH ETF Exchange Traded Fund Financial
9530    SXT 11/6/2000 69 SENSIENT TECHNOLOGIES CORPORATION COMMON STOCK Major Chemicals Industrials
9531    SXTC 1/4/2019 12 CHINA SXT PHARMACEUTICALS INC. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
9532    SXTP 7/12/2023 2.42 60 DEGREES PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9533    SXTPW 7/12/2023 0.07 60 DEGREES PHARMACEUTICALS INC. WARRANT Biotechnology: Pharmaceutical Preparations Health Care
9534    SY 5/2/2019 13 SO-YOUNG INTERNATIONAL INC. AMERICAN DEPOSITORY SHARES EDP Services Technology
9535    SYBT 7/27/2005 18 STOCK YARDS BANCORP INC. COMMON STOCK Major Banks Finance
9536    SYBX 10/1/2015 9.31 SYNLOGIC INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9537    SYF 7/31/2014 51 SYNCHRONY FINANCIAL COMMON STOCK Finance: Consumer Services Finance
9538    SYF.A 11/21/2019 5.19 SYNCHRONY FINANCIAL DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.625% FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A
9539    SYF.B 2/29/2024 0.93 SYNCHRONY FINANCIAL DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 8.250% FIXED RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B
9540    SYFI 6/10/2024 0.62 AB ACTIVE ETFS INC. AB SHORT DURATION HIGH YIELD ETF Exchange Traded Fund Financial
9541    SYK 1/2/1998 115 STRYKER CORPORATION COMMON STOCK Medical/Dental Instruments Health Care
9542    SYLD 5/14/2013 7.75 CAMBRIA SHAREHOLDER YIELD ETF Exchange Traded Fund Financial
9543    SYM 3/9/2021 11 SYMBOTIC INC. CLASS A COMMON STOCK Industrial Machinery/Components Industrials
9544    SYNA 1/29/2002 81 SYNAPTICS INCORPORATED COMMON STOCK $0.001 PAR VALUE Semiconductors Technology
9545    SYNB 9/30/2022 0.02 PUTNAM ETF TRUST PUTNAM BIOREVOLUTION ETF Exchange Traded Fund Financial
9546    SYNX 8/3/2009 0.23 SILYNXCOM LTD. ORDINARY SHARES Consumer Electronics/Appliances Consumer Staples
9547    SYPR 3/30/1998 13 SYPRIS SOLUTIONS INC. COMMON STOCK Industrial Machinery/Components Industrials
9548    SYRA 9/29/2023 1.58 SYRA HEALTH CORP. CLASS A COMMON STOCK Diversified Commercial Services Consumer Discretionary
9549    SYRE 4/7/2016 14 SPYRE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9550    SYRS 6/30/2016 17 SYROS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9551    SYT 3/31/2023 0.46 SYLA TECHNOLOGIES CO. LTD. AMERICAN DEPOSITARY SHARES Real Estate Finance
9552    SYTA 9/25/2020 11 SIYATA MOBILE INC. COMMON SHARES Telecommunications Equipment Telecommunications
9553    SYTAW 9/25/2020 0.62 SIYATA MOBILE INC. WARRANT Telecommunications Equipment Telecommunications
9554    SYY 1/2/1998 126 SYSCO CORPORATION COMMON STOCK Food Distributors Consumer Discretionary
9555    SZK 2/5/2007 2.8 PROSHARES ULTRASHORT CONSUMER STAPLES Exchange Traded Fund Financial
9556    SZNE 8/2/2018 0.87 PACER CFRA-STOVALL EQUAL WEIGHT SEASONAL ROTATION ETF Exchange Traded Fund Financial
9557    T 1/2/1998 155 AT&T INC. Telecommunications Equipment Telecommunications
9558    T.A 12/18/2019 6.71 AT&T INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.000% PERPETUAL PREFERRED STOCK SERIES A
9559    T.C 2/21/2020 8.22 AT&T INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 4.750% PERPETUAL PREFERRED STOCK SERIES C
9560    TAC 7/31/2001 38 TRANSALTA CORPORATION ORDINARY SHARES Electric Utilities: Central Utilities
9561    TACK 3/23/2022 1.19 CAPITOL SERIES TRUST FAIRLEAD TACTICAL SECTOR ETF Exchange Traded Fund Financial
9562    TACT 1/2/1998 13 TRANSACT TECHNOLOGIES INCORPORATED COMMON STOCK Computer peripheral equipment Technology
9563    TAFI 9/14/2022 1.56 AB ACTIVE ETFS INC. AB TAX-AWARE SHORT DURATION MUNICIPAL ETF Exchange Traded Fund Financial
9564    TAFL 12/13/2023 0.02 AB ACTIVE ETFS INC. AB TAX-AWARE LONG MUNICIPAL ETF Exchange Traded Fund Financial
9565    TAFM 7/10/2024 0.07 AB ACTIVE ETFS INC. AB TAX-AWARE INTERMEDIATE MUNICIPAL ETF Exchange Traded Fund Financial
9566    TAGG 9/29/2021 0.13 T. ROWE PRICE QM U.S. BOND ETF Exchange Traded Fund Financial
9567    TAGS 3/28/2012 0.91 TEUCRIUM AGRICULTURAL FUND ETV Exchange Traded Fund Financial
9568    TAIL 4/6/2017 6.59 CAMBRIA TAIL RISK ETF Exchange Traded Fund Financial
9569    TAIT 5/2/2006 3.18 TAITRON COMPONENTS INCORPORATED CLASS A COMMON STOCK Electronic Components Technology
9570    TAK 12/24/2018 27 TAKEDA PHARMACEUTICAL COMPANY LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1/2 OF A SHARE OF COMMON STOCK) Biotechnology: Pharmaceutical Preparations Health Care
9571    TAL 10/20/2010 60 TAL EDUCATION GROUP AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
9572    TALK 7/30/2020 13 TALKSPACE INC. COMMON STOCK Medical/Nursing Services Health Care
9573    TALKW 7/30/2020 1.48 TALKSPACE INC. WARRANT Medical/Nursing Services Health Care
9574    TALO 5/10/2018 24 TALOS ENERGY INC. COMMON STOCK Oil & Gas Production Energy
9575    TAN 4/15/2008 48 INVESCO SOLAR ETF Exchange Traded Fund Financial
9576    TANH 3/24/2015 17 TANTECH HOLDINGS LTD. COMMON SHARES Major Chemicals Industrials
9577    TAOP 5/16/2007 19 TAOPING INC. ORDINARY SHARES Computer Software: Prepackaged Software Technology
9578    TAP 2/9/2005 92 MOLSON COORS BEVERAGE COMPANY CLASS B COMMON STOCK Beverages (Production/Distribution) Consumer Staples
9579    TAP.A 3/20/2007 0.25
9580    TAPM 7/9/2009 0.96
9581    TARA 10/22/2014 7.92 PROTARA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9582    TARK 5/2/2022 6.17 TRADR 2X LONG INNOVATION ETF Exchange Traded Fund Financial
9583    TARS 10/16/2020 7.74 TARSUS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9584    TASK 6/11/2021 11 TASKUS INC. CLASS A COMMON STOCK EDP Services Technology
9585    TATT 1/8/2010 2.01 TAT TECHNOLOGIES LTD. ORDINARY SHARES Aerospace Industrials
9586    TAVI 12/20/2024 0.01 TAVIA ACQUISITION CORP. ORDINARY SHARES Blank Checks Finance
9587    TAVIR 12/20/2024 0.01
9588    TAVIU 12/4/2024 0.03 TAVIA ACQUISITION CORP. UNIT Blank Checks Finance
9589    TAX 7/2/2012 4.44
9590    TAXE 7/10/2024 0.02 INTERMEDIATE MUNICIPAL INCOME ETF Exchange Traded Fund Financial
9591    TAXF 9/12/2018 1.89 AMERICAN CENTURY DIVERSIFIED MUNICIPAL BOND ETF Exchange Traded Fund Financial
9592    TAXX 3/14/2024 0.08 BONDBLOXX ETF TRUST BONDBLOXX IR+M TAX-AWARE SHORT DURATION ET Exchange Traded Fund Financial
9593    TAYD 4/16/2004 3.53 TAYLOR DEVICES INC. COMMON STOCK Industrial Machinery/Components Industrials
9594    TBB 11/7/2017 8.97 AT&T INC. 5.350% GLOBAL NOTES DUE 2066 Telecommunications Equipment Telecommunications
9595    TBBB 2/9/2024 3.15 BBB FOODS INC. CLASS A COMMON SHARES Food Chains Consumer Staples
9596    TBBK 2/3/2004 38 THE BANCORP INC COMMON STOCK Major Banks Finance
9597    TBCH 10/5/2010 27 TURTLE BEACH CORPORATION COMMON STOCK Telecommunications Equipment Telecommunications
9598    TBF 8/20/2009 42 PROSHARES SHORT 20+ YEAR TREASURY Exchange Traded Fund Financial
9599    TBFC 1/16/2024 0.01 ETF SERIES SOLUTIONS THE BRINSMERE FUND CONSERVATIVE ETF Exchange Traded Fund Financial
9600    TBFG 1/16/2024 0.01 ETF SERIES SOLUTIONS THE BRINSMERE FUND GROWTH ETF Exchange Traded Fund Financial
9601    TBG 11/7/2023 0.31 EA SERIES TRUST TBG DIVIDEND FOCUS ETF Exchange Traded Fund Financial
9602    TBH 7/28/1998 21 BRAG HOUSE HOLDINGS INC. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
9603    TBI 12/18/2007 43 TRUEBLUE INC. COMMON STOCK Professional Services Consumer Discretionary
9604    TBIL 8/9/2022 8.22 US TREASURY 3 MONTH BILL ETF Exchange Traded Fund Financial
9605    TBIO 6/18/2021 4.56
9606    TBJL 8/18/2020 0.35 INNOVATOR 20 YEAR TREASURY BOND 9 BUFFER ETF - JULY Exchange Traded Fund Financial
9607    TBLA 6/30/2021 12 TABOOLA.COM LTD. ORDINARY SHARES Computer Software: Programming Data Processing Technology
9608    TBLAW 6/30/2021 0.28 TABOOLA.COM LTD. WARRANT Computer Software: Programming Data Processing Technology
9609    TBLD 7/28/2021 3.56 THORNBURG INCOME BUILDER OPPORTUNITIES TRUST COMMON STOCK Investment Managers Finance
9610    TBLL 7/3/2017 3.9 INVESCO SHORT TERM TREASURY ETF Exchange Traded Fund Financial
9611    TBLT 12/3/2018 21
9612    TBLU 2/15/2017 0.73 TORTOISE GLOBAL WATER ESG FUND Exchange Traded Fund Financial
9613    TBMC 5/15/2023 0.06 TRAILBLAZER MERGER CORPORATION I CLASS A COMMON STOCK Blank Checks Finance
9614    TBMCR 5/15/2023 0.06 TRAILBLAZER MERGER CORPORATION I RIGHTS Blank Checks Finance
9615    TBN 6/27/2024 0.31 TAMBORAN RESOURCES CORPORATION COMMON STOCK Oil & Gas Production Energy
9616    TBNK 7/13/2009 8.39 TERRITORIAL BANCORP INC. COMMON STOCK Savings Institutions Finance
9617    TBPH 5/16/2014 27 THERAVANCE BIOPHARMA INC. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
9618    TBRG 7/17/2018 7.98 TRUBRIDGE INC. COMMON STOCK EDP Services Technology
9619    TBT 5/22/2008 85 PROSHARES ULTRASHORT LEHMAN 20 YEAR TREASURY Exchange Traded Fund Financial
9620    TBUX 9/29/2021 0.75 T. ROWE PRICE ULTRA SHORT-TERM BOND ETF Exchange Traded Fund Financial
9621    TBX 4/5/2011 4.66 PROSHARES SHORT 7 10 YEAR TREASURY Exchange Traded Fund Financial
9622    TC 11/20/2018 3.15 TOKEN CAT LIMITED AMERICAN DEPOSITARY SHARES Business Services Consumer Discretionary
9623    TCAF 6/16/2023 4.92 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE CAPITA Exchange Traded Fund Financial
9624    TCBC 7/21/2021 0.28
9625    TCBI 8/14/2003 63 TEXAS CAPITAL BANCSHARES INC. COMMON STOCK Major Banks Finance
9626    TCBIO 3/26/2021 1.52 TEXAS CAPITAL BANCSHARES INC. DEPOSITARY SHARES 5.75% FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B Major Banks Finance
9627    TCBK 2/4/2002 24 TRICO BANCSHARES COMMON STOCK Major Banks Finance
9628    TCBP 2/11/2022 5.84 TC BIOPHARM (HOLDINGS) PLC AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9629    TCBPW 2/11/2022 0.28 TC BIOPHARM (HOLDINGS) PLC WARRANTS Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9630    TCBS 7/16/2021 0.25 TEXAS COMMUNITY BANCSHARES INC. COMMON STOCK Banks Finance
9631    TCBX 11/9/2021 1.99 THIRD COAST BANCSHARES INC. COMMON STOCK Banks Finance
9632    TCCO 10/1/2002 3.39
9633    TCHI 2/1/2022 0.24 ISHARES MSCI CHINA MULTISECTOR TECH ETF Exchange Traded Fund Financial
9634    TCHP 8/5/2020 4.04 T. ROWE PRICE BLUE CHIP GROWTH ETF Exchange Traded Fund Financial
9635    TCI 1/2/1998 1.95 TRANSCONTINENTAL REALTY INVESTORS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9636    TCMD 7/28/2016 18 TACTILE SYSTEMS TECHNOLOGY INC. COMMON STOCK Medical/Dental Instruments Health Care
9637    TCOM 4/26/2007 80 TRIP.COM GROUP LIMITED AMERICAN DEPOSITARY SHARES Business Services Consumer Discretionary
9638    TCPC 4/4/2012 31 BLACKROCK TCP CAPITAL CORP. COMMON STOCK Finance/Investors Services Finance
9639    TCRT 5/16/2007 51 ALAUNOS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9640    TCRX 1/16/2018 3.98 TSCAN THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9641    TCTM 4/3/2014 16 TCTM KIDS IT EDUCATION INC. AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
9642    TCX 8/16/2005 14 TUCOWS INC. CLASS A COMMON STOCK EDP Services Technology
9643    TD 1/2/1998 96 TORONTO DOMINION BANK (THE) COMMON STOCK Commercial Banks Finance
9644    TDAC 6/13/2018 2.22 TRANSLATIONAL DEVELOPMENT ACQUISITION CORP. ORDINARY SHARES
9645    TDACU 5/30/2018 0.07 TRANSLATIONAL DEVELOPMENT ACQUISITION CORP. UNITS
9646    TDACW 6/13/2018 1.85 TRANSLATIONAL DEVELOPMENT ACQUISITION CORP. WARRANTS
9647    TDC 10/1/2007 73 TERADATA CORPORATION COMMON STOCK Computer Software: Prepackaged Software Technology
9648    TDF 1/2/1998 29 TEMPLETON DRAGON FUND INC. COMMON STOCK Finance/Investors Services Finance
9649    TDG 3/15/2006 63 TRANSDIGM GROUP INCORPORATED COMMON STOCK Military/Government/Technical Industrials
9650    TDI 4/12/2005 2.24 TOUCHSTONE DYNAMIC INTERNATIONAL ETF Exchange Traded Fund Financial
9651    TDIV 8/14/2012 17 FIRST TRUST NASDAQ TECHNOLOGY DIVIDEND INDEX FUND Exchange Traded Fund Financial
9652    TDOC 7/1/2015 44 TELADOC HEALTH INC. COMMON STOCK Medical/Nursing Services Health Care
9653    TDS 1/2/1998 100 TELEPHONE AND DATA SYSTEMS INC. COMMON SHARES Telecommunications Equipment Telecommunications
9654    TDS.U 3/8/2021 2.47 TELEPHONE AND DATA SYSTEMS INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 6.625% SERIES UU CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
9655    TDS.V 8/19/2021 3.32 TELEPHONE AND DATA SYSTEMS INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A 6.000% SERIES VV CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK
9656    TDSB 9/17/2020 1.03 CABANA TARGET BETA ETF Exchange Traded Fund Financial
9657    TDSC 9/17/2020 1.7 CABANA TARGET DRAWDOWN 10 ETF Exchange Traded Fund Financial
9658    TDTF 9/22/2011 8.31 FLEXSHARES IBOXX 5 YEAR TARGET DURATION TIPS INDEX FUND Exchange Traded Fund Financial
9659    TDTH 9/10/2024 0.38 TRIDENT DIGITAL TECH HOLDINGS LTD AMERICAN DEPOSITORY SHARES Business Services Consumer Discretionary
9660    TDTT 9/23/2011 12 FLEXSHARES IBOXX 3 YEAR TARGET DURATION TIPS INDEX FUND Exchange Traded Fund Financial
9661    TDUP 3/26/2021 12 THREDUP INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
9662    TDV 11/7/2019 1.5 PROSHARES S&P TECHNOLOGY DIVIDEND ARISTOCRATS ETF Exchange Traded Fund Financial
9663    TDVG 8/5/2020 2.09 T. ROWE PRICE DIVIDEND GROWTH ETF Exchange Traded Fund Financial
9664    TDVI 8/10/2023 0.22 FT VEST TECHNOLOGY DIVIDEND TARGET INCOME ETF Exchange Traded Fund Financial
9665    TDW 1/2/1998 101 TIDEWATER INC. COMMON STOCK Marine Transportation Consumer Discretionary
9666    TDY 11/30/1999 60 TELEDYNE TECHNOLOGIES INCORPORATED COMMON STOCK Industrial Machinery/Components Industrials
9667    TE 1/2/1998 88 T1 ENERGY INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
9668    TEAF 3/27/2019 4.06 TORTOISE SUSTAINABLE AND SOCIAL IMPACT TERM FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
9669    TEAM 5/16/2007 42 ATLASSIAN CORPORATION CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9670    TECB 1/13/2020 2.07 ISHARES U.S. TECH BREAKTHROUGH MULTISECTOR ETF Exchange Traded Fund Financial
9671    TECH 1/2/1998 73 BIO-TECHNE CORP COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9672    TECK 12/5/2016 41 TECK RESOURCES LTD ORDINARY SHARES Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
9673    TECL 12/30/2008 58 DIREXION TECHNOLOGY BULL 3X SHARES Exchange Traded Fund Financial
9674    TECS 12/30/2008 53 DIREXION TECHNOLOGY BEAR 3X SHARES Exchange Traded Fund Financial
9675    TECTP 5/30/2019 0.19 TECTONIC FINANCIAL INC. 9.00% FIXED-TO-FLOATING RATE SERIES B NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
9676    TECX 6/21/2024 0.87 TECTONIC THERAPEUTIC INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9677    TEF 1/2/1998 94 TELEFONICA SA COMMON STOCK Telecommunications Equipment Telecommunications
9678    TEI 1/2/1998 39 TEMPLETON EMERGING MARKETS INCOME FUND INC. COMMON STOCK Finance Companies Finance
9679    TEK 1/2/1998 28 BLACKROCK ETF TRUST ISHARES TECHNOLOGY OPPORTUNITIES ACTIVE ET Exchange Traded Fund Financial
9680    TEKX 9/10/2024 0.02 SPDR GALAXY TRANSFORMATIVE TECH ACCELERATORS ETF Exchange Traded Fund Financial
9681    TEL 7/2/2007 84 TE CONNECTIVITY PLC ORDINARY SHARES Electronic Components Technology
9682    TELA 11/8/2019 4.21 TELA BIO INC. COMMON STOCK Medical/Dental Instruments Health Care
9683    TELO 2/9/2024 0.98 TELOMIR PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9684    TEM 6/14/2024 4.04 TEMPUS AI INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
9685    TEMP 12/14/2021 0.05 J.P. MORGAN EXCHANGE-TRADED FUND TRUST JPMORGAN CLIMATE CHANGE Exchange Traded Fund Financial
9686    TEN 3/5/2002 88 TSAKOS ENERGY NAVIGATION LTD COMMON SHARES Marine Transportation Consumer Discretionary
9687    TEN.E 4/10/2017 2.28 TSAKOS ENERGY NAVIGATION LTD SERIES E FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES PAR VALUE $1.00
9688    TEN.F 7/3/2018 2.56 TSAKOS ENERGY NAVIGATION LTD SERIES F FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES PAR VALUE $1.00
9689    TENB 7/26/2018 24 TENABLE HOLDINGS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9690    TENX 11/9/2009 17 TENAX THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9691    TEO 1/2/1998 54 TELECOM ARGENTINA SA Telecommunications Equipment Telecommunications
9692    TEQI 8/5/2020 0.91 T. ROWE PRICE EQUITY INCOME ETF Exchange Traded Fund Financial
9693    TER 1/2/1998 129 TERADYNE INC. COMMON STOCK Electrical Products Industrials
9694    TERN 2/5/2021 8.67 TERNS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9695    TESL 12/29/2020 0.65 SIMPLIFY VOLT TSLA REVOLUTION ETF Exchange Traded Fund Financial
9696    TEVA 8/23/1999 118 TEVA PHARMACEUTICAL INDUSTRIES LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
9697    TEX 1/2/1998 104 TEREX CORPORATION COMMON STOCK Construction/Ag Equipment/Trucks Industrials
9698    TFC 1/2/2004 68 TRUIST FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
9699    TFC.I 12/10/2019 1.2 TRUIST FINANCIAL CORPORATION DEPOSITARY SHARES
9700    TFC.O 6/1/2020 3.92 TRUIST FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF SERIES O NON-CUMULATIVE PERPETUAL PREFERRED STOCK
9701    TFC.R 8/7/2020 5.54 TRUIST FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF SERIES R NON-CUMULATIVE PERPETUAL PREFERRED STOCK
9702    TFI 9/13/2007 39 SPDR NUVEEN BLOOMBERG MUNICIPAL BOND ETF Exchange Traded Fund Financial
9703    TFII 2/13/2020 15 TFI INTERNATIONAL INC. COMMON SHARES Trucking Freight/Courier Services Industrials
9704    TFIN 11/7/2014 16 TRIUMPH FINANCIAL INC. COMMON STOCK Major Banks Finance
9705    TFINP 6/24/2020 0.34 TRIUMPH FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 7.125% SERIES C FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK Major Banks Finance
9706    TFJL 8/18/2020 0.35 INNOVATOR 20 YEAR TREASURY BOND 5 FLOOR ETF - JULY Exchange Traded Fund Financial
9707    TFLO 2/4/2014 13 ISHARES TREASURY FLOATING RATE BOND ETF Exchange Traded Fund Financial
9708    TFLR 11/18/2022 0.54 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE FLOATI Exchange Traded Fund Financial
9709    TFPM 8/30/2022 5.21 TRIPLE FLAG PRECIOUS METALS CORP. COMMON SHARES Precious Metals Industrials
9710    TFPN 7/12/2023 0.42 BLUEPRINT CHESAPEAKE MULTI-ASSET TREND ETF Exchange Traded Fund Financial
9711    TFSA 2/11/2021 0.16 TERRA INCOME FUND 6 LLC 7.00% NOTES DUE 2026
9712    TFSL 4/23/2007 53 TFS FINANCIAL CORPORATION COMMON STOCK Savings Institutions Finance
9713    TFX 1/2/1998 74 TELEFLEX INCORPORATED COMMON STOCK Medical/Dental Instruments Health Care
9714    TG 1/2/1998 44 TREDEGAR CORPORATION COMMON STOCK Metal Fabrications Industrials
9715    TGB 10/4/2004 50 TASEKO MINES LTD. COMMON STOCK Precious Metals Basic Materials
9716    TGEN 5/9/2007 3.68
9717    TGI 1/2/1998 73 TRIUMPH GROUP INC. COMMON STOCK Aerospace Industrials
9718    TGL 8/11/2022 4.36 TREASURE GLOBAL INC. COMMON STOCK Business Services Consumer Discretionary
9719    TGLR 8/8/2023 0.11 ETF OPPORTUNITIES TRUST LAFFER TENGLER EQUITY INCOME ETF Exchange Traded Fund Financial
9720    TGLS 7/15/2013 15 TECNOGLASS INC. ORDINARY SHARES Electronic Components Consumer Discretionary
9721    TGNA 1/2/1998 126 TEGNA INC Broadcasting Industrials
9722    TGRT 6/16/2023 0.35 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE GROWTH Exchange Traded Fund Financial
9723    TGRW 8/5/2020 0.52 T. ROWE PRICE GROWTH STOCK ETF Exchange Traded Fund Financial
9724    TGS 1/2/1998 25 TRANSPORTADORA DE GAS DEL SUR SA TGS COMMON STOCK Natural Gas Distribution Utilities
9725    TGT 1/31/2000 126 TARGET CORPORATION COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
9726    TGTX 5/3/2010 45 TG THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9727    TH 3/8/2018 14 TARGET HOSPITALITY CORP. COMMON STOCK Hotels/Resorts Consumer Discretionary
9728    THAR 1/12/2022 3.99 THARIMMUNE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9729    THC 1/2/1998 111 TENET HEALTHCARE CORPORATION COMMON STOCK Hospital/Nursing Management Health Care
9730    THCH 9/29/2022 2.47 TH INTERNATIONAL LIMITED ORDINARY SHARES Restaurants Consumer Discretionary
9731    THD 4/1/2008 33 ISHARES INC ISHARES MSCI THAILAND ETF Exchange Traded Fund Financial
9732    THER 6/15/2011 1.96
9733    THFF 1/2/1998 16 FIRST FINANCIAL CORPORATION INDIANA COMMON STOCK Major Banks Finance
9734    THG 5/15/2006 55 HANOVER INSURANCE GROUP INC Property-Casualty Insurers Finance
9735    THLV 9/13/2022 0.4 THOR EQUAL WEIGHT LOW VOLATILITY ETF Exchange Traded Fund Financial
9736    THM 8/3/2007 18 INTERNATIONAL TOWER HILL MINES LTD. ORDINARY SHARES (CANADA) Metal Mining Basic Materials
9737    THMO 5/4/2007 16
9738    THNQ 5/11/2020 1.3 ROBO GLOBAL ARTIFICIAL INTELLIGENCE ETF Exchange Traded Fund Financial
9739    THNR 5/21/2024 0.06 AMPLIFY ETF TRUST AMPLIFY WEIGHT LOSS DRUG & TREATMENT ETF Exchange Traded Fund Financial
9740    THO 1/2/1998 90 THOR INDUSTRIES INC. COMMON STOCK Homebuilding Industrials
9741    THQ 7/29/2014 18 ABRDN HEALTHCARE OPPORTUNITIES FUND SHARES OF BENEFICIAL INTEREST Finance Companies Finance
9742    THR 5/5/2011 25 THERMON GROUP HOLDINGS INC. COMMON STOCK Industrial Machinery/Components Energy
9743    THRD 7/5/2006 3.23 THIRD HARMONIC BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9744    THRM 6/21/2000 45 GENTHERM INC COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
9745    THRO 12/16/2021 0.16 ISHARES U.S. THEMATIC ROTATION ACTIVE ETF Exchange Traded Fund Financial
9746    THRY 9/23/2016 8.02 THRYV HOLDINGS INC. COMMON STOCK Advertising Consumer Discretionary
9747    THS 6/28/2005 60 TREEHOUSE FOODS INC. COMMON STOCK Packaged Foods Consumer Staples
9748    THTA 11/15/2023 0.58 TIDAL ETF TRUST SOFI ENHANCED YIELD ETF Exchange Traded Fund Financial
9749    THTX 2/5/2013 5.67 THERATECHNOLOGIES INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
9750    THW 6/26/2015 15 ABRDN WORLD HEALTHCARE FUND SHARES OF BENEFICIAL INTEREST Finance Companies Finance
9751    THY 6/25/2020 0.43 TOEWS AGILITY SHARES DYNAMIC TACTICAL INCOME ETF Exchange Traded Fund Financial
9752    THYF 10/26/2022 0.18 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE U.S. H Exchange Traded Fund Financial
9753    TIC 2/18/2025 0.04 ACUREN CORPORATION COMMON STOCK
9754    TIGO 1/9/2019 7.74 MILLICOM INTERNATIONAL CELLULAR S.A. COMMON STOCK Telecommunications Equipment Telecommunications
9755    TIGR 3/20/2019 25 UP FINTECH HOLDING LTD AMERICAN DEPOSITARY SHARE REPRESENTING FIFTEEN CLASS A ORDINARY SHARES Investment Bankers/Brokers/Service Finance
9756    TIL 3/19/2021 7.65 INSTIL BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9757    TILE 1/2/1998 75 INTERFACE INC. COMMON STOCK Home Furnishings Consumer Discretionary
9758    TILL 5/17/2022 0.21 LISTED FUNDS TRUST TEUCRIUM AGRICULTURAL STRATEGY NO K-1 ETF Exchange Traded Fund Financial
9759    TILT 9/22/2011 2.86 FLEXSHARES MORNIGSTAR US MARKET FACTORS TILT INDEX FUND ETF Exchange Traded Fund Financial
9760    TIMB 5/3/2007 76 TIM S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 5 COMMON SHARES) Telecommunications Equipment Telecommunications
9761    TIME 1/28/2022 0.29 TIDAL TRUST II CLOCKWISE CORE EQUITY & INNOVATION ETF Exchange Traded Fund Financial
9762    TINT 5/2/2023 0.01 PROSHARES SMART MATERIALS ETF Exchange Traded Fund Financial
9763    TINY 10/27/2021 0.12 PROSHARES NANOTECHNOLOGY ETF Exchange Traded Fund Financial
9764    TIP 12/5/2003 86 ISHARES TIPS BOND ETF Exchange Traded Fund Financial
9765    TIPT 10/15/2010 8.7 TIPTREE INC. COMMON STOCK Property-Casualty Insurers Finance
9766    TIPX 5/30/2013 8.53 SPDR BLOOMBERG 1-10 YEAR TIPS ETF Exchange Traded Fund Financial
9767    TIPZ 9/9/2009 3.06 PIMCO BROAD U.S. TIPS INDEX EXCHANGE-TRADED FUND Exchange Traded Fund Financial
9768    TIRX 1/28/2021 4.4 TIAN RUIXIANG HOLDINGS LTD CLASS A ORDINARY SHARES Specialty Insurers Finance
9769    TISI 12/28/2006 36 TEAM INC. COMMON STOCK Other Consumer Services Consumer Discretionary
9770    TITN 12/13/2007 41 TITAN MACHINERY INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
9771    TIVC 11/11/2021 6 TIVIC HEALTH SYSTEMS INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9772    TIXT 2/3/2021 8.21 TELUS INTERNATIONAL (CDA) INC. SUBORDINATE VOTING SHARES EDP Services Technology
9773    TJUL 7/18/2023 0.57 INNOVATOR ETFS TRUST INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
9774    TJX 1/2/1998 126 TJX COMPANIES INC. (THE) COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
9775    TK 1/2/1998 80 TEEKAY CORPORATION LTD. COMMON STOCK Marine Transportation Consumer Discretionary
9776    TKC 7/11/2000 66 TURKCELL ILETISIM HIZMETLERI AS COMMON STOCK Telecommunications Equipment Telecommunications
9777    TKLF 1/18/2022 3.69 TOKYO LIFESTYLE CO. LTD. AMERICAN DEPOSITARY SHARES Other Specialty Stores Consumer Discretionary
9778    TKNO 6/25/2021 3.35 ALPHA TEKNOVA INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
9779    TKO 5/9/2007 8.45 TKO GROUP HOLDINGS INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
9780    TKR 1/2/1998 100 TIMKEN COMPANY (THE) COMMON STOCK Metal Fabrications Industrials
9781    TLF 9/7/2022 0.33 TANDY LEATHER FACTORY INC. COMMON STOCK Apparel Consumer Discretionary
9782    TLH 1/11/2007 23 ISHARES 10-20 YEAR TREASURY BOND ETF Exchange Traded Fund Financial
9783    TLIS 2/12/2021 3.43
9784    TLK 1/2/1998 67 PT TELEKOMUNIKASI INDONESIA TBK Telecommunications Equipment Telecommunications
9785    TLN 6/2/2015 8.9 TALEN ENERGY CORPORATION COMMON STOCK Electric Utilities: Central Utilities
9786    TLPH 2/11/2011 32 TALPHERA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9787    TLRY 7/19/2018 42 TILRAY BRANDS INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
9788    TLS 11/19/2020 13 TELOS CORPORATION COMMON STOCK EDP Services Technology
9789    TLSA 11/20/2018 6.32 TIZIANA LIFE SCIENCES LTD. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
9790    TLSI 2/8/2021 1.13 TRISALUS LIFE SCIENCES INC. COMMON STOCK Medical Specialities Health Care
9791    TLSIW 2/8/2021 0.34 TRISALUS LIFE SCIENCES INC. WARRANT Medical Specialities Health Care
9792    TLT 7/30/2002 117 ISHARES 20+ YEAR TREASURY BOND ETF Exchange Traded Fund Financial
9793    TLTD 10/3/2012 3.9 FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT IND Exchange Traded Fund Financial
9794    TLTE 10/2/2012 3.35 FLEXSHARES MORNINGSTAR EMERGING MARKETS FACTOR TILT INDEX FUND Exchange Traded Fund Financial
9795    TLTW 8/23/2022 7.76 ISHARES TRUST ISHARES 20+ YEAR TREASURY BOND BUYWRITE STRATEGY Exchange Traded Fund Financial
9796    TLX 5/16/2007 0.31 TELIX PHARMACEUTICALS LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
9797    TLYS 5/4/2012 26 TILLY'S INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
9798    TM 9/29/1999 74 TOYOTA MOTOR CORPORATION COMMON STOCK Auto Manufacturing Consumer Discretionary
9799    TMAT 1/29/2021 0.97 MAIN THEMATIC INNOVATION ETF Exchange Traded Fund Financial
9800    TMC 9/10/2021 14 TMC THE METALS COMPANY INC. COMMON STOCK Metal Mining Basic Materials
9801    TMCI 4/23/2021 9.81 TREACE MEDICAL CONCEPTS INC. COMMON STOCK Medical/Dental Instruments Health Care
9802    TMCWW 9/10/2021 1.07 TMC THE METALS COMPANY INC. WARRANTS Metal Mining Basic Materials
9803    TMDV 11/7/2019 0.19 PROSHARES RUSSELL US DIVIDEND GROWERS ETF Exchange Traded Fund Financial
9804    TMDX 5/2/2019 16 TRANSMEDICS GROUP INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
9805    TME 12/12/2018 33 TENCENT MUSIC ENTERTAINMENT GROUP AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO CLASS A ORDINARY SHARES Broadcasting Consumer Discretionary
9806    TMET 9/28/2023 0.02 ISHARES TRANSITION-ENABLING METALS ETF Exchange Traded Fund Financial
9807    TMF 4/16/2009 59 DIREXION DAILY 20-YR TREASURY BULL 3X SHRS Exchange Traded Fund Financial
9808    TMFC 1/30/2018 6.39 MOTLEY FOOL 100 INDEX ETF ETF Exchange Traded Fund Financial
9809    TMFE 12/31/2021 0.68 THE RBB FUND INC. MOTLEY FOOL CAPITAL EFFICIENCY 100 INDEX ET Exchange Traded Fund Financial
9810    TMFG 12/13/2021 1.02 MOTLEY FOOL GLOBAL OPPORTUNITIES ETF Exchange Traded Fund Financial
9811    TMFM 12/13/2021 0.44 MOTLEY FOOL MID-CAP GROWTH ETF Exchange Traded Fund Financial
9812    TMFS 12/31/2021 0.6 MOTLEY FOOL SMALL-CAP GROWTH ETF Exchange Traded Fund Financial
9813    TMFX 12/31/2021 0.69 THE RBB FUND INC. MOTLEY FOOL NEXT INDEX ETF Exchange Traded Fund Financial
9814    TMHC 4/10/2013 45 TAYLOR MORRISON HOME CORPORATION COMMON STOCK Homebuilding Consumer Discretionary
9815    TMO 1/2/1998 118 THERMO FISHER SCIENTIFIC INC COMMON STOCK Industrial Machinery/Components Industrials
9816    TMP 1/2/1998 16 TOMPKINS FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
9817    TMQ 5/1/2012 13 TRILOGY METALS INC. COMMON STOCK Precious Metals Basic Materials
9818    TMSL 6/16/2023 0.82 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE SMALL- Exchange Traded Fund Financial
9819    TMUS 4/19/2007 89 T-MOBILE US INC. COMMON STOCK Telecommunications Equipment Telecommunications
9820    TMV 4/16/2009 60 DIREXION DAILY 20-YEAR TREASURY BEAR 3X Exchange Traded Fund Financial
9821    TNA 11/19/2008 113 DIREXION SMALL CAP BULL 3X SHARES Exchange Traded Fund Financial
9822    TNC 10/30/2000 36 TENNANT COMPANY COMMON STOCK Industrial Machinery/Components Industrials
9823    TNDM 11/14/2013 38 TANDEM DIABETES CARE INC. COMMON STOCK Medical/Dental Instruments Health Care
9824    TNET 3/27/2014 33 TRINET GROUP INC. COMMON STOCK Business Services Consumer Discretionary
9825    TNFA 1/23/2014 16 TNF PHARMACEUTICALS INC. COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
9826    TNGX 9/3/2020 8.42 TANGO THERAPEUTICS INC. Biotechnology: Pharmaceutical Preparations Health Care
9827    TNK 12/13/2007 61 TEEKAY TANKERS LTD. Marine Transportation Consumer Discretionary
9828    TNL 5/21/2018 27 TRAVEL LEISURE CO. COMMON STOCK Hotels/Resorts Consumer Discretionary
9829    TNMG 12/6/2024 0.12 TNL MEDIAGENE ORDINARY SHARES
9830    TNON 4/27/2022 3.46 TENON MEDICAL INC. COMMON STOCK Medical/Dental Instruments Health Care
9831    TNONW 6/15/2023 0.1 TENON MEDICAL INC. WARRANT Medical/Dental Instruments Health Care
9832    TNXP 5/16/2012 45 TONIX PHARMACEUTICALS HOLDING CORP. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9833    TNYA 7/30/2021 8.4 TENAYA THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9834    TOAK 8/20/2024 0.03 MANAGER DIRECTED PORTFOLIOS TWIN OAK SHORT HORIZON ABSOLUTE RE Exchange Traded Fund Financial
9835    TOGA 5/3/2024 0.08 MANAGED PORTFOLIO SERIES TREMBLANT GLOBAL ETF Exchange Traded Fund Financial
9836    TOI 6/4/2020 4.52 THE ONCOLOGY INSTITUTE INC. COMMON STOCK Medical/Nursing Services Health Care
9837    TOIIW 6/4/2020 0.4 THE ONCOLOGY INSTITUTE INC. WARRANT Medical/Nursing Services Health Care
9838    TOK 12/12/2007 2.77 ISHARES MSCI KOKUSAI ETF Exchange Traded Fund Financial
9839    TOKE 7/25/2019 1.5 CAMBRIA CANNABIS ETF Exchange Traded Fund Financial
9840    TOL 1/2/1998 117 TOLL BROTHERS INC. COMMON STOCK Homebuilding Consumer Discretionary
9841    TOLL 5/11/2023 0.17 TEMA ETF TRUST TEMA MONOPOLIES AND OLIGOPOLIES ETF Exchange Traded Fund Financial
9842    TOLZ 3/27/2014 2.57 PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF Exchange Traded Fund Financial
9843    TOMZ 10/1/2020 3.11 TOMI ENVIRONMENTAL SOLUTIONS INC. COMMON STOCK Major Chemicals Industrials
9844    TOON 9/1/2009 22 KARTOON STUDIOS INC. COMMON STOCK Movies/Entertainment Consumer Discretionary
9845    TOP 6/1/2022 4.89 TOP FINANCIAL GROUP LIMITED CLASS A ORDINARY SHARES Investment Bankers/Brokers/Service Finance
9846    TOPP 1/22/2025 0.1 TOPPOINT HOLDINGS INC. COMMON STOCK Trucking Freight/Courier Services Industrials
9847    TOPS 1/3/2008 36 TOP SHIPS INC. COMMON STOCK Marine Transportation Consumer Discretionary
9848    TOPT 10/24/2024 1.02 ISHARES TRUST ISHARES TOP 20 U.S. STOCKS ETF Exchange Traded Fund Financial
9849    TORO 3/3/2023 1.79 TORO CORP. COMMON STOCK Marine Transportation Consumer Discretionary
9850    TOST 9/22/2021 17 TOAST INC. CLASS A COMMON STOCK EDP Services Technology
9851    TOTL 2/24/2015 25 SPDR DOUBLELINE TOTAL RETURN TACTICAL ETF Exchange Traded Fund Financial
9852    TOTR 9/29/2021 0.19 T. ROWE PRICE TOTAL RETURN ETF Exchange Traded Fund Financial
9853    TOUR 5/9/2014 20 TUNIU CORPORATION AMERICAN DEPOSITARY SHARES Transportation Services Consumer Discretionary
9854    TOUS 6/16/2023 0.17 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE INTERN Exchange Traded Fund Financial
9855    TOVX 10/16/2008 32 THERIVA BIOLOGICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9856    TOWN 5/5/1999 28 TOWNEBANK COMMON STOCK Major Banks Finance
9857    TOYO 7/2/2024 0.65 TOYO CO. LTD ORDINARY SHARES Miscellaneous manufacturing industries Consumer Discretionary
9858    TPB 5/11/2016 14 TURNING POINT BRANDS INC. COMMON STOCK Tobacco Consumer Discretionary
9859    TPC 6/1/2009 45 TUTOR PERINI CORPORATION COMMON STOCK General Bldg Contractors - Nonresidential Bldgs Consumer Discretionary
9860    TPCS 11/1/2007 3.2 TECHPRECISION CORPORATION COMMON STOCK Metal Fabrications Industrials
9861    TPET 4/18/2023 5.51 TRIO PETROLEUM CORP. COMMON STOCK Oil & Gas Production Energy
9862    TPG 1/13/2022 12 TPG INC. CLASS A COMMON STOCK Investment Managers Finance
9863    TPGXL 3/5/2024 0.44 TPG OPERATING GROUP II L.P. 6.950% FIXED-RATE JUNIOR SUBORDINATED NOTES DUE 2064
9864    TPH 1/31/2013 48 TRI POINTE HOMES INC. COMMON STOCK Homebuilding Consumer Discretionary
9865    TPHD 5/1/2019 2.01 TIMOTHY PLAN HIGH DIVIDEND STOCK ETF Exchange Traded Fund Financial
9866    TPHE 7/30/2021 0.44 TIMOTHY PLAN HIGH DIVIDEND STOCK ENHANCED ETF Exchange Traded Fund Financial
9867    TPHS 9/26/2012 4.5
9868    TPIC 7/22/2016 28 TPI COMPOSITES INC. COMMON STOCK Industrial Machinery/Components Industrials
9869    TPIF 12/3/2019 0.94 TIMOTHY PLAN INTERNATIONAL ETF Exchange Traded Fund Financial
9870    TPL 1/2/1998 11 TEXAS PACIFIC LAND CORPORATION COMMON STOCK Oil & Gas Production Energy
9871    TPLC 5/1/2019 1.64 TIMOTHY PLAN US LARGE/MID CAP CORE ETF Exchange Traded Fund Financial
9872    TPLE 7/30/2021 0.32 TIMOTHY PLAN US LARGE/MID CAP CORE ENHANCED ETF Exchange Traded Fund Financial
9873    TPMN 1/25/2023 0.18 THE TIMOTHY PLAN TIMOTHY PLAN MARKET NEUTRAL ETF Exchange Traded Fund Financial
9874    TPOR 5/3/2017 5.47 DIREXION DAILY TRANSPORTATION BULL 3X SHARES Exchange Traded Fund Financial
9875    TPR 4/27/2007 87 TAPESTRY INC. COMMON STOCK Apparel Consumer Discretionary
9876    TPSC 12/3/2019 0.89 TIMOTHY PLAN US SMALL CAP CORE ETF Exchange Traded Fund Financial
9877    TPST 11/12/2012 23 TEMPEST THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9878    TPTA 6/16/2021 0.26 TERRA PROPERTY TRUST INC. 6.00% NOTES DUE 2026 Real Estate Investment Trusts Real Estate
9879    TPVG 3/6/2014 20 TRIPLEPOINT VENTURE GROWTH BDC CORP. COMMON STOCK Other Consumer Services Consumer Discretionary
9880    TPX 3/13/2007 84
9881    TPYP 6/30/2015 5.97 TORTOISE NORTH AMERICAN PIPELINE ETF Exchange Traded Fund Financial
9882    TPZ 7/29/2009 8.05
9883    TQQQ 2/11/2010 115 PROSHARES ULTRAPRO QQQ Exchange Traded Fund Financial
9884    TR 1/2/1998 52 TOOTSIE ROLL INDUSTRIES INC. COMMON STOCK Specialty Foods Consumer Staples
9885    TRAK 12/13/2005 39 REPOSITRAK INC. COMMON STOCK EDP Services Technology
9886    TRAW 7/25/2013 24 TRAWS PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9887    TRC 7/28/1999 25 TEJON RANCH CO COMMON STOCK Real Estate Finance
9888    TRDA 10/29/2021 3.55 ENTRADA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9889    TREE 8/21/2008 32 LENDINGTREE INC. COMMON STOCK Finance: Consumer Services Finance
9890    TREX 11/23/2009 48 TREX COMPANY INC. COMMON STOCK Forest Products Basic Materials
9891    TRFK 7/20/2022 0.36 PACER FUNDS PACER DATA AND DIGITAL REVOLUTION ETF Exchange Traded Fund Financial
9892    TRFM 7/12/2022 0.15 ETF SERIES SOLUTIONS AAM TRANSFORMERS ETF Exchange Traded Fund Financial
9893    TRGP 12/7/2010 61 TARGA RESOURCES INC. COMMON STOCK Natural Gas Distribution Utilities
9894    TRI 4/17/2008 69 THOMSON REUTERS CORPORATION COMMON SHARES Publishing Consumer Discretionary
9895    TRIB 11/1/2000 24 TRINITY BIOTECH PLC AMERICAN DEPOSITARY SHARES Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
9896    TRIN 1/29/2021 9.94 TRINITY CAPITAL INC. COMMON STOCK Finance: Consumer Services Finance
9897    TRINI 7/22/2024 0.24 TRINITY CAPITAL INC. 7.875% NOTES DUE 2029 Finance: Consumer Services Finance
9898    TRINZ 4/1/2024 0.3 TRINITY CAPITAL INC. 7.875% NOTES DUE 2029 Finance: Consumer Services Finance
9899    TRIP 12/7/2011 59 TRIPADVISOR INC. COMMON STOCK Computer Software: Programming Data Processing Technology
9900    TRMB 1/2/1998 96 TRIMBLE INC. COMMON STOCK Industrial Machinery/Components Industrials
9901    TRMD 3/19/2019 12 TORM PLC CLASS A COMMON STOCK Marine Transportation Consumer Discretionary
9902    TRMK 1/2/1998 73 TRUSTMARK CORPORATION COMMON STOCK Major Banks Finance
9903    TRML 5/7/2021 5.31 TOURMALINE BIO INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9904    TRN 1/2/1998 103 TRINITY INDUSTRIES INC. COMMON STOCK Railroads Industrials
9905    TRND 5/6/2019 0.63 PACER TRENDPILOT FUND OF FUNDS ETF Exchange Traded Fund Financial
9906    TRNO 2/10/2010 37 TERRENO REALTY CORPORATION COMMON STOCK Real Estate Finance
9907    TRNR 4/28/2023 3.39 INTERACTIVE STRENGTH INC. COMMON STOCK Consumer Electronics/Appliances Technology
9908    TRNS 5/17/2006 5.04 TRANSCAT INC. COMMON STOCK Electrical Products Industrials
9909    TROO 12/20/2010 6.12 TROOPS INC. ORDINARY SHARES Radio And Television Broadcasting And Communications Equipment Technology
9910    TROW 1/2/1998 119 T. ROWE PRICE GROUP INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
9911    TROX 12/1/2010 56 TRONOX HOLDINGS PLC ORDINARY SHARES (UK) Major Chemicals Industrials
9912    TRP 1/2/1998 92 TC ENERGY CORPORATION COMMON STOCK Natural Gas Distribution Utilities
9913    TRS 5/18/2007 39 TRIMAS CORPORATION COMMON STOCK Industrial Specialties Industrials
9914    TRSG 4/19/2024 0.32 TUNGRAY TECHNOLOGIES INC CLASS A ORDINARY SHARES Industrial Machinery/Components Industrials
9915    TRST 1/2/1998 58 TRUSTCO BANK CORP NY COMMON STOCK Major Banks Finance
9916    TRSY 11/16/2010 0.03
9917    TRT 1/3/2003 4.82 TRIO-TECH INTERNATIONAL COMMON STOCK Industrial Machinery/Components Technology
9918    TRTN.A 3/20/2019 1.02 TRITON INTERNATIONAL LIMITED 8.50% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES
9919    TRTN.B 7/3/2019 1.53 TRITON INTERNATIONAL LIMITED 8.00% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES
9920    TRTN.C 11/13/2019 1.52 TRITON INTERNATIONAL LIMITED 7.375% SERIES C CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES
9921    TRTN.D 1/29/2020 1.47 TRITON INTERNATIONAL LIMITED 6.875% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES
9922    TRTN.E 8/23/2021 0.9 TRITON INTERNATIONAL LIMITED 5.75% SERIES E CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES
9923    TRTN.F 2/14/2025 0.04 TRITON INTERNATIONAL LIMITED 7.625% SERIES F CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES
9924    TRTX 7/20/2017 21 TPG RE FINANCE TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
9925    TRTX.C 6/17/2021 0.74 TPG RE FINANCE TRUST INC. 6.25% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK $0.001 PAR VALUE PER SHARE
9926    TRTY 9/12/2018 0.92 CAMBRIA TRINITY ETF Exchange Traded Fund Financial
9927    TRU 6/25/2015 41 TRANSUNION COMMON STOCK Finance: Consumer Services Finance
9928    TRUE 12/12/2006 34 TRUECAR INC. COMMON STOCK Computer Software: Programming Data Processing Technology
9929    TRUG 12/2/2021 1.61 TRUGOLF HOLDINGS INC. CLASS A COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
9930    TRUP 7/18/2014 27 TRUPANION INC. COMMON STOCK Medical Specialities Health Care
9931    TRV 2/27/2007 87 THE TRAVELERS COMPANIES INC. COMMON STOCK Property-Casualty Insurers Finance
9932    TRVG 12/16/2016 22 TRIVAGO N.V. AMERICAN DEPOSITARY SHARES EDP Services Technology
9933    TRVI 5/7/2019 6.07 TREVI THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9934    TRVN 1/31/2014 31
9935    TRX 5/12/2005 37 TRX GOLD CORPORATION COMMON STOCK Precious Metals Basic Materials
9936    TS 12/16/2002 99 TENARIS S.A. AMERICAN DEPOSITARY SHARES Steel/Iron Ore Industrials
9937    TSAT 11/19/2021 2.83 TELESAT CORPORATION CLASS A COMMON SHARES AND CLASS B VARIABLE VOTING SHARES Metal Fabrications Industrials
9938    TSBK 1/13/1998 4.93 TIMBERLAND BANCORP INC. COMMON STOCK Banks Finance
9939    TSBX 7/21/2023 1.64 TURNSTONE BIOLOGICS CORP. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9940    TSCO 1/2/1998 104 TRACTOR SUPPLY COMPANY COMMON STOCK RETAIL: Building Materials Consumer Discretionary
9941    TSDD 8/28/2023 4.58 GRANITESHARES 2X SHORT TSLA DAILY ETF Exchange Traded Fund Financial
9942    TSE 6/12/2014 36 TRINSEO PLC ORDINARY SHARES Major Chemicals Industrials
9943    TSEC 7/19/2023 0.04 TOUCHSTONE ETF TRUST TOUCHSTONE SECURITIZED INCOME ETF Exchange Traded Fund Financial
9944    TSEM 2/28/2000 49 TOWER SEMICONDUCTOR LTD. ORDINARY SHARES Semiconductors Technology
9945    TSHA 9/24/2020 11 TAYSHA GENE THERAPIES INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9946    TSI 3/1/2006 19 TCW STRATEGIC INCOME FUND INC. COMMON STOCK Investment Managers Finance
9947    TSL 8/9/2022 3.87 GRANITESHARES 1.25X LONG TSLA DAILY ETF Exchange Traded Fund Financial
9948    TSLA 6/29/2010 111 TESLA INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
9949    TSLL 8/9/2022 26 DIREXION DAILY TSLA BULL 2X SHARES Exchange Traded Fund Financial
9950    TSLP 10/27/2023 0.34 KURV YIELD PREMIUM STRATEGY TESLA (TSLA) ETF Exchange Traded Fund Financial
9951    TSLQ 7/14/2022 17 TRADR 2X SHORT TSLA DAILY ETF Exchange Traded Fund Financial
9952    TSLR 8/22/2023 5.16 GRANITESHARES 2X LONG TSLA DAILY ETF Exchange Traded Fund Financial
9953    TSLS 8/10/2022 13 DIREXION DAILY TSLA BEAR 1X SHARES Exchange Traded Fund Financial
9954    TSLT 10/19/2023 9.75 ETF OPPORTUNITIES TRUST T-REX 2X LONG TESLA DAILY TARGET ETF Exchange Traded Fund Financial
9955    TSLW 9/3/2024 0.02
9956    TSLX 3/21/2014 30 SIXTH STREET SPECIALTY LENDING INC. COMMON STOCK Investment Managers Finance
9957    TSLY 11/23/2022 12 TIDAL ETF TRUST II YIELDMAX TSLA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
9958    TSLZ 10/19/2023 8.25 ETF OPPORTUNITIES TRUST T-REX 2X INVERSE TESLA DAILY TARGET ET Exchange Traded Fund Financial
9959    TSM 1/2/1998 134 TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY LTD. Semiconductors Technology
9960    TSME 10/5/2022 0.64 THRIVENT SMALL-MID CAP EQUITY ETF Exchange Traded Fund Financial
9961    TSMU 11/12/2024 0.21 GRANITESHARES 2X LONG TSM DAILY ETF Exchange Traded Fund Financial
9962    TSMX 10/3/2024 1.53 DIREXION DAILY TSM BULL 2X SHARES Exchange Traded Fund Financial
9963    TSMY 8/21/2024 0.42 TIDAL TRUST II YIELDMAX TSM OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
9964    TSMZ 10/3/2024 0.07 DIREXION DAILY TSM BEAR 1X SHARES Exchange Traded Fund Financial
9965    TSN 1/2/1998 117 TYSON FOODS INC. COMMON STOCK Meat/Poultry/Fish Consumer Staples
9966    TSPA 6/14/2021 1.22 T. ROWE PRICE U.S. EQUITY RESEARCH ETF Exchange Traded Fund Financial
9967    TSPY 8/15/2024 0.17 TAPPALPHA SPY GROWTH & DAILY INCOME ETF Exchange Traded Fund Financial
9968    TSQ 7/24/2014 8.74 TOWNSQUARE MEDIA INC. CLASS A COMMON STOCK Broadcasting Consumer Discretionary
9969    TSSI 8/1/2007 3.23 TSS INC. COMMON STOCK Professional Services Consumer Discretionary
9970    TSVT 11/3/2021 9.91 2SEVENTY BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
9971    TT 4/30/2007 85 TRANE TECHNOLOGIES PLC Auto Parts:O.E.M. Industrials
9972    TTAM 2/7/2025 0.28 TITAN AMERICA SA COMMON SHARES Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
9973    TTAN 12/12/2024 0.63 SERVICETITAN INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
9974    TTC 1/2/1998 83 TORO COMPANY (THE) COMMON STOCK Tools/Hardware Consumer Discretionary
9975    TTD 9/21/2016 39 THE TRADE DESK INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
9976    TTE 4/30/2007 90 TOTALENERGIES SE Oil & Gas Production Energy
9977    TTEC 1/2/1998 59 TTEC HOLDINGS INC. COMMON STOCK Professional Services Consumer Discretionary
9978    TTEK 12/18/2000 80 TETRA TECH INC. COMMON STOCK Military/Government/Technical Consumer Discretionary
9979    TTEQ 10/24/2024 0.05 T. ROWE PRICE TECHNOLOGY ETF Exchange Traded Fund Financial
9980    TTGT 5/17/2007 26 TECHTARGET INC. COMMON STOCK Telecommunications Equipment Telecommunications
9981    TTI 1/2/1998 80 TETRA TECHNOLOGIES INC. COMMON STOCK Oil & Gas Production Energy
9982    TTMI 9/25/2000 74 TTM TECHNOLOGIES INC. COMMON STOCK Electrical Products Technology
9983    TTNP 10/12/2015 18 TITAN PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
9984    TTOO 8/7/2014 33
9985    TTSH 11/11/2019 5.32 TILE SHOP HOLDINGS INC. COMMON STOCK Home Furnishings Consumer Discretionary
9986    TTT 3/29/2012 12 PROSHARES ULTRAPRO SHORT 20 YEAR TREASURY Exchange Traded Fund Financial
9987    TTWO 5/9/2002 101 TAKE-TWO INTERACTIVE SOFTWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
9988    TU 10/17/2000 72 TELUS CORPORATION ORDINARY SHARES Telecommunications Equipment Telecommunications
9989    TUA 11/16/2022 3.86 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY SHORT TERM TREASURY FU Exchange Traded Fund Financial
9990    TUG 5/20/2022 0.62 STF TACTICAL GROWTH ETF Exchange Traded Fund Financial
9991    TUGN 5/20/2022 0.39 STF TACTICAL GROWTH & INCOME ETF Exchange Traded Fund Financial
9992    TUR 3/28/2008 41 ISHARES MSCI TURKEY ETF Exchange Traded Fund Financial
9993    TURB 9/22/2023 0.53 TURBO ENERGY S.A. AMERICAN DEPOSITARY SHARES Industrial Machinery/Components Miscellaneous
9994    TURN 5/3/2007 15 180 DEGREE CAPITAL CORP. COMMON STOCK Finance/Investors Services Finance
9995    TUSI 8/9/2022 0.17 TOUCHSTONE ETF TRUST TOUCHSTONE ULTRA SHORT INCOME ETF Exchange Traded Fund Financial
9996    TUSK 10/14/2016 14 MAMMOTH ENERGY SERVICES INC. COMMON STOCK Oilfield Services/Equipment Energy
9997    TUYA 3/19/2021 14 TUYA INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Computer Software: Prepackaged Software Technology
9998    TV 1/2/1998 100 GRUPO TELEVISA S.A.B. COMMON STOCK Broadcasting Industrials
9999    TVAL 6/16/2023 0.2 T. ROWE PRICE EXCHANGE-TRADED FUNDS INC. T. ROWE PRICE VALUE Exchange Traded Fund Financial
10000    TVC 10/14/1998 8.94 TENNESSEE VALLEY AUTHORITY COMMON STOCK Electric Utilities: Central Utilities
10001    TVE 5/19/1999 7.72 TENNESSEE VALLEY AUTHORITY Electric Utilities: Central Utilities
10002    TVGN 1/5/2022 3 TEVOGEN BIO HOLDINGS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10003    TVGNW 1/3/2022 0.32 TEVOGEN BIO HOLDINGS INC. WARRANT Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10004    TVTX 7/2/2009 35 TRAVERE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10005    TW 4/4/2019 23 TRADEWEB MARKETS INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
10006    TWFG 7/18/2024 0.76 TWFG INC. CLASS A COMMON STOCK Specialty Insurers Finance
10007    TWG 4/16/2024 2.23 TOP WEALTH GROUP HOLDING LIMITED ORDINARY SHARES Packaged Foods Consumer Staples
10008    TWI 1/2/1998 67 TITAN INTERNATIONAL INC. (DE) COMMON STOCK Steel/Iron Ore Industrials
10009    TWIN 1/4/2005 19 TWIN DISC INCORPORATED COMMON STOCK Industrial Machinery/Components Industrials
10010    TWLO 6/23/2016 44 TWILIO INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
10011    TWM 1/25/2007 84 PROSHARES ULTRASHORT RUSSELL2000 Exchange Traded Fund Financial
10012    TWN 1/2/1998 11 TAIWAN FUND INC. (THE) COMMON STOCK Trusts Except Educational Religious and Charitable Finance
10013    TWNP 1/28/2025 0.1 TWIN HOSPITALITY GROUP INC. CLASS A COMMON STOCK Restaurants Consumer Discretionary
10014    TWO 10/30/2009 70 TWO HARBORS INVESTMENT CORP Real Estate Investment Trusts Real Estate
10015    TWO.A 3/16/2017 2.35 TWO HARBORS INVESTMENTS CORP 8.125% SERIES A FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK ($25.00 LIQUIDATION PREFERENCE PER SHARE)
10016    TWO.B 7/21/2017 3.44 TWO HARBORS INVESTMENTS CORP 7.625% SERIES B FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
10017    TWO.C 11/28/2017 3.37 TWO HARBORS INVESTMENTS CORP 7.25% SERIES C FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PREFERRED STOCK
10018    TWST 10/31/2018 23 TWIST BIOSCIENCE CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10019    TX 2/2/2006 65 TERNIUM S.A. TERNIUM S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN SHARES USD1.00 PAR VALUE) Steel/Iron Ore Industrials
10020    TXG 9/12/2019 22 10X GENOMICS INC. CLASS A COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
10021    TXMD 9/29/2009 39 THERAPEUTICSMD INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10022    TXN 1/2/1998 140 TEXAS INSTRUMENTS INCORPORATED COMMON STOCK Semiconductors Technology
10023    TXNM 4/30/2007 69 TXNM ENERGY INC. COMMON STOCK Electric Utilities: Central Utilities
10024    TXO 1/27/2023 1.73 TXO PARTNERS L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Oil & Gas Production Energy
10025    TXRH 8/9/2006 72 TEXAS ROADHOUSE INC. COMMON STOCK Restaurants Consumer Discretionary
10026    TXS 7/13/2023 0.15 TEXAS CAPITAL FUNDS TRUST TEXAS CAPITAL TEXAS EQUITY INDEX ETF Exchange Traded Fund Financial
10027    TXSS 3/13/2024 0.02 TEXAS CAPITAL TEXAS SMALL CAP EQUITY INDEX ETF Exchange Traded Fund Financial
10028    TXT 1/2/1998 117 TEXTRON INC. COMMON STOCK Aerospace Industrials
10029    TY 1/2/1998 28 TRI CONTINENTAL CORPORATION COMMON STOCK Finance Companies Finance
10030    TYA 9/28/2021 1.37 SIMPLIFY INTERMEDIATE TERM TREASURY FUTURES STRATEGY ETF Exchange Traded Fund Financial
10031    TYD 4/16/2009 3.66 DIREXION DAILY 10-YR TREASURY BULL 3X SHRS Exchange Traded Fund Financial
10032    TYG 2/25/2004 31 TORTOISE ENERGY INFRASTRUCTURE CORPORATION COMMON STOCK Investment Managers Finance
10033    TYGO 9/3/2021 1.14 TIGO ENERGY INC. COMMON STOCK Semiconductors Technology
10034    TYL 1/2/1998 56 TYLER TECHNOLOGIES INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10035    TYLD 1/4/2024 0.06 CAMBRIA ETF TRUST CAMBRIA TACTICAL YIELD ETF Exchange Traded Fund Financial
10036    TYLG 11/22/2022 0.1 GLOBAL X FUNDS GLOBAL X INFORMATION TECHNOLOGY COVERED CALL & Exchange Traded Fund Financial
10037    TYO 4/16/2009 5.68 DIREXION DAILY 10-YR TREASURY BEAR 3X SHRS Exchange Traded Fund Financial
10038    TYRA 2/1/2013 3.81 TYRA BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10039    TZA 11/19/2008 115 DIREXION SMALL CAP BEAR 3X SHARES Exchange Traded Fund Financial
10040    TZOO 12/30/2003 38 TRAVELZOO COMMON STOCK Advertising Consumer Discretionary
10041    TZUP 3/21/2022 0.53 THUMZUP MEDIA CORPORATION COMMON STOCK EDP Services Technology
10042    U 9/18/2020 27 UNITY SOFTWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10043    UA 3/23/2016 41 UNDER ARMOUR INC. CLASS C COMMON STOCK Apparel Consumer Discretionary
10044    UAA 5/14/2007 79 UNDER ARMOUR INC. CLASS A COMMON STOCK Apparel Consumer Discretionary
10045    UAE 5/1/2014 3.3 ISHARES MSCI UAE ETF Exchange Traded Fund Financial
10046    UAL 2/11/2010 76 UNITED AIRLINES HOLDINGS INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
10047    UAMY 5/16/2007 16 UNITED STATES ANTIMONY CORPORATION COMMON STOCK Metal Fabrications Industrials
10048    UAN 4/8/2011 25 CVR PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Agricultural Chemicals Industrials
10049    UAPR 4/1/2019 0.97 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - APRIL Exchange Traded Fund Financial
10050    UAUG 8/1/2019 1.06 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - AUGUST Exchange Traded Fund Financial
10051    UAVS 6/17/2014 25 AGEAGLE AERIAL SYSTEMS INC. COMMON STOCK Aerospace Industrials
10052    UBCP 2/12/2004 1.62 UNITED BANCORP INC. COMMON STOCK Major Banks Finance
10053    UBER 5/10/2019 37 UBER TECHNOLOGIES INC. COMMON STOCK Business Services Consumer Discretionary
10054    UBFO 5/31/2001 5.76 UNITED SECURITY BANCSHARES COMMON STOCK Major Banks Finance
10055    UBND 4/11/2022 0.46 VICTORYSHARES CORE PLUS INTERMEDIATE BOND ETF Exchange Traded Fund Financial
10056    UBOH 2/4/2002 0.93
10057    UBOT 4/19/2018 3.66 DIREXION DAILY ROBOTICS ARTIFICIAL INTELLIGENCE & AUTOMATION Exchange Traded Fund Financial
10058    UBR 5/7/2010 2.78 PROSHARES ULTRA MSCI BRAZIL CAPPED Exchange Traded Fund Financial
10059    UBRL 9/4/2024 0.78 GRANITESHARES 2X LONG UBER DAILY ETF Exchange Traded Fund Financial
10060    UBS 5/16/2000 99 UBS GROUP AG REGISTERED ORDINARY SHARES Major Banks Finance
10061    UBSI 1/2/1998 77 UNITED BANKSHARES INC. COMMON STOCK Major Banks Finance
10062    UBT 1/21/2010 9.21 PROSHARES ULTRA 20+ YEAR TREASURY Exchange Traded Fund Financial
10063    UBX 5/3/2018 14 UNITY BIOTECHNOLOGY INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10064    UBXG 3/28/2024 1.52 U-BX TECHNOLOGY LTD. ORDINARY SHARES Computer Software: Programming Data Processing Technology
10065    UCAR 4/20/2023 4.33 U POWER LIMITED CLASS A ORDINARY SHARES Auto Parts:O.E.M. Consumer Discretionary
10066    UCB 5/7/2007 59 UNITED COMMUNITY BANKS INC. COMMON STOCK Major Banks Finance
10067    UCB.I 6/11/2020 0.75 UNITED COMMUNITY BANKS INC. DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF SERIES I NON-CUMULATIVE PREFERRED STOCK
10068    UCC 2/5/2007 1.76 PROSHARES ULTRA CONSUMER DISCRETIONARY Exchange Traded Fund Financial
10069    UCIB 10/9/2015 0.37 NO NAME Exchange Traded Fund Financial
10070    UCL 6/10/2020 2.22 UCLOUDLINK GROUP INC. AMERICAN DEPOSITARY SHARES Telecommunications Equipment Consumer Discretionary
10071    UCO 11/25/2008 87 PROSHARES ULTRA BLOOMBERG CRUDE OIL Exchange Traded Fund Financial
10072    UCON 6/5/2018 10 FIRST TRUST TCW UNCONSTRAINED PLUS BOND ETF Exchange Traded Fund Financial
10073    UCRD 10/5/2021 0.04 VICTORYSHARES CORPORATE BOND ETF Exchange Traded Fund Financial
10074    UCTT 3/25/2004 48 ULTRA CLEAN HOLDINGS INC. COMMON STOCK Semiconductors Technology
10075    UCYB 1/21/2021 0.23 PROSHARES ULTRA NASDAQ CYBERSECURITY Exchange Traded Fund Financial
10076    UDEC 12/2/2019 0.65 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - DECEMBER Exchange Traded Fund Financial
10077    UDI 6/8/2022 0.01 USCF ETF TRUST USCF DIVIDEND INCOME FUND Exchange Traded Fund Financial
10078    UDIV 6/3/2016 0.53 FRANKLIN U.S. CORE DIVIDEND TILT INDEX ETF Exchange Traded Fund Financial
10079    UDMY 10/29/2021 11 UDEMY INC. COMMON STOCK Other Consumer Services Real Estate
10080    UDN 3/1/2007 17 INVESCO DB USD INDEX BEARISH ETF Exchange Traded Fund Financial
10081    UDOW 2/11/2010 61 PROSHARES ULTRAPRO DOW30 Exchange Traded Fund Financial
10082    UDR 1/2/1998 109 UDR INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10083    UE 1/16/2015 42 URBAN EDGE PROPERTIES COMMON SHARES OF BENEFICIAL INTEREST Real Estate Finance
10084    UEC 9/28/2007 57 URANIUM ENERGY CORP. COMMON STOCK Other Metals and Minerals Basic Materials
10085    UEIC 1/2/1998 32 UNIVERSAL ELECTRONICS INC. COMMON STOCK Consumer Electronics/Appliances Consumer Staples
10086    UEVM 10/27/2017 0.79 VICTORYSHARES EMERGING MARKETS VALUE MOMENTUM ETF Exchange Traded Fund Financial
10087    UFCS 1/5/1998 34 UNITED FIRE GROUP INC. COMMON STOCK Property-Casualty Insurers Finance
10088    UFEB 2/3/2020 0.64 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - FEBRUARY Exchange Traded Fund Financial
10089    UFG 1/14/2025 0.06 UNI-FUELS HOLDINGS LIMITED CLASS A ORDINARY SHARES Oil Refining/Marketing Energy
10090    UFI 1/2/1998 36 UNIFI INC. NEW COMMON STOCK Textiles Consumer Discretionary
10091    UFIV 3/28/2023 0.22 US TREASURY 5 YEAR NOTE ETF Exchange Traded Fund Financial
10092    UFO 4/11/2019 2.84 PROCURE SPACE ETF Exchange Traded Fund Financial
10093    UFPI 1/2/1998 57 UFP INDUSTRIES INC. COMMON STOCK Forest Products Basic Materials
10094    UFPT 12/28/2001 12 UFP TECHNOLOGIES INC. COMMON STOCK Medical/Dental Instruments Health Care
10095    UG 11/10/2006 2.55 UNITED-GUARDIAN INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
10096    UGA 2/28/2008 15 UNITED STATES GASOLINE FUND LP Exchange Traded Fund Financial
10097    UGE 2/1/2007 1.74 PROSHARES ULTRA CONSUMER STAPLES Exchange Traded Fund Financial
10098    UGI 1/2/1998 98 UGI CORPORATION COMMON STOCK Natural Gas Distribution Utilities
10099    UGL 12/3/2008 27 PROSHARES ULTRA GOLD Exchange Traded Fund Financial
10100    UGP 10/7/1999 66 ULTRAPAR PARTICIPACOES S.A. (NEW) AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) Oil/Gas Transmission Utilities
10101    UGRO 11/14/2019 3.66 URBAN-GRO INC. COMMON STOCK Industrial Specialties Consumer Discretionary
10102    UHAL 3/22/2004 27 U-HAUL HOLDING COMPANY COMMON STOCK Rental/Leasing Companies Consumer Discretionary
10103    UHG 3/29/2021 0.92 UNITED HOMES GROUP INC CLASS A COMMON STOCK Homebuilding Consumer Discretionary
10104    UHGWW 3/24/2021 0.54 UNITED HOMES GROUP INC. WARRANT Homebuilding Consumer Discretionary
10105    UHS 1/2/1998 104 UNIVERSAL HEALTH SERVICES INC. COMMON STOCK Hospital/Nursing Management Health Care
10106    UHT 1/2/1998 27 UNIVERSAL HEALTH REALTY INCOME TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
10107    UI 10/14/2011 36 UBIQUITI INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
10108    UIS 1/2/1998 97 UNISYS CORPORATION NEW COMMON STOCK EDP Services Technology
10109    UITB 10/27/2017 3 VICTORYSHARES CORE INTERMEDIATE BOND ETF Exchange Traded Fund Financial
10110    UIVM 10/27/2017 0.76 VICTORYSHARES INTERNATIONAL VALUE MOMENTUM ETF Exchange Traded Fund Financial
10111    UJAN 1/2/2019 1.48 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - JANUARY Exchange Traded Fund Financial
10112    UJB 4/14/2011 0.5 PROSHARES ULTRA HIGH YIELD ETF Exchange Traded Fund Financial
10113    UJUL 8/8/2018 0.91 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - JULY Exchange Traded Fund Financial
10114    UJUN 6/3/2019 0.52 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - JUNE Exchange Traded Fund Financial
10115    UK 11/7/2019 3.81 UCOMMUNE INTERNATIONAL LTD ORDINARY SHARES Business Services Consumer Discretionary
10116    UKOMW 11/7/2019 0.68 UCOMMUNE INTERNATIONAL LTD WARRANT EXPIRING 11/17/2025 Business Services Consumer Discretionary
10117    UL 1/2/1998 107 UNILEVER PLC COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
10118    ULBI 1/2/1998 24 ULTRALIFE CORPORATION COMMON STOCK Industrial Machinery/Components Miscellaneous
10119    ULCC 4/1/2021 15 FRONTIER GROUP HOLDINGS INC. COMMON STOCK Air Freight/Delivery Services Consumer Discretionary
10120    ULE 11/25/2008 3.29 PROSHARES ULTRA EURO Exchange Traded Fund Financial
10121    ULH 5/16/2007 13 UNIVERSAL LOGISTICS HOLDINGS INC. COMMON STOCK Trucking Freight/Courier Services Industrials
10122    ULS 4/12/2024 2.86 UL SOLUTIONS INC. CLASS A COMMON STOCK Precision Instruments Health Care
10123    ULST 10/10/2013 4.53 SPDR SSGA ULTRA SHORT TERM BOND ETF Exchange Traded Fund Financial
10124    ULTA 10/25/2007 71 ULTA BEAUTY INC. COMMON STOCK Other Specialty Stores Consumer Discretionary
10125    ULTY 2/29/2024 4.26 TIDAL TRUST II YIELDMAX ULTRA OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
10126    ULVM 10/27/2017 0.83 VICTORYSHARES US VALUE MOMENTUM ETF Exchange Traded Fund Financial
10127    ULY 10/19/2023 1.1 URGENT.LY INC. COMMON STOCK EDP Services Technology
10128    UMAC 2/14/2024 2.26 UNUSUAL MACHINES INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
10129    UMAR 3/2/2020 0.56 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - MARCH Exchange Traded Fund Financial
10130    UMAY 5/1/2020 0.46 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - MAY Exchange Traded Fund Financial
10131    UMBF 1/2/1998 56 UMB FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
10132    UMBFP 2/4/2025 0.02 UMB FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH OF 7.00% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10133    UMC 9/19/2000 102 UNITED MICROELECTRONICS CORPORATION (NEW) COMMON STOCK Semiconductors Technology
10134    UMDD 2/11/2010 6.49 ULTRAPRO MIDCAP400 Exchange Traded Fund Financial
10135    UMH 1/2/1998 31 UMH PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10136    UMH.D 1/25/2018 1.92 UMH PROPERTIES INC. 6.375% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK LIQUIDATION PREFERENCE $25 PER SHARE
10137    UMI 3/24/2021 1.26 USCF MIDSTREAM ENERGY INCOME FUND ETF Exchange Traded Fund Financial
10138    UMMA 1/7/2022 0.65 WAHED DOW JONES ISLAMIC WORLD ETF Exchange Traded Fund Financial
10139    UNB 7/13/2000 1.63 UNION BANKSHARES INC. COMMON STOCK Major Banks Finance
10140    UNCY 7/13/2021 5.01 UNICYCIVE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10141    UNF 1/2/1998 34 UNIFIRST CORPORATION COMMON STOCK Other Consumer Services Consumer Discretionary
10142    UNFI 1/2/1998 81 UNITED NATURAL FOODS INC. COMMON STOCK Food Distributors Consumer Discretionary
10143    UNG 4/18/2007 99 UNITED STATES NATURAL GAS FUND LP Exchange Traded Fund Financial
10144    UNH 1/2/1998 129 UNITEDHEALTH GROUP INCORPORATED COMMON STOCK (DE) Medical Specialities Health Care
10145    UNIT 4/20/2015 45 UNITI GROUP INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10146    UNIY 2/7/2023 0.04 WISDOMTREE VOYA YIELD ENHANCED USD UNIVERSAL BOND FUND Exchange Traded Fund Financial
10147    UNL 1/4/2010 4.95 UNITED STATES 12 MONTH NATURAL GAS FUND Exchange Traded Fund Financial
10148    UNM 1/2/1998 122 UNUM GROUP COMMON STOCK Accident &Health Insurance Finance
10149    UNMA 6/19/2018 2.92 UNUM GROUP 6.250% JUNIOR SUBORDINATED NOTES DUE 2058 Accident &Health Insurance Finance
10150    UNOV 11/1/2019 0.49 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
10151    UNP 1/2/1998 127 UNION PACIFIC CORPORATION COMMON STOCK Railroads Industrials
10152    UNTY 9/21/1998 4.04 UNITY BANCORP INC. COMMON STOCK Major Banks Finance
10153    UOCT 10/1/2018 1.04 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - OCTOBER Exchange Traded Fund Financial
10154    UOKA 1/8/2019 2.96 MDJM LTD ORDINARY SHARE Real Estate Finance
10155    UONE 5/16/2007 8.64 URBAN ONE INC. CLASS A COMMON STOCK Broadcasting Consumer Discretionary
10156    UONEK 5/1/2007 19 URBAN ONE INC. CLASS D COMMON STOCK Broadcasting Consumer Discretionary
10157    UP 7/14/2021 13 WHEELS UP EXPERIENCE INC. CLASS A COMMON STOCK Transportation Services Consumer Discretionary
10158    UPAR 1/4/2022 0.46 TIDAL ETF TRUST UPAR ULTRA RISK PARITY ETF Exchange Traded Fund Financial
10159    UPB 10/11/2024 0.87 UPSTREAM BIO INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10160    UPBD 4/27/2007 74 UPBOUND GROUP INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
10161    UPC 3/23/2021 4.21 UNIVERSE PHARMACEUTICALS INC. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
10162    UPGD 5/16/2007 4.4 INVESCO BLOOMBERG ANALYST RATING IMPROVERS ETF Exchange Traded Fund Financial
10163    UPGR 7/13/2023 0.03 XTRACKERS US GREEN INFRASTRUCTURE SELECT EQUITY ETF Exchange Traded Fund Financial
10164    UPLD 11/6/2014 19 UPLAND SOFTWARE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10165    UPRO 6/25/2009 97 PROSHARES ULTRAPRO S&P 500 Exchange Traded Fund Financial
10166    UPS 11/10/1999 123 UNITED PARCEL SERVICE INC. COMMON STOCK Trucking Freight/Courier Services Industrials
10167    UPST 12/16/2020 26 UPSTART HOLDINGS INC. COMMON STOCK Finance: Consumer Services Finance
10168    UPV 5/7/2010 1.24 PROSHARES ULTRA FTSE EUROPE Exchange Traded Fund Financial
10169    UPW 2/1/2007 3.41 PROSHARES ULTRA UTILITIES Exchange Traded Fund Financial
10170    UPWK 10/3/2018 27 UPWORK INC. COMMON STOCK EDP Services Technology
10171    UPXI 6/24/2021 3.15 UPEXI INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
10172    URA 11/5/2010 39 GLOBAL X URANIUM ETF Exchange Traded Fund Financial
10173    URAA 6/26/2024 0.22 DIREXION SHARES ETF TRUST DIREXION DAILY URANIUM INDUSTRY BULL Exchange Traded Fund Financial
10174    URAX 5/28/2024 0.25 TIDAL TRUST II DEFIANCE DAILY TARGET 2X LONG URANIUM ETF Exchange Traded Fund Financial
10175    URBN 1/2/1998 101 URBAN OUTFITTERS INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
10176    URE 2/6/2007 30 PROSHARES ULTRA REAL ESTATE Exchange Traded Fund Financial
10177    URG 7/25/2008 36 UR ENERGY INC COMMON SHARES (CANADA) Precious Metals Basic Materials
10178    URGN 5/4/2017 13 UROGEN PHARMA LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
10179    URI 1/2/1998 107 UNITED RENTALS INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
10180    URNJ 2/2/2023 3.59 SPROTT JUNIOR URANIUM MINERS ETF Exchange Traded Fund Financial
10181    URNM 12/4/2019 13 SPROTT URANIUM MINERS ETF Exchange Traded Fund Financial
10182    UROY 4/28/2021 12 URANIUM ROYALTY CORP. COMMON STOCK Investment Bankers/Brokers/Service Finance
10183    URTH 1/12/2012 14 ISHARES INC. ISHARES MSCI WORLD ETF Exchange Traded Fund Financial
10184    URTY 2/11/2010 48 PROSHARES ULTRAPRO RUSSELL2000 Exchange Traded Fund Financial
10185    USA 1/2/1998 65 LIBERTY ALL-STAR EQUITY FUND COMMON STOCK Finance Companies Finance
10186    USAC 1/15/2013 23 USA COMPRESSION PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Utilities
10187    USAF 11/20/2024 0.06 ATLAS AMERICA FUND Exchange Traded Fund Financial
10188    USAI 12/13/2017 0.83 PACER AMERICAN ENERGY INDEPENDENCE ETF Exchange Traded Fund Financial
10189    USAS 1/19/2017 16 AMERICAS GOLD AND SILVER CORPORATION COMMON SHARES NO PAR VALUE Metal Mining Basic Materials
10190    USAU 5/16/2007 9.89 U.S. GOLD CORP. COMMON STOCK Metal Mining Basic Materials
10191    USB 1/2/1998 133 U.S. BANCORP COMMON STOCK Major Banks Finance
10192    USB.A 6/16/2010 0.3 U.S. BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/100TH INTEREST IN A SHARE OF SERIES A NON-CUMULATIVEPERPETUAL PFD STOCK
10193    USB.H 5/17/2007 14 U.S. BANCORP DEPOSITARY SHARES REPSTG 1/1000TH PFD SER B
10194    USB.P 8/17/2018 5.17 U.S. BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF SERIES K NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10195    USB.Q 10/30/2020 3.45 U.S. BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF SERIES L NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10196    USB.R 2/5/2021 4.26 U.S. BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF SERIES M NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10197    USB.S 2/16/2022 2.47 U.S. BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF SERIES O NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10198    USCA 10/3/2023 0.05 DBX ETF TRUST XTRACKERS MSCI USA CLIMATE ACTION EQUITY ETF Exchange Traded Fund Financial
10199    USCB 7/23/2021 1.25 USCB FINANCIAL HOLDINGS INC. CLASS A COMMON STOCK Major Banks Finance
10200    USCF 3/13/2024 0.03
10201    USCI 8/10/2010 10 UNITED STATES COMMODITY INDEX FUND ETV Exchange Traded Fund Financial
10202    USCL 6/8/2023 0.04 ISHARES CLIMATE CONSCIOUS & TRANSITION MSCI USA ETF Exchange Traded Fund Financial
10203    USD 2/1/2007 26 PROSHARES ULTRA SEMICONDUCTORS Exchange Traded Fund Financial
10204    USDP 10/9/2014 6.81
10205    USDU 12/18/2013 6.99 WISDOMTREE BLOOMBERG U.S. DOLLAR BULLISH FUND Exchange Traded Fund Financial
10206    USDX 2/29/2024 0.23 SGI ENHANCED CORE ETF Exchange Traded Fund Financial
10207    USE 5/4/2023 0.01 USCF ETF TRUST USCF ENERGY COMMODITY STRATEGY ABSOLUTE RETURN Exchange Traded Fund Financial
10208    USEA 7/6/2022 3.15 UNITED MARITIME CORPORATION COMMON STOCK Marine Transportation Consumer Discretionary
10209    USEG 1/2/1998 24 U.S. ENERGY CORP. COMMON STOCK (DE) Oil & Gas Production Energy
10210    USEP 9/3/2019 0.77 INNOVATOR U.S. EQUITY ULTRA BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
10211    USFD 5/26/2016 37 US FOODS HOLDING CORP. COMMON STOCK Food Distributors Consumer Discretionary
10212    USFI 7/27/2023 0.03 BRANDYWINEGLOBAL - U.S. FIXED INCOME ETF Exchange Traded Fund Financial
10213    USFR 12/23/2016 21 WISDOMTREE FLOATING RATE TREASURY FUND Exchange Traded Fund Financial
10214    USG 11/3/2021 0.11 USCF GOLD STRATEGY PLUS INCOME FUND Exchange Traded Fund Financial
10215    USGO 4/20/2023 0.77 U.S. GOLDMINING INC. COMMON STOCK Precious Metals Basic Materials
10216    USGOW 4/20/2023 0.17 U.S. GOLDMINING INC. WARRANT Precious Metals Basic Materials
10217    USHY 10/26/2017 24 ISHARES BROAD USD HIGH YIELD CORPORATE BOND ETF Exchange Traded Fund Financial
10218    USIG 6/12/2014 26 ISHARES BROAD USD INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
10219    USIN 3/14/2024 0.03 WISDOMTREE 7-10 YEAR LADDERED TREASURY FUND Exchange Traded Fund Financial
10220    USIO 8/11/2015 5.46 USIO INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
10221    USL 12/6/2007 12 UNITED STATES 12 MONTH OIL Exchange Traded Fund Financial
10222    USLM 12/10/2002 5.57 UNITED STATES LIME & MINERALS INC. COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
10223    USM 1/2/1998 49 UNITED STATES CELLULAR CORPORATION COMMON STOCK Telecommunications Equipment Telecommunications
10224    USMC 10/12/2017 2.6 PRINCIPAL U.S. MEGA-CAP ETF Exchange Traded Fund Financial
10225    USMF 6/29/2017 1.94 WISDOMTREE U.S. MULTIFACTOR FUND Exchange Traded Fund Financial
10226    USML 2/5/2021 0.08 ETRACS 2X LEVERAGED MSCI US MINIMUM VOLATILITY FACTOR TR ETN Exchange Traded Fund Financial
10227    USMV 10/20/2011 52 ISHARES MSCI USA MIN VOL FACTOR ETF Exchange Traded Fund Financial
10228    USNA 1/2/1998 44 USANA HEALTH SCIENCES INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
10229    USNZ 6/28/2022 0.03 DBX ETF TRUST XTRACKERS NET ZERO PATHWAY PARIS ALIGNED US EQUI Exchange Traded Fund Financial
10230    USO 4/10/2006 106 UNITED STATES OIL FUND Exchange Traded Fund Financial
10231    USOI 4/26/2017 9.61 UBS AG Exchange Traded Fund Financial
10232    USOY 5/10/2024 0.61 DEFIANCE OIL ENHANCED OPTIONS INCOME ETF Exchange Traded Fund Financial
10233    USPH 1/2/1998 32 U.S. PHYSICAL THERAPY INC. COMMON STOCK Medical/Nursing Services Health Care
10234    USPX 6/3/2016 0.57 FRANKLIN U.S. EQUITY INDEX ETF Exchange Traded Fund Financial
10235    USRD 3/13/2024 0.03 THEMES US R&D CHAMPIONS ETF Exchange Traded Fund Financial
10236    USRT 11/3/2016 15 ISHARES CORE U.S. REIT ETF Exchange Traded Fund Financial
10237    USSE 8/30/2023 0.26 SEGALL BRYANT & HAMILL TRUST SEGALL BRYANT & HAMILL SELECT EQU Exchange Traded Fund Financial
10238    USSG 3/8/2019 2.5 XTRACKERS MSCI USA SELECTION EQUITY ETF Exchange Traded Fund Financial
10239    USSH 3/25/2024 0.03 WISDOMTREE 1-3 YEAR LADDERED TREASURY FUND Exchange Traded Fund Financial
10240    UST 2/2/2010 5.25 PROSHARES ULTRA 7-10 YEAR TREASURY Exchange Traded Fund Financial
10241    USTB 10/27/2017 2.51 VICTORYSHARES SHORT-TERM BOND ETF Exchange Traded Fund Financial
10242    USVM 10/27/2017 1.41 VICTORYSHARES US SMALL MID CAP VALUE MOMENTUM ETF Exchange Traded Fund Financial
10243    USVN 3/28/2023 0.04 US TREASURY 7 YEAR NOTE ETF Exchange Traded Fund Financial
10244    USXF 6/18/2020 3.86 ISHARES ESG ADVANCED MSCI USA ETF Exchange Traded Fund Financial
10245    UTEN 8/9/2022 1.2 US TREASURY 10 YEAR NOTE ETF Exchange Traded Fund Financial
10246    UTES 9/24/2015 1.64 VIRTUS REAVES UTILITIES ETF Exchange Traded Fund Financial
10247    UTF 3/26/2004 45 COHEN & STEERS INFRASTRUCTURE FUND INC COMMON STOCK Finance Companies Finance
10248    UTG 2/25/2004 36 REAVES UTILITY INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
10249    UTHR 6/17/1999 81 UNITED THERAPEUTICS CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10250    UTHY 3/28/2023 0.22 US TREASURY 30 YEAR BOND ETF Exchange Traded Fund Financial
10251    UTI 12/18/2003 39 UNIVERSAL TECHNICAL INSTITUTE INC COMMON STOCK Other Consumer Services Real Estate
10252    UTL 1/2/1998 19 UNITIL CORPORATION COMMON STOCK Power Generation Utilities
10253    UTMD 3/8/2000 4.67 UTAH MEDICAL PRODUCTS INC. COMMON STOCK Medical/Dental Instruments Health Care
10254    UTRE 3/28/2023 0.08 US TREASURY 3 YEAR NOTE ETF Exchange Traded Fund Financial
10255    UTRN 9/21/2018 0.77 VESPER US LARGE CAP SHORT-TERM REVERSAL STRATEGY ETF Exchange Traded Fund Financial
10256    UTRS 10/22/2021 2.13
10257    UTSI 3/3/2000 49 UTSTARCOM HOLDINGS CORP. ORDINARY SHARES Telecommunications Equipment Telecommunications
10258    UTSL 5/3/2017 8.47 DIREXION DAILY UTILITIES BULL 3X SHARES Exchange Traded Fund Financial
10259    UTWO 8/9/2022 2.33 US TREASURY 2 YEAR NOTE ETF Exchange Traded Fund Financial
10260    UTWY 3/28/2023 0.15 US TREASURY 20 YEAR BOND ETF Exchange Traded Fund Financial
10261    UTZ 11/26/2018 18 UTZ BRANDS INC CLASS A COMMON STOCK Packaged Foods Consumer Staples
10262    UUP 3/1/2007 60 INVESCO DB USD INDEX BULLISH FUND ETF Exchange Traded Fund Financial
10263    UUU 7/28/2003 6.15 UNIVERSAL SECURITY INSTRUMENTS INC. COMMON STOCK Electronic Components Technology
10264    UUUU 10/27/2008 34 ENERGY FUELS INC ORDINARY SHARES (CANADA) Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
10265    UVE 4/30/2007 41 UNIVERSAL INSURANCE HOLDINGS INC COMMON STOCK Property-Casualty Insurers Finance
10266    UVIX 3/30/2022 18 VS TR 2X LONG VIX FUTURES ETF Exchange Traded Fund Financial
10267    UVSP 8/15/2003 21 UNIVEST FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
10268    UVV 1/2/1998 65 UNIVERSAL CORPORATION COMMON STOCK Farming/Seeds/Milling Industrials
10269    UVXY 10/4/2011 109 PROSHARES TRUST ULTRA VIX SHORT TERM FUTURES ETF Exchange Traded Fund Financial
10270    UWM 1/25/2007 66 PROSHARES ULTRA RUSSELL2000 Exchange Traded Fund Financial
10271    UWMC 5/1/2020 21 UWM HOLDINGS CORPORATION CLASS A COMMON STOCK Finance: Consumer Services Finance
10272    UXI 2/5/2007 4.48 PROSHARES ULTRA INDUSTRIALS Exchange Traded Fund Financial
10273    UXIN 6/27/2018 18 UXIN LIMITED ADS Business Services Consumer Discretionary
10274    UYG 2/1/2007 44 PROSHARES ULTRA FINANCIALS Exchange Traded Fund Financial
10275    UYLD 10/25/2022 0.63 ANGEL OAK ULTRASHORT INCOME ETF Exchange Traded Fund Financial
10276    UYM 3/13/2007 26 PROSHARES ULTRA MATERIALS Exchange Traded Fund Financial
10277    UZD 8/19/2020 3.02 UNITED STATES CELLULAR CORPORATION 6.250% SENIOR NOTES DUE 2069 Telecommunications Equipment Telecommunications
10278    UZE 12/15/2020 3.36 UNITED STATES CELLULAR CORPORATION 5.500% SENIOR NOTES DUE 2070 Telecommunications Equipment Telecommunications
10279    UZF 5/26/2021 2.31 UNITED STATES CELLULAR CORPORATION 5.500% SENIOR NOTES DUE 2070 Telecommunications Equipment Telecommunications
10280    V 3/19/2008 91 VISA INC. Business Services Consumer Discretionary
10281    VABK 5/16/2007 0.83 VIRGINIA NATIONAL BANKSHARES CORPORATION COMMON STOCK Major Banks Finance
10282    VABS 2/10/2021 0.1 VIRTUS NEWFLEET ABS/MBS ETF Exchange Traded Fund Financial
10283    VAC 11/8/2011 41 MARRIOTT VACATIONS WORLDWIDE CORPORATION COMMON STOCK Real Estate Finance
10284    VACH 9/30/2024 0.03 VOYAGER ACQUISITION CORP CLASS A ORDINARY SHARES
10285    VACHU 8/9/2024 0.02
10286    VACHW 9/30/2024 0.02 VOYAGER ACQUISITION CORP WARRANTS Blank Checks Finance
10287    VAL 1/2/1998 87 VALARIS LIMITED COMMON SHARES Oil & Gas Production Energy
10288    VALE 5/4/2009 90 VALE S.A. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE COMMON SHARE Metal Mining Basic Materials
10289    VALN 5/6/2021 1.25 VALNEVA SE AMERICAN DEPOSITARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10290    VALQ 1/16/2018 0.83 AMERICAN CENTURY U.S. QUALITY VALUE ETF Exchange Traded Fund Financial
10291    VALU 1/2/1998 3.89 VALUE LINE INC. COMMON STOCK Investment Managers Finance
10292    VAMO 9/9/2015 1.27 CAMBRIA ETF TRUST CAMBRIA VALUE AND MOMENTUM ETF Exchange Traded Fund Financial
10293    VANI 11/19/2014 20 VIVANI MEDICAL INC. COMMON STOCK (DE) Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
10294    VATE 9/20/2021 5.01 INNOVATE CORP. COMMON STOCK Metal Fabrications Industrials
10295    VAW 1/30/2004 31 VANGUARD MATERIALS ETF Exchange Traded Fund Financial
10296    VAXX 11/11/2021 4.75
10297    VB 1/30/2004 68 VANGUARD SMALL-CAP ETF Exchange Traded Fund Financial
10298    VBF 11/16/1998 14 INVESCO BOND FUND COMMON STOCK Trusts Except Educational Religious and Charitable Finance
10299    VBFC 8/11/2014 0.2 VILLAGE BANK AND TRUST FINANCIAL CORP. COMMON STOCK Major Banks Finance
10300    VBK 1/30/2004 45 VANGUARD SMALL-CAP GROWTH ETF Exchange Traded Fund Financial
10301    VBND 10/16/2014 1.74 VIDENT U.S. BOND STRATEGY ETF Exchange Traded Fund Financial
10302    VBNK 9/22/2021 1.18 VERSABANK COMMON SHARES Commercial Banks Finance
10303    VBR 1/30/2004 56 VANGUARD SMALL-CAP VALUE ETF Exchange Traded Fund Financial
10304    VBTX 10/9/2014 22 VERITEX HOLDINGS INC. COMMON STOCK Major Banks Finance
10305    VC 1/10/2011 45 VISTEON CORPORATION COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
10306    VCEB 9/24/2020 1.67 VANGUARD WORLD FUNDS ETF Exchange Traded Fund Financial
10307    VCEL 4/26/2007 39 VERICEL CORPORATION COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10308    VCIC 10/28/2024 0.01 VINE HILL CAPITAL INVESTMENT CORP. CLASS A ORDINARY SHARES
10309    VCICU 9/6/2024 0.04 VINE HILL CAPITAL INVESTMENT CORP. UNIT
10310    VCICW 10/28/2024 0.01 VINE HILL CAPITAL INVESTMENT CORP. WARRANT Blank Checks Finance
10311    VCIG 4/13/2023 4.88 VCI GLOBAL LIMITED ORDINARY SHARE Diversified Commercial Services Consumer Discretionary
10312    VCIT 11/23/2009 54 VANGUARD INTERMEDIATE-TERM CORPORATE BOND ETF Exchange Traded Fund Financial
10313    VCLN 8/4/2021 0.07 VIRTUS DUFF & PHELPS CLEAN ENERGY ETF Exchange Traded Fund Financial
10314    VCLT 11/23/2009 33 VANGUARD LONG-TERM CORPORATE BOND ETF Exchange Traded Fund Financial
10315    VCNX 8/9/2018 6.12
10316    VCR 1/30/2004 28 VANGUARD CONSUMER DISCRETION ETF Exchange Traded Fund Financial
10317    VCRB 12/14/2023 1.15 VANGUARD CORE BOND ETF Exchange Traded Fund Financial
10318    VCSA 12/7/2021 7.56 VACASA INC. CLASS A COMMON STOCK Diversified Commercial Services Finance
10319    VCSH 11/23/2009 58 VANGUARD SHORT-TERM CORPORATE BOND ETF Exchange Traded Fund Financial
10320    VCTR 2/8/2018 15 VICTORY CAPITAL HOLDINGS INC. CLASS A COMMON STOCK Investment Managers Finance
10321    VCV 1/2/1998 20 INVESCO CALIFORNIA VALUE MUNICIPAL INCOME TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
10322    VCYT 10/30/2013 30 VERACYTE INC. COMMON STOCK Medical Specialities Health Care
10323    VDC 1/30/2004 34 VANGUARD CONSUMER STAPLES ETF Exchange Traded Fund Financial
10324    VDE 10/1/2004 62 VANGUARD ENERGY ETF Exchange Traded Fund Financial
10325    VEA 7/26/2007 80 VANGUARD FTSE DEVELOPED MARKETS ETF Exchange Traded Fund Financial
10326    VECO 1/2/1998 85 VEECO INSTRUMENTS INC. COMMON STOCK Industrial Machinery/Components Technology
10327    VEEA 5/6/2021 0.62 VEEA INC. COMMON STOCK Blank Checks Finance
10328    VEEAW 5/6/2021 0.27 VEEA INC. WARRANT Blank Checks Finance
10329    VEEE 7/21/2021 1.81 TWIN VEE POWERCATS CO. COMMON STOCK Marine Transportation Industrials
10330    VEEV 10/16/2013 49 VEEVA SYSTEMS INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
10331    VEGA 9/18/2012 0.63 ADVISORSHARES STAR GLOBAL BUY-WRITE ETF Exchange Traded Fund Financial
10332    VEGI 2/2/2012 4.12 ISHARES MSCI AGRICULTURE PRODUCERS ETF Exchange Traded Fund Financial
10333    VEGN 9/10/2019 0.84 US VEGAN CLIMATE INDEX Exchange Traded Fund Financial
10334    VEL 1/17/2020 2.55 VELOCITY FINANCIAL INC. COMMON STOCK Finance: Consumer Services Finance
10335    VEMY 12/13/2022 0.07 VIRTUS ETF TRUST II VIRTUS STONE HARBOR EMERGING MARKETS HIGH Exchange Traded Fund Financial
10336    VENU 11/27/2024 0.14 VENU HOLDING CORPORATION COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
10337    VEON 4/22/2010 58 VEON LTD. ADS Telecommunications Equipment Telecommunications
10338    VERA 5/16/2007 8.35 VERA THERAPEUTICS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10339    VERB 10/20/2015 18 VERB TECHNOLOGY COMPANY INC. COMMON STOCK Other Consumer Services Consumer Discretionary
10340    VERI 5/12/2017 22 VERITONE INC. COMMON STOCK EDP Services Technology
10341    VERO 10/12/2017 9.1 VENUS CONCEPT INC. COMMON STOCK Medical/Dental Instruments Health Care
10342    VERS 3/17/2022 0.11 PROSHARES TRUST PROSHARES METAVERSE ETF Exchange Traded Fund Financial
10343    VERU 6/9/2009 31 VERU INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10344    VERV 6/17/2021 14 VERVE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10345    VERX 7/29/2020 12 VERTEX INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
10346    VET 3/12/2013 41 VERMILION ENERGY INC. COMMON (CANADA) Oil & Gas Production Energy
10347    VETZ 8/2/2023 0.03 TIDAL ETF TRUST ACADEMY VETERAN IMPACT ETF Exchange Traded Fund Financial
10348    VEU 3/8/2007 76 VANGUARD FTSE ALL WORLD EX US ETF Exchange Traded Fund Financial
10349    VFC 1/2/1998 115 V.F. CORPORATION COMMON STOCK Apparel Consumer Discretionary
10350    VFF 2/21/2019 20 VILLAGE FARMS INTERNATIONAL INC. COMMON SHARES
10351    VFH 1/30/2004 59 VANGUARD FINANCIALS ETF Exchange Traded Fund Financial
10352    VFL 1/2/1998 4.49 ABRDN NATIONAL MUNICIPAL INCOME FUND COMMON STOCK Finance/Investors Services Finance
10353    VFLO 6/26/2023 2.69 VICTORYSHARES FREE CASH FLOW ETF Exchange Traded Fund Financial
10354    VFMF 2/15/2018 1.15 VANGUARD U.S. MULTIFACTOR ETF Exchange Traded Fund Financial
10355    VFMO 2/16/2018 1.85 VANGUARD U.S. MOMENTUM FACTOR ETF Exchange Traded Fund Financial
10356    VFMV 2/15/2018 0.83 VANGUARD U.S. MINIMUM VOLATILITY ETF Exchange Traded Fund Financial
10357    VFQY 2/15/2018 1 VANGUARD U.S. QUALITY FACTOR ETF Exchange Traded Fund Financial
10358    VFS 8/15/2023 6.72 VINFAST AUTO LTD. ORDINARY SHARES Blank Checks Finance
10359    VFSWW 8/15/2023 0.72 VINFAST AUTO LTD. WARRANT
10360    VFVA 2/15/2018 2.2 VANGUARD U.S. VALUE FACTOR ETF Exchange Traded Fund Financial
10361    VG 1/24/2025 0.75 VENTURE GLOBAL INC. CLASS A COMMON STOCK Oil/Gas Transmission Utilities
10362    VGAS 10/4/2021 0.6 VERDE CLEAN FUELS INC. CLASS A COMMON STOCK Major Chemicals Industrials
10363    VGASW 10/4/2021 0.28 VERDE CLEAN FUELS INC. WARRANT Major Chemicals Industrials
10364    VGI 2/24/2012 9.54 VIRTUS GLOBAL MULTI-SECTOR INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
10365    VGIT 11/23/2009 30 VANGUARD INTERMEDIATE-TERM TREASURY ETF Exchange Traded Fund Financial
10366    VGK 3/10/2005 81 VANGUARD FTSEEUROPEAN ETF Exchange Traded Fund Financial
10367    VGLT 1/5/2010 29 VANGUARD LONG-TERM TREASURY ETF Exchange Traded Fund Financial
10368    VGM 1/2/1998 27 INVESCO TRUST FOR INVESTMENT GRADE MUNICIPALS COMMON STOCK (DE) Trusts Except Educational Religious and Charitable Finance
10369    VGSH 11/23/2009 33 VANGUARD SHORT-TERM TREASURY ETF Exchange Traded Fund Financial
10370    VGSR 12/4/2023 0.55 VERT GLOBAL SUSTAINABLE REAL ESTATE ETF Exchange Traded Fund Financial
10371    VGT 1/30/2004 61 VANGUARD INFORMATION TECH ETF Exchange Traded Fund Financial
10372    VGZ 1/2/1998 35 VISTA GOLD CORP COMMON STOCK Precious Metals Basic Materials
10373    VHC 12/26/2007 39 VIRNETX HOLDING CORP COMMON STOCK Multi-Sector Companies Miscellaneous
10374    VHI 1/2/1998 24 VALHI INC. COMMON STOCK Major Chemicals Industrials
10375    VHT 1/30/2004 45 VANGUARD HEALTH CARE ETF Exchange Traded Fund Financial
10376    VIASP 3/22/2017 1.88 VIA RENEWABLES INC. 8.75% SERIES A FIXED-TO-FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK Power Generation Utilities
10377    VIAV 7/6/1999 121 VIAVI SOLUTIONS INC. COMMON STOCK Semiconductors Technology
10378    VICE 12/13/2017 0.58 ADVISORSHARES TRUST ADVISORSHARES VICE ETF Exchange Traded Fund Financial
10379    VICI 1/2/2018 35 VICI PROPERTIES INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10380    VICR 1/2/1998 44 VICOR CORPORATION COMMON STOCK Industrial Machinery/Components Technology
10381    VIDI 10/30/2013 3.07 VIDENT INTERNATIONAL EQUITY STRATEGY ETF Exchange Traded Fund Financial
10382    VIG 5/2/2006 74 VANGUARD DIV APPRECIATION ETF Exchange Traded Fund Financial
10383    VIGI 3/2/2016 18 VANGUARD INTERNATIONAL DIVIDEND APPRECIATION ETF Exchange Traded Fund Financial
10384    VIGL 1/7/2022 2.85 VIGIL NEUROSCIENCE INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10385    VIK 5/1/2024 3.71 VIKING HOLDINGS LTD ORDINARY SHARES Marine Transportation Consumer Discretionary
10386    VINC 5/27/2020 5.15 VINCERX PHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10387    VINE 12/14/2021 2.68 FRESH VINE WINE INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
10388    VINP 1/28/2021 4.16 VINCI PARTNERS INVESTMENTS LTD. CLASS A COMMON SHARES Investment Managers Finance
10389    VIOG 9/9/2010 4.49 VANGUARD S&P SMALL-CAP 600 GROWTH ETF Exchange Traded Fund Financial
10390    VIOO 9/9/2010 11 VANGUARD S&P SMALL-CAP 600 ETF Exchange Traded Fund Financial
10391    VIOT 9/25/2018 7.38 VIOMI TECHNOLOGY CO. LTD AMERICAN DEPOSITARY SHARES Consumer Electronics/Appliances Consumer Discretionary
10392    VIOV 9/9/2010 6.81 VANGUARD S&P SMALL-CAP 600 VALUE ETF Exchange Traded Fund Financial
10393    VIPS 3/23/2012 59 VIPSHOP HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
10394    VIR 10/11/2019 20 VIR BIOTECHNOLOGY INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10395    VIRC 6/20/2007 5.99 VIRCO MANUFACTURING CORPORATION COMMON STOCK Industrial Specialties Consumer Discretionary
10396    VIRT 4/16/2015 41 VIRTU FINANCIAL INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
10397    VIRX 3/16/2011 27
10398    VIS 10/22/2004 30 VANGUARD INDUSTRIALS ETF Exchange Traded Fund Financial
10399    VISL 4/24/2012 24
10400    VIST 3/7/2008 15 VISTA ENERGY S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE SERIES A SHARE WITH NO PAR VALUE Oil & Gas Production Energy
10401    VITL 1/2/1998 20 VITAL FARMS INC. COMMON STOCK Packaged Foods Consumer Staples
10402    VIV 3/31/2006 85 TELEFONICA BRASIL S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) Telecommunications Equipment Telecommunications
10403    VIVE 6/14/2016 12
10404    VIVK 9/3/2009 2.63 VIVAKOR INC. COMMON STOCK Environmental Services Utilities
10405    VIXM 1/4/2011 11 PROSHARES TRUST VIX MID-TERM FUTURES ETF Exchange Traded Fund Financial
10406    VIXY 1/4/2011 66 PROSHARES TRUST VIX SHORT-TERM FUTURES ETF Exchange Traded Fund Financial
10407    VKI 1/2/1998 23 INVESCO ADVANTAGE MUNICIPAL INCOME TRUST II COMMON SHARES OF BENEFICIAL INTEREST (DE) Finance Companies Finance
10408    VKQ 1/2/1998 27 INVESCO MUNICIPAL TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
10409    VKTX 4/29/2015 33 VIKING THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10410    VLCN 10/6/2021 7.9 VOLCON INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
10411    VLGEA 1/2/1998 11 VILLAGE SUPER MARKET INC. CLASS A COMMON STOCK Food Chains Consumer Staples
10412    VLLU 9/5/2024 0.01 HARBOR ETF TRUST HARBOR ALPHAEDGE LARGE CAP VALUE ETF Exchange Traded Fund Financial
10413    VLN 9/30/2021 5.83 VALENS SEMICONDUCTOR LTD. ORDINARY SHARES Semiconductors Technology
10414    VLO 1/2/1998 125 VALERO ENERGY CORPORATION COMMON STOCK Integrated oil Companies Energy
10415    VLRS 9/18/2013 31 CONTROLADORA VUELA COMPANIA DE AVIACION S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES EACH REPRESENTING TEN (10) ORDINARY PARTICIPATION CERTIFICATES Air Freight/Delivery Services Consumer Discretionary
10416    VLT 1/2/1998 9.23 INVESCO HIGH INCOME TRUST II Trusts Except Educational Religious and Charitable Finance
10417    VLTO 10/4/2023 6.4 VERALTO CORP COMMON STOCK Electrical Products Industrials
10418    VLU 10/25/2012 1.11 SPDR S&P 1500 VALUE TILT ETF Exchange Traded Fund Financial
10419    VLUE 4/18/2013 28 ISHARES MSCI USA VALUE FACTOR ETF Exchange Traded Fund Financial
10420    VLY 1/2/1998 94 VALLEY NATIONAL BANCORP COMMON STOCK Major Banks Finance
10421    VLYPN 8/15/2024 0.19 VALLEY NATIONAL BANCORP 8.250% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES C
10422    VLYPO 10/11/2018 1.56 VALLEY NATIONAL BANCORP 5.50% FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES B Major Banks Finance
10423    VLYPP 10/11/2018 1.49 VALLEY NATIONAL BANCORP 6.25% FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
10424    VMAR 11/24/2020 4.37 VISION MARINE TECHNOLOGIES INC. COMMON SHARES Marine Transportation Industrials
10425    VMAX 6/14/2016 0.41 LATTICE STRATEGIES TRUST HARTFORD US VALUE ETF Exchange Traded Fund Financial
10426    VMBS 11/23/2009 35 VANGUARD MORTGAGE-BACKED SECURITIES ETF Exchange Traded Fund Financial
10427    VMC 1/2/1998 106 VULCAN MATERIALS COMPANY (HOLDING COMPANY) COMMON STOCK Mining & Quarrying of Nonmetallic Minerals (No Fuels) Industrials
10428    VMCA 4/25/2022 0.09
10429    VMCAU 3/1/2022 0.04
10430    VMCAW 4/22/2022 0.08
10431    VMD 1/4/2018 7.77 VIEMED HEALTHCARE INC. COMMON SHARES Misc Health and Biotechnology Services Health Care
10432    VMEO 5/19/2021 15 VIMEO INC. COMMON STOCK Computer Software: Programming Data Processing Technology
10433    VMI 8/30/2002 54 VALMONT INDUSTRIES INC. COMMON STOCK Metal Fabrications Industrials
10434    VMO 1/2/1998 26 INVESCO MUNICIPAL OPPORTUNITY TRUST COMMON STOCK Trusts Except Educational Religious and Charitable Finance
10435    VNAM 12/10/2021 0.42 GLOBAL X FUNDS GLOBAL X MSCI VIETNAM ETF Exchange Traded Fund Financial
10436    VNCE 11/22/2013 13 VINCE HOLDING CORP. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
10437    VNDA 4/12/2006 55 VANDA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10438    VNET 4/21/2011 44 VNET GROUP INC. AMERICAN DEPOSITARY SHARES Computer Software: Programming Data Processing Technology
10439    VNLA 11/22/2016 14 JANUS HENDERSON SHORT DURATION INCOME ETF Exchange Traded Fund Financial
10440    VNM 8/14/2009 36 VANECK VIETNAM ETF Exchange Traded Fund Financial
10441    VNO 1/2/1998 105 VORNADO REALTY TRUST COMMON STOCK Real Estate Investment Trusts Real Estate
10442    VNO.L 2/1/2013 5.11 VORNADO REALTY TRUST PFD SER L %
10443    VNO.M 12/15/2017 3.51 VORNADO REALTY TRUST 5.25% SERIES M CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST LIQUIDATION PREFERENCE $25.00 PER SHARE NO PAR VALUE PER SHARE
10444    VNO.N 12/3/2020 1.99 VORNADO REALTY TRUST 5.25% SERIES N CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST LIQUIDATION PREFERENCE $25.00 PER SHARE
10445    VNO.O 9/29/2021 1.66 VORNADO REALTY TRUST 4.45% SERIES O CUMULATIVE REDEEMABLE PREFERRED SHARES LIQUIDATION PREFERENCE $25.00 PER SHARE
10446    VNOM 6/18/2014 32 VIPER ENERGY INC. CLASS A COMMON STOCK Oil & Gas Production Energy
10447    VNQ 10/1/2004 87 VANGUARD REAL ESTATE ETF Exchange Traded Fund Financial
10448    VNQI 11/1/2010 35 VANGUARD GLOBAL EX-U.S. REAL ESTATE ETF Exchange Traded Fund Financial
10449    VNRX 5/9/2008 8.94 VOLITIONRX LIMITED COMMON STOCK Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
10450    VNSE 9/17/2020 0.2 NATIXIS VAUGHAN NELSON SELECT ETF Exchange Traded Fund Financial
10451    VNT 9/24/2020 19 VONTIER CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
10452    VO 1/30/2004 65 VANGUARD MID-CAP ETF Exchange Traded Fund Financial
10453    VOC 5/6/2011 14 VOC ENERGY TRUST UNITS OF BENEFICIAL INTEREST Oil & Gas Production Energy
10454    VOD 1/2/1998 134 VODAFONE GROUP PLC AMERICAN DEPOSITARY SHARES Telecommunications Equipment Telecommunications
10455    VOE 8/25/2006 47 VANGUARD MID-CAP VALUE ETF Exchange Traded Fund Financial
10456    VOLT 7/26/2007 7.18 TEMA ELECTRIFICATION ETF Exchange Traded Fund Financial
10457    VONE 9/22/2010 10 VANGUARD RUSSELL 1000 ETF Exchange Traded Fund Financial
10458    VONG 9/22/2010 23 VANGUARD RUSSELL 1000 GROWTH ETF Exchange Traded Fund Financial
10459    VONV 9/22/2010 18 VANGUARD RUSSELL 1000 VALUE ETF Exchange Traded Fund Financial
10460    VOO 9/9/2010 73 VANGUARD S&P 500 ETF Exchange Traded Fund Financial
10461    VOOG 9/9/2010 19 VANGUARD S&P 500 GROWTH ETF Exchange Traded Fund Financial
10462    VOOV 9/9/2010 12 VANGUARD S&P 500 VALUE ETF Exchange Traded Fund Financial
10463    VOR 2/5/2021 6.21 VOR BIOPHARMA INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10464    VOT 8/25/2006 35 VANGUARD MID-CAP GROWTH ETF Exchange Traded Fund Financial
10465    VOTE 6/23/2021 1.58 TCW TRANSFORM 500 ETF Exchange Traded Fund Financial
10466    VOX 9/29/2004 29 VANGUARD COMMUNICATION SERVICES ETF Exchange Traded Fund Financial
10467    VOXR 10/10/2022 2.43 VOX ROYALTY CORP. COMMON STOCK Precious Metals Basic Materials
10468    VOXX 1/13/2000 40 VOXX INTERNATIONAL CORPORATION CLASS A COMMON STOCK Electronic Components Technology
10469    VOYA 5/2/2013 52 VOYA FINANCIAL INC. COMMON STOCK Life Insurance Finance
10470    VOYA.B 6/20/2019 2.93 VOYA FINANCIAL INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.35% FIXED-RATE RESET NON-CUMULATIVE PREFERRED STOCK SERIES B
10471    VPC 2/8/2019 1.54 VIRTUS PRIVATE CREDIT STRATEGY ETF Exchange Traded Fund Financial
10472    VPG 6/29/2010 13 VISHAY PRECISION GROUP INC. COMMON STOCK Electrical Products Technology
10473    VPL 3/10/2005 53 VANGUARD FTSE PACIFIC ETF Exchange Traded Fund Financial
10474    VPLS 12/7/2023 0.79 VANGUARD CORE PLUS BOND ETF Exchange Traded Fund Financial
10475    VPU 3/13/2007 42 VANGUARD UTILITIES ETF Exchange Traded Fund Financial
10476    VPV 1/2/1998 12 INVESCO PENNSYLVANIA VALUE MUNICIPAL INCOME TRUST COMMON STOCK (DE) Trusts Except Educational Religious and Charitable Finance
10477    VRA 10/21/2010 41 VERA BRADLEY INC. COMMON STOCK Apparel Consumer Discretionary
10478    VRAI 2/8/2019 1.17 VIRTUS REAL ASSET INCOME ETF Exchange Traded Fund Financial
10479    VRAR 7/1/2021 4.29 THE GLIMPSE GROUP INC. COMMON STOCK EDP Services Technology
10480    VRAX 7/21/2022 3.81 VIRAX BIOLABS GROUP LIMITED ORDINARY SHARES Biotechnology: In Vitro & In Vivo Diagnostic Substances Health Care
10481    VRCA 6/15/2018 8.68 VERRICA PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10482    VRDN 10/1/2007 19 VIRIDIAN THERAPEUTICS INC. COMMON STOCK Medical Specialities Health Care
10483    VRE 4/27/2007 73 VERIS RESIDENTIAL INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10484    VREX 1/23/2017 20 VAREX IMAGING CORPORATION COMMON STOCK Industrial Machinery/Components Technology
10485    VRIG 9/22/2016 7.95 INVESCO VARIABLE RATE INVESTMENT GRADE ETF Exchange Traded Fund Financial
10486    VRM 6/9/2020 18 VROOM INC. COMMON STOCK
10487    VRME 5/23/2007 3.71 VERIFYME INC. COMMON STOCK EDP Services Technology
10488    VRMEW 6/18/2020 0.21 VERIFYME INC. WARRANT EDP Services Technology
10489    VRN 1/22/2014 48 VEREN INC. COMMON SHARES Oil & Gas Production Energy
10490    VRNA 4/27/2017 11 VERONA PHARMA PLC AMERICAN DEPOSITARY SHARE Biotechnology: Pharmaceutical Preparations Health Care
10491    VRNS 2/28/2014 34 VARONIS SYSTEMS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10492    VRNT 5/16/2002 56 VERINT SYSTEMS INC. COMMON STOCK EDP Services Technology
10493    VRP 5/1/2014 25 INVESCO VARIABLE RATE PREFERRED ETF Exchange Traded Fund Financial
10494    VRPX 2/17/2021 4.81 VIRPAX PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10495    VRRM 3/24/2017 24 VERRA MOBILITY CORPORATION CLASS A COMMON STOCK Transportation Services Consumer Discretionary
10496    VRSK 10/7/2009 65 VERISK ANALYTICS INC. COMMON STOCK EDP Services Technology
10497    VRSN 1/30/1998 115 VERISIGN INC. COMMON STOCK EDP Services Technology
10498    VRT 8/2/2018 27 VERTIV HOLDINGS LLC CLASS A COMMON STOCK Industrial Machinery/Components Technology
10499    VRTS 1/2/2009 18 VIRTUS INVESTMENT PARTNERS INC. COMMON STOCK Investment Managers Finance
10500    VRTX 1/2/1998 110 VERTEX PHARMACEUTICALS INCORPORATED COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10501    VS 1/18/2017 5.57 VERSUS SYSTEMS INC. COMMON SHARES EDP Services Technology
10502    VSAT 1/2/1998 71 VIASAT INC. COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
10503    VSCO 7/21/2021 16 VICTORIAS SECRET & CO. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
10504    VSDA 4/18/2017 1.6 VICTORYSHARES DIVIDEND ACCELERATOR ETF Exchange Traded Fund Financial
10505    VSEC 10/16/2002 14 VSE CORPORATION COMMON STOCK Military/Government/Technical Consumer Discretionary
10506    VSEE 12/31/2021 1.25 VSEE HEALTH INC. COMMON STOCK Medical/Nursing Services Health Care
10507    VSEEW 12/31/2021 0.18 VSEE HEALTH INC. WARRANT Medical/Nursing Services Health Care
10508    VSGX 9/20/2018 8.59 VANGUARD ESG INTERNATIONAL STOCK ETF Exchange Traded Fund Financial
10509    VSH 1/2/1998 117 VISHAY INTERTECHNOLOGY INC. COMMON STOCK Electrical Products Technology
10510    VSHY 11/29/2023 0.02 VIRTUS NEWFLEET SHORT DURATION HIGH YIELD BOND ETF Exchange Traded Fund Financial
10511    VSLU 4/30/2021 0.45 APPLIED FINANCE VALUATION LARGE CAP ETF Exchange Traded Fund Financial
10512    VSME 9/28/2023 2.22 VS MEDIA HOLDINGS LIMITED CLASS A ORDINARY SHARES Publishing Consumer Discretionary
10513    VSMV 6/26/2017 0.71 VICTORYSHARES US MULTI-FACTOR MINIMUM VOLATILITY ETF Exchange Traded Fund Financial
10514    VSS 4/6/2009 30 VANGUARD FTSE ALL-WLD EX-US SMCP IDX ETF Exchange Traded Fund Financial
10515    VSSYW 1/15/2021 0.3 VERSUS SYSTEMS INC. CLASS A WARRANTS EDP Services Technology
10516    VST 5/10/2017 40 VISTRA CORP. COMMON STOCK Electric Utilities: Central Utilities
10517    VSTA 7/31/2020 2.94 VASTA PLATFORM LIMITED CLASS A ORDINARY SHARES Other Consumer Services Real Estate
10518    VSTE 12/19/2023 1.47 VAST RENEWABLES LIMITED ORDINARY SHARES Building Products Industrials
10519    VSTEW 12/19/2023 0.16 VAST RENEWABLES LIMITED WARRANTS Building Products Industrials
10520    VSTM 1/27/2012 36 VERASTEM INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10521    VSTS 10/3/2023 6.48 VESTIS CORPORATION COMMON STOCK
10522    VT 6/26/2008 55 VANGUARD TOTAL WORLD STOCK INDEX ETF Exchange Traded Fund Financial
10523    VTAK 8/18/2023 1.36 CATHETER PRECISION INC. COMMON STOCK Medical/Dental Instruments Health Care
10524    VTC 11/9/2017 4.29 VANGUARD TOTAL CORPORATE BOND ETF Exchange Traded Fund Financial
10525    VTEB 8/25/2015 32 VANGUARD TAX-EXEMPT BOND ETF Exchange Traded Fund Financial
10526    VTEC 1/30/2024 0.53 VANGUARD CALIFORNIA TAX-EXEMPT BOND ETF Exchange Traded Fund Financial
10527    VTEI 1/30/2024 0.42 VANGUARD TAX-MANAGED FUNDS VANGUARD INTERMEDIATE-TERM TAX-EXEM Exchange Traded Fund Financial
10528    VTES 3/9/2023 1.09 VANGUARD WELLINGTON FUND VANGUARD SHORT-TERM TAX EXEMPT BOND E Exchange Traded Fund Financial
10529    VTEX 7/21/2021 9.63 VTEX CLASS A COMMON SHARES Computer Software: Prepackaged Software Technology
10530    VTGN 5/11/2016 19 VISTAGEN THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10531    VTHR 9/22/2010 3.59 VANGUARD RUSSELL 3000 ETF Exchange Traded Fund Financial
10532    VTI 6/15/2001 95 VANGUARD TOTAL STOCK MARKET ETF Exchange Traded Fund Financial
10533    VTIP 10/16/2012 38 VANGUARD SHORT-TERM INFLATION-PROTECTED SECURITIES INDEX FUND Exchange Traded Fund Financial
10534    VTLE 12/15/2011 52 VITAL ENERGY INC. COMMON STOCK PAR VALUE $0.01 PER SHARE Oil & Gas Production Energy
10535    VTMX 6/30/2023 2.73 CORPORACION INMOBILIARIA VESTA S.A.B DE C.V. AMERICAN DEPOSITARY SHARES EACH REPRESENTING TEN (10) COMMON SHARES Real Estate Finance
10536    VTN 1/2/1998 11 INVESCO TRUST FOR INVESTMENT GRADE NEW YORK MUNICIPALS COMMON STOCK Finance Companies Finance
10537    VTOL 1/22/2013 17 BRISTOW GROUP INC. COMMON STOCK Transportation Services Consumer Discretionary
10538    VTR 5/1/1998 103 VENTAS INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10539    VTRS 11/12/2020 23 VIATRIS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10540    VTS 1/17/2023 5.3 VITESSE ENERGY INC. COMMON STOCK Oil & Gas Production Energy
10541    VTSI 3/29/2018 4.81 VIRTRA INC. COMMON STOCK Miscellaneous manufacturing industries Consumer Discretionary
10542    VTV 1/30/2004 77 VANGUARD VALUE ETF Exchange Traded Fund Financial
10543    VTVT 7/30/2015 12 VTV THERAPEUTICS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10544    VTWG 9/22/2010 5.35 VANGUARD RUSSELL 2000 GROWTH ETF Exchange Traded Fund Financial
10545    VTWO 9/22/2010 30 VANGUARD RUSSELL 2000 ETF Exchange Traded Fund Financial
10546    VTWV 9/22/2010 5.61 VANGUARD RUSSELL 2000 VALUE ETF Exchange Traded Fund Financial
10547    VTYX 10/21/2021 10 VENTYX BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10548    VUG 1/30/2004 75 VANGUARD GROWTH ETF Exchange Traded Fund Financial
10549    VUSB 4/7/2021 9.84 VANGUARD ULTRA-SHORT BOND ETF Exchange Traded Fund Financial
10550    VUSE 1/22/2014 2.3 VIDENT U.S. EQUITY STRATEGY ETF Exchange Traded Fund Financial
10551    VUZI 4/6/2010 30 VUZIX CORPORATION COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
10552    VV 1/30/2004 49 VANGUARD LARGE-CAP ETF Exchange Traded Fund Financial
10553    VVOS 12/11/2020 5.22 VIVOS THERAPEUTICS INC. COMMON STOCK Medical/Dental Instruments Health Care
10554    VVPR 12/29/2016 8.44 VIVOPOWER INTERNATIONAL PLC ORDINARY SHARES Power Generation Utilities
10555    VVR 6/24/1998 69 INVESCO SENIOR INCOME TRUST COMMON STOCK (DE) Trusts Except Educational Religious and Charitable Finance
10556    VVV 9/23/2016 35 VALVOLINE INC. COMMON STOCK Major Chemicals Industrials
10557    VVX 9/29/2014 13 V2X INC. COMMON STOCK Diversified Commercial Services Consumer Discretionary
10558    VWID 7/20/2020 0.13 VIRTUS WMC INTERNATIONAL DIVIDEND ETF Exchange Traded Fund Financial
10559    VWO 3/10/2005 92 VANGUARD FTSE EMERGING MARKETS ETF Exchange Traded Fund Financial
10560    VWOB 6/4/2013 21 VANGUARD EMERGING MARKETS GOVERNMENT BOND ETF Exchange Traded Fund Financial
10561    VXF 1/4/2002 49 VANGUARD EXTENDED MARKET ETF Exchange Traded Fund Financial
10562    VXRT 11/9/2012 30 VAXART INC COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10563    VXUS 1/28/2011 50 VANGUARD TOTAL INTERNATIONAL STOCK ETF Exchange Traded Fund Financial
10564    VXX 1/30/2018 50 BARCLAYS PLC Exchange Traded Fund Financial
10565    VXZ 1/25/2018 3.69 BARCLAYS PLC Exchange Traded Fund Financial
10566    VYGR 11/11/2015 22 VOYAGER THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10567    VYM 11/16/2006 65 VANGUARD HIGH DIVIDEND YIELD ETF Exchange Traded Fund Financial
10568    VYMI 3/2/2016 20 VANGUARD INTERNATIONAL HIGH DIVIDEND YIELD ETF Exchange Traded Fund Financial
10569    VYNE 1/25/2018 14 VYNE THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10570    VYX 4/30/2007 75 NCR VOYIX CORPORATION COMMON STOCK Office Equipment/Supplies/Services Miscellaneous
10571    VZ 7/3/2000 135
10572    VZLA 1/21/2022 5.15 VIZSLA SILVER CORP. COMMON SHARES Precious Metals Basic Materials
10573    W 10/2/2014 47 WAYFAIR INC. CLASS A COMMON STOCK Catalog/Specialty Distribution Consumer Discretionary
10574    WAB 1/2/1998 91 WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORPORATION COMMON STOCK Railroads Industrials
10575    WABC 1/2/1998 55 WESTAMERICA BANCORPORATION COMMON STOCK Major Banks Finance
10576    WABF 9/21/2023 0.06 WESTERN ASSET BOND ETF Exchange Traded Fund Financial
10577    WAFD 1/2/1998 89 WAFD INC. COMMON STOCK Major Banks Finance
10578    WAFDP 2/11/2021 1.83 WAFD INC. DEPOSITARY SHARES Major Banks Finance
10579    WAFU 4/30/2019 3.35 WAH FU EDUCATION GROUP LIMITED ORDINARY SHARES Other Consumer Services Real Estate
10580    WAI 4/18/2023 1.8 TOP KINGWIN LTD CLASS A ORDINARY SHARES Business Services Consumer Discretionary
10581    WAL 7/1/2005 70 WESTERN ALLIANCE BANCORPORATION COMMON STOCK (DE) Major Banks Finance
10582    WAL.A 9/27/2021 1.74 WESTERN ALLIANCE BANCORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.250% FIXED-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A
10583    WALD 5/12/2021 1.73 WALDENCAST PLC CLASS A ORDINARY SHARE Package Goods/Cosmetics Consumer Discretionary
10584    WALDW 5/11/2021 0.24 WALDENCAST PLC WARRANT Package Goods/Cosmetics Consumer Discretionary
10585    WANT 11/29/2018 3.72 DIREXION DAILY CONSUMER DISCRETIONARY BULL 3X SHARES Exchange Traded Fund Financial
10586    WASH 1/2/1998 21 WASHINGTON TRUST BANCORP INC. COMMON STOCK Major Banks Finance
10587    WAT 1/2/1998 96 WATERS CORPORATION COMMON STOCK Biotechnology: Laboratory Analytical Instruments Industrials
10588    WATT 3/28/2014 27 ENERGOUS CORPORATION COMMON STOCK Radio And Television Broadcasting And Communications Equipment Technology
10589    WAVE 1/23/2007 8.93 ECO WAVE POWER GLOBAL AB (PUBL) AMERICAN DEPOSITARY SHARES Electric Utilities: Central Utilities
10590    WAVS 4/11/2022 0.13
10591    WAVSW 4/11/2022 0.05
10592    WAY 6/7/2024 2.64 WAYSTAR HOLDING CORP. COMMON STOCK EDP Services Technology
10593    WB 4/17/2014 45 WEIBO CORPORATION AMERICAN DEPOSITARY SHARE Computer Software: Programming Data Processing Technology
10594    WBA 1/2/1998 136 WALGREENS BOOTS ALLIANCE INC. COMMON STOCK Retail-Drug Stores and Proprietary Stores Consumer Staples
10595    WBAT 2/17/2022 0.09 WISDOMTREE TRUST WISDOMTREE BATTERY VALUE CHAIN AND INNOVATION Exchange Traded Fund Financial
10596    WBD 2/28/2002 32 WARNER BROS. DISCOVERY INC. SERIES A COMMON STOCK Cable & Other Pay Television Services Telecommunications
10597    WBIF 8/27/2014 1.08 WBI BULLBEAR VALUE 3000 ETF Exchange Traded Fund Financial
10598    WBIG 8/27/2014 1.35 WBI BULLBEAR YIELD 3000 ETF Exchange Traded Fund Financial
10599    WBIL 8/27/2014 1.06 WBI BULLBEAR QUALITY 3000 ETF Exchange Traded Fund Financial
10600    WBIY 12/22/2016 1.36 WBI POWER FACTOR HIGH DIVIDEND ETF Exchange Traded Fund Financial
10601    WBND 10/4/2018 1.06 WESTERN ASSET TOTAL RETURN ETF Exchange Traded Fund Financial
10602    WBS 10/17/2002 88 WEBSTER FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
10603    WBS.F 12/20/2017 1.59 WEBSTER FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF 5.25% SERIES F NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10604    WBS.G 2/2/2022 0.63 WEBSTER FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 6.50% SERIES G NON-CUMULATIVE PERPETUAL PREFERRED STOCK
10605    WBTN 6/27/2024 1.89 WEBTOON ENTERTAINMENT INC. COMMON STOCK Publishing Consumer Discretionary
10606    WBX 4/19/2021 9.14 WALLBOX N.V. CLASS A ORDINARY SHARES Industrial Specialties Consumer Discretionary
10607    WCBR 1/28/2021 1.89 WISDOMTREE CYBERSECURITY FUND Exchange Traded Fund Financial
10608    WCC 5/12/1999 84 WESCO INTERNATIONAL INC. COMMON STOCK Telecommunications Equipment Consumer Discretionary
10609    WCC.A 6/22/2020 2.76 WESCO INTERNATIONAL INC. DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF SERIES A FIXED-RATE RESET CUMULATIVE PERPETUAL PREFERRED STOCK
10610    WCEO 1/9/2023 0.03 HYPATIA WOMEN CEO ETF Exchange Traded Fund Financial
10611    WCFB 5/23/2007 0.27
10612    WCLD 9/6/2019 13 WISDOMTREE CLOUD COMPUTING FUND Exchange Traded Fund Financial
10613    WCME 10/11/2024 0.01 FIRST TRUST EXCHANGE-TRADED FUND FIRST TRUST WCM DEVELOPING WO Exchange Traded Fund Financial
10614    WCMI 10/7/2024 0.1 FIRST TRUST EXCHANGE-TRADED FUND FIRST TRUST WCM INTERNATIONAL Exchange Traded Fund Financial
10615    WCN 10/24/2002 92 WASTE CONNECTIONS INC. COMMON SHARES Environmental Services Utilities
10616    WCT 10/2/2024 1.21 WELLCHANGE HOLDINGS COMPANY LIMITED ORDINARY SHARES Computer Software: Prepackaged Software Technology
10617    WD 12/15/2010 30 WALKER & DUNLOP INC COMMON STOCK Finance: Consumer Services Finance
10618    WDAY 10/12/2012 56 WORKDAY INC. CLASS A COMMON STOCK EDP Services Technology
10619    WDC 1/2/1998 126 WESTERN DIGITAL CORPORATION COMMON STOCK Electronic Components Technology
10620    WDCVV 2/13/2025 0.01
10621    WDFC 1/2/1998 40 WD-40 COMPANY COMMON STOCK Major Chemicals Industrials
10622    WDH 5/7/2021 6.9 WATERDROP INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THE RIGHT TO RECEIVE 10 CLASS A ORDINARY SHARES) Specialty Insurers Finance
10623    WDI 6/25/2021 7.17 WESTERN ASSET DIVERSIFIED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
10624    WDIV 5/30/2013 3.54 SPDR S&P GLOBAL DIVIDEND Exchange Traded Fund Financial
10625    WDS 6/2/2022 12 WOODSIDE ENERGY GROUP LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE ORDINARY SHARE Oil & Gas Production Energy
10626    WDTE 9/19/2023 2.18 DEFIANCE S&P 500 ENHANCED OPTIONS & 0DTE INCOME ETF Exchange Traded Fund Financial
10627    WEA 5/10/2002 14 WESTERN ASSET BOND FUND SHARE OF BENEFICIAL INTEREST Trusts Except Educational Religious and Charitable Finance
10628    WEAT 9/19/2011 19 TEUCRIUM WHEAT FUND ETV Exchange Traded Fund Financial
10629    WEAV 11/11/2021 7.68 WEAVE COMMUNICATIONS INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10630    WEBL 11/7/2019 14 DIREXION DAILY DOW JONES INTERNET BULL 3X SHARES Exchange Traded Fund Financial
10631    WEBS 11/7/2019 10 DIREXION DAILY DOW JONES INTERNET BEAR 3X SHARES Exchange Traded Fund Financial
10632    WEC 1/2/1998 109 WEC ENERGY GROUP INC. COMMON STOCK Power Generation Utilities
10633    WEED 4/20/2022 0.28 LISTED FUNDS TRUST ROUNDHILL CANNABIS ETF Exchange Traded Fund Financial
10634    WEEI 5/1/2024 0.05 WESTWOOD SALIENT ENHANCED ENERGY INCOME ETF Exchange Traded Fund Financial
10635    WEEL 5/16/2024 0.07 TIDAL TRUST II PEERLESS OPTION INCOME WHEEL ETF Exchange Traded Fund Financial
10636    WELL 4/30/2007 85 WELLTOWER INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10637    WEN 1/2/1998 121 WENDY'S COMPANY (THE) COMMON STOCK Restaurants Consumer Discretionary
10638    WERN 1/2/1998 98 WERNER ENTERPRISES INC. COMMON STOCK Trucking Freight/Courier Services Industrials
10639    WES 12/10/2012 46 WESTERN MIDSTREAM PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Natural Gas Distribution Utilities
10640    WEST 2/25/2008 8.3 WESTROCK COFFEE COMPANY COMMON STOCK Beverages (Production/Distribution) Consumer Staples
10641    WETH 10/6/2020 1.27 WETOUCH TECHNOLOGY INC. COMMON STOCK Computer peripheral equipment Technology
10642    WETO 2/27/2025 0.03 WEBUS INTERNATIONAL LIMITED ORDINARY SHARES Other Transportation Industrials
10643    WEX 2/16/2005 61 WEX INC. COMMON STOCK Business Services Consumer Discretionary
10644    WEYS 2/4/2002 8.18 WEYCO GROUP INC. COMMON STOCK Apparel Consumer Staples
10645    WF 10/2/2003 8.02 WOORI FINANCIAL GROUP INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THREE (3) SHARES OF COMMON STOCK) Commercial Banks Finance
10646    WFC 1/2/1998 149 WELLS FARGO & COMPANY COMMON STOCK Major Banks Finance
10647    WFC.A 10/30/2020 5.28 WELLS FARGO & COMPANY DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL CLASS A PREFERRED STOCK SERIES AA
10648    WFC.C 2/3/2021 4.88 WELLS FARGO & COMPANY DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL CLASS A PREFERRED STOCK SERIES CC
10649    WFC.D 7/29/2021 4.86 WELLS FARGO & COMPANY DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL CLASS A PREFERRED STOCK SERIES DD
10650    WFC.L 1/2/2009 2.79 WELLS FARGO & COMPANY 7.50% NON-CUMULATIVE PERPETUAL CONVERTIBLE CLASS A PREFERRED STOCK SERIES L
10651    WFC.Y 4/25/2017 6.24 WELLS FARGO & COMPANY DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL CLASS A PREFERRED STOCK SERIES Y
10652    WFC.Z 1/28/2020 9.73 WELLS FARGO & COMPANY DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF NON-CUMULATIVE PERPETUAL CLASS A PREFERRED STOCK SERIES Z
10653    WFCF 1/5/2021 0.44 WHERE FOOD COMES FROM INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10654    WFG 2/1/2021 11 WEST FRASER TIMBER CO. LTD COMMON STOCK Forest Products Basic Materials
10655    WFH 6/25/2020 1.32 DIREXION WORK FROM HOME ETF Exchange Traded Fund Financial
10656    WFRD 6/2/2021 14 WEATHERFORD INTERNATIONAL PLC ORDINARY SHARES Metal Fabrications Industrials
10657    WGMI 2/8/2022 5.75 COINSHARES VALKYRIE BITCOIN MINERS ETF Exchange Traded Fund Financial
10658    WGO 1/2/1998 85 WINNEBAGO INDUSTRIES INC. COMMON STOCK Homebuilding Industrials
10659    WGRX 2/21/2025 0.05 WELLGISTICS HEALTH INC. COMMON STOCK Other Pharmaceuticals Health Care
10660    WGS 11/4/2020 14 GENEDX HOLDINGS CORP. CLASS A COMMON STOCK Retail: Computer Software & Peripheral Equipment Technology
10661    WGSWW 11/2/2020 1.37 GENEDX HOLDINGS CORP. WARRANT Retail: Computer Software & Peripheral Equipment Technology
10662    WH 5/21/2018 27 WYNDHAM HOTELS & RESORTS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
10663    WHD 2/8/2018 24 CACTUS INC. CLASS A COMMON STOCK Metal Fabrications Industrials
10664    WHF 12/6/2012 12 WHITEHORSE FINANCE INC. COMMON STOCK Finance Companies Finance
10665    WHFCL 8/28/2023 0.16 WHITEHORSE FINANCE INC. 7.875% NOTES DUE 2028
10666    WHG 7/1/2002 10 WESTWOOD HOLDINGS GROUP INC COMMON STOCK Investment Managers Finance
10667    WHLM 2/19/2009 1.64
10668    WHLR 11/19/2012 12 WHEELER REAL ESTATE INVESTMENT TRUST INC. COMMON STOCK Real Estate Investment Trusts Real Estate
10669    WHLRD 9/16/2016 0.98 WHEELER REAL ESTATE INVESTMENT TRUST INC. SERIES D CUMULATIVE PREFERRED STOCK Real Estate Investment Trusts Real Estate
10670    WHLRL 9/3/2021 0.02 WHEELER REAL ESTATE INVESTMENT TRUST INC. 7.00% SENIOR SUBORDINATED CONVERTIBLE NOTES DUE 2031 Real Estate Investment Trusts Real Estate
10671    WHLRP 5/1/2014 1.04 WHEELER REAL ESTATE INVESTMENT TRUST INC. CLASS B PREFERRED STOCK Real Estate Investment Trusts Real Estate
10672    WHR 1/2/1998 115 WHIRLPOOL CORPORATION COMMON STOCK Consumer Electronics/Appliances Consumer Discretionary
10673    WIA 9/29/2003 18 WESTERN ASSET INFLATION-LINKED INCOME FUND Trusts Except Educational Religious and Charitable Finance
10674    WILC 3/14/2006 3.55 G. WILLI-FOOD INTERNATIONAL LTD. ORDINARY SHARES Food Distributors Consumer Discretionary
10675    WIMI 4/1/2020 16 WIMI HOLOGRAM CLOUD INC. AMERICAN DEPOSITARY SHARE Computer Software: Prepackaged Software Technology
10676    WINA 11/19/2001 4.61 WINMARK CORPORATION COMMON STOCK Other Specialty Stores Consumer Discretionary
10677    WINC 2/8/2019 0.35 WESTERN ASSET SHORT DURATION INCOME ETF Exchange Traded Fund Financial
10678    WING 6/12/2015 35 WINGSTOP INC. COMMON STOCK Restaurants Consumer Discretionary
10679    WINN 2/3/2022 1.58 HARBOR ETF TRUST HARBOR LONG-TERM GROWERS ETF Exchange Traded Fund Financial
10680    WINT 5/20/2020 8 WINDTREE THERAPEUTICS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10681    WINV 10/4/2021 0.06 WINVEST ACQUISITION CORP. COMMON STOCK Blank Checks Finance
10682    WINVR 10/4/2021 0.1
10683    WINVU 9/15/2021 0.04 WINVEST ACQUISITION CORP. UNIT Blank Checks Finance
10684    WINVW 10/6/2021 0.11
10685    WIP 3/19/2008 18 SPDR FTSE INTERNATIONAL GOVERNMENT INFLATION-PROTECTED BOND ET Exchange Traded Fund Financial
10686    WISA 7/27/2018 13
10687    WISE 12/8/2023 0.27 THEMES GENERATIVE ARTIFICIAL INTELLIGENCE ETF Exchange Traded Fund Financial
10688    WIT 10/19/2000 82 WIPRO LIMITED COMMON STOCK EDP Services Technology
10689    WIW 2/25/2004 31 WESTERN ASSET INFLATION-LINKED OPPORTUNITIES & INCOME FUND Finance Companies Finance
10690    WIX 11/6/2013 38 WIX.COM LTD. ORDINARY SHARES Computer Software: Programming Data Processing Technology
10691    WK 12/12/2014 24 WORKIVA INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
10692    WKC 4/30/2007 66 WORLD KINECT CORPORATION COMMON STOCK Oil Refining/Marketing Energy
10693    WKEY 12/27/2019 6.39 WISEKEY INTERNATIONAL HOLDING LTD AMERICAN DEPOSITARY SHARES EDP Services Technology
10694    WKHS 1/7/2016 36 WORKHORSE GROUP INC. COMMON STOCK Auto Manufacturing Consumer Discretionary
10695    WKSP 8/2/2007 7.48 WORKSPORT LTD. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
10696    WLAC 12/30/2024 0.01 WILLOW LANE ACQUISITION CORP. CLASS A ORDINARY SHARES
10697    WLACU 11/8/2024 0.04
10698    WLACW 1/2/2025 0.01 WILLOW LANE ACQUISITION CORP. WARRANTS
10699    WLDN 11/21/2006 13 WILLDAN GROUP INC. COMMON STOCK Military/Government/Technical Consumer Discretionary
10700    WLDR 1/17/2018 0.37 AFFINITY WORLD LEADERS EQUITY ETF Exchange Traded Fund Financial
10701    WLDS 9/13/2022 3.93 WEARABLE DEVICES LTD. ORDINARY SHARE Computer Communications Equipment Telecommunications
10702    WLDSW 9/13/2022 0.19 WEARABLE DEVICES LTD. WARRANT Computer Communications Equipment Telecommunications
10703    WLFC 1/2/1998 7.5 WILLIS LEASE FINANCE CORPORATION COMMON STOCK Industrial Specialties Consumer Discretionary
10704    WLGS 4/20/2023 1.97 WANG & LEE GROUP INC. ORDINARY SHARES Engineering & Construction Consumer Discretionary
10705    WLK 8/12/2004 78 WESTLAKE CORPORATION COMMON STOCK Major Chemicals Industrials
10706    WLKP 7/30/2014 10 WESTLAKE CHEMICAL PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Major Chemicals Industrials
10707    WLTG 12/7/2021 0.1 ETF OPPORTUNITIES TRUST WEALTHTRUST DBS LONG TERM GROWTH ETF Exchange Traded Fund Financial
10708    WLY 5/1/2007 48 JOHN WILEY & SONS INC. COMMON STOCK Books Consumer Discretionary
10709    WLYB 5/16/2007 0.73 JOHN WILEY & SONS INC. COMMON STOCK Books Consumer Discretionary
10710    WM 7/17/1998 127 WASTE MANAGEMENT INC. COMMON STOCK Environmental Services Utilities
10711    WMB 1/2/1998 133 WILLIAMS COMPANIES INC. (THE) COMMON STOCK Natural Gas Distribution Utilities
10712    WMG 6/3/2020 20 WARNER MUSIC GROUP CORP. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
10713    WMK 1/2/1998 29 WEIS MARKETS INC. COMMON STOCK Food Chains Consumer Staples
10714    WMPN 8/13/2020 1.56 WILLIAM PENN BANCORPORATION COMMON STOCK Banks Finance
10715    WMS 7/25/2014 35 ADVANCED DRAINAGE SYSTEMS INC. COMMON STOCK Containers/Packaging Consumer Discretionary
10716    WMT 1/2/1998 147 WALMART INC. COMMON STOCK Department/Specialty Retail Stores Consumer Discretionary
10717    WNC 1/2/1998 86 WABASH NATIONAL CORPORATION COMMON STOCK Construction/Ag Equipment/Trucks Industrials
10718    WNDY 9/15/2021 0.27 GLOBAL X WIND ENERGY ETF Exchange Traded Fund Financial
10719    WNEB 5/16/2007 17 WESTERN NEW ENGLAND BANCORP INC. COMMON STOCK Savings Institutions Finance
10720    WNS 7/26/2006 31 WNS (HOLDINGS) LIMITED ORDINARY SHARES Business Services Consumer Discretionary
10721    WNW 12/15/2020 8.38 MEIWU TECHNOLOGY COMPANY LIMITED ORDINARY SHARES Catalog/Specialty Distribution Consumer Discretionary
10722    WOK 8/23/2024 0.58 WORK MEDICAL TECHNOLOGY GROUP LTD CLASS A ORDINARY SHARES Medical/Dental Instruments Health Care
10723    WOLF 3/13/2007 65 WOLFSPEED INC. COMMON STOCK Semiconductors Technology
10724    WOMN 8/30/2018 0.41 IMPACT SHARES TRUST I ETF IMPACT SHARES YWCA WOMENAS EMPOWERME Exchange Traded Fund Financial
10725    WOOD 6/25/2008 7.18 ISHARES GLOBAL TIMBER & FORESTRY ETF Exchange Traded Fund Financial
10726    WOOF 11/28/2001 72 PETCO HEALTH AND WELLNESS COMPANY INC. CLASS A COMMON STOCK Other Specialty Stores Consumer Discretionary
10727    WOR 4/19/2000 86 WORTHINGTON ENTERPRISES INC. COMMON SHARES Steel/Iron Ore Industrials
10728    WORX 8/10/2020 6.02 SCWORX CORP. COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
10729    WOW 5/25/2017 19 WIDEOPENWEST INC. COMMON STOCK Cable & Other Pay Television Services Telecommunications
10730    WPC 6/29/2000 61 W. P. CAREY INC. REIT Real Estate Investment Trusts Real Estate
10731    WPM 5/1/2007 92 WHEATON PRECIOUS METALS CORP COMMON SHARES (CANADA) Precious Metals Basic Materials
10732    WPP 11/28/2017 17 WPP PLC AMERICAN DEPOSITARY SHARES Advertising Consumer Discretionary
10733    WPRT 8/15/2008 46 WESTPORT FUEL SYSTEMS INC COMMON SHARES Industrial Machinery/Components Industrials
10734    WRAP 5/29/2018 11 WRAP TECHNOLOGIES INC. COMMON STOCK Ordnance And Accessories Industrials
10735    WRB 4/15/2008 71 W.R. BERKLEY CORPORATION COMMON STOCK Property-Casualty Insurers Finance
10736    WRB.E 4/2/2018 2.06 W.R. BERKLEY CORPORATION 5.70% SUBORDINATED DEBENTURES DUE 2058
10737    WRB.F 12/19/2019 2.37 W.R. BERKLEY CORPORATION 5.10% SUBORDINATED DEBENTURES DUE 2059
10738    WRB.G 9/24/2020 0.96 W.R. BERKLEY CORPORATION 4.25% SUBORDINATED DEBENTURES DUE 2060
10739    WRB.H 2/19/2021 1.04 W.R. BERKLEY CORPORATION 4.125% SUBORDINATED DEBENTURES DUE 2061
10740    WRBY 9/29/2021 14 WARBY PARKER INC. CLASS A COMMON STOCK Ophthalmic Goods Health Care
10741    WRD 8/21/2009 9.76 WERIDE INC. AMERICAN DEPOSITARY SHARES EDP Services Technology
10742    WRLD 1/2/1998 42 WORLD ACCEPTANCE CORPORATION COMMON STOCK Finance: Consumer Services Finance
10743    WRN 10/27/2008 9.67 WESTERN COPPER AND GOLD CORPORATION COMMON STOCK Metal Mining Basic Materials
10744    WRND 2/8/2022 0.05 NYLI GLOBAL EQUITY R&D LEADERS ETF Exchange Traded Fund Financial
10745    WS 12/4/2023 2.46 WORTHINGTON STEEL INC. COMMON SHARES Steel/Iron Ore Industrials
10746    WSBC 1/2/1998 42 WESBANCO INC. COMMON STOCK Major Banks Finance
10747    WSBCP 8/12/2020 0.72 WESBANCO INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 6.75% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES A Major Banks Finance
10748    WSBF 8/4/2008 17 WATERSTONE FINANCIAL INC. COMMON STOCK (MD) Savings Institutions Finance
10749    WSC 11/5/2015 31 WILLSCOT HOLDINGS CORPORATION CLASS A COMMON STOCK Misc Corporate Leasing Services Industrials
10750    WSFS 1/2/1998 35 WSFS FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
10751    WSM 6/1/1998 113 WILLIAMS-SONOMA INC. COMMON STOCK (DE) Home Furnishings Consumer Discretionary
10752    WSO 1/2/1998 67 WATSCO INC. COMMON STOCK Industrial Machinery/Components Consumer Discretionary
10753    WSO.B 9/24/2002 0.29 WATSCO INC.
10754    WSR 8/26/2010 33 WHITESTONE REIT COMMON SHARES Real Estate Investment Trusts Real Estate
10755    WST 1/2/1998 67 WEST PHARMACEUTICAL SERVICES INC. COMMON STOCK Medical/Dental Instruments Health Care
10756    WSTL 1/2/1998 35
10757    WT 5/16/2007 57 WISDOMTREE INC. COMMON STOCK Investment Bankers/Brokers/Service Finance
10758    WTAI 12/9/2021 2.76 WISDOMTREE TRUST WISDOMTREE ARTIFICIAL INTELLIGENCE AND INNOVA Exchange Traded Fund Financial
10759    WTBA 6/5/2002 11 WEST BANCORPORATION COMMON STOCK Major Banks Finance
10760    WTBN 12/20/2023 0.11 WISDOMTREE BIANCO TOTAL RETURN FUND Exchange Traded Fund Financial
10761    WTER 11/6/2013 16
10762    WTFC 4/16/1998 70 WINTRUST FINANCIAL CORPORATION COMMON STOCK Major Banks Finance
10763    WTFCM 7/9/2015 2.36 WINTRUST FINANCIAL CORPORATION FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES D Major Banks Finance
10764    WTFCP 5/29/2020 1.92 WINTRUST FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.875% FIXED-RATE RESET NON-CUMULATIVE PERPETUAL PREFERRED STOCK SERIES E Major Banks Finance
10765    WTI 1/28/2005 88 W&T OFFSHORE INC. COMMON STOCK Oil & Gas Production Energy
10766    WTID 1/5/2017 1.15 BANK OF MONTREAL MICROSECTORS ENERGY 3X INVERSE LEVERAGED ETNS Exchange Traded Fund Financial
10767    WTIU 1/5/2017 2.55 BANK OF MONTREAL MICROSECTORS ENERGY 3X LEVERAGED ETNS Exchange Traded Fund Financial
10768    WTM 6/1/1999 12 WHITE MOUNTAINS INSURANCE GROUP LTD. COMMON STOCK Property-Casualty Insurers Finance
10769    WTMA 1/25/2022 0.05
10770    WTMAR 1/21/2022 0.07
10771    WTMAU 12/28/2021 0.03
10772    WTMF 1/5/2011 6.55 WISDOMTREE MANAGED FUTURES STRATEGY FUND Exchange Traded Fund Financial
10773    WTO 4/6/2021 5.11 UTIME LIMITED ORDINARY SHARES Consumer Electronics/Appliances Technology
10774    WTRE 3/28/2019 3.8 WISDOMTREE NEW ECONOMY REAL ESTATE FUND Exchange Traded Fund Financial
10775    WTRG 4/27/2007 78 ESSENTIAL UTILITIES INC. COMMON STOCK Water Supply Utilities
10776    WTS 1/2/1998 58 WATTS WATER TECHNOLOGIES INC. CLASS A COMMON STOCK Metal Fabrications Industrials
10777    WTTR 6/26/2017 27 SELECT WATER SOLUTIONS INC. CLASS A COMMON STOCK Oilfield Services/Equipment Energy
10778    WTV 5/16/2007 2.2 WISDOMTREE U.S. VALUE FUND Exchange Traded Fund Financial
10779    WTW 11/15/2001 90 WILLIS TOWERS WATSON PUBLIC LIMITED COMPANY ORDINARY SHARES Specialty Insurers Finance
10780    WU 10/2/2006 94 WESTERN UNION COMPANY (THE) COMMON STOCK Business Services Consumer Discretionary
10781    WUGI 3/31/2020 0.62 AXS ESOTERICA NEXTG ECONOMY ETF Exchange Traded Fund Financial
10782    WULF 5/18/2007 16 TERAWULF INC. COMMON STOCK EDP Services Technology
10783    WUSA 3/20/2017 0.02 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY WOLFE US EQUITY 150/50 Exchange Traded Fund Financial
10784    WVE 11/12/2015 20 WAVE LIFE SCIENCES LTD. ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
10785    WVFC 3/5/2004 0.5
10786    WVVI 12/31/2014 1.7 WILLAMETTE VALLEY VINEYARDS INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
10787    WVVIP 6/29/2016 0.2 WILLAMETTE VALLEY VINEYARDS INC. SERIES A REDEEMABLE PREFERRED STOCK Beverages (Production/Distribution) Consumer Staples
10788    WW 10/17/2000 84 WW INTERNATIONAL INC. COMMON STOCK Other Consumer Services Consumer Discretionary
10789    WWD 5/3/2007 60 WOODWARD INC. COMMON STOCK Industrial Machinery/Components Energy
10790    WWJD 10/2/2019 1.57 INSPIRE INTERNATIONAL ETF Exchange Traded Fund Financial
10791    WWR 5/8/2007 38 WESTWATER RESOURCES INC. COMMON STOCK Metal Mining Basic Materials
10792    WWW 1/2/1998 95 WOLVERINE WORLD WIDE INC. COMMON STOCK Shoe Manufacturing Consumer Discretionary
10793    WY 1/2/1998 128 WEYERHAEUSER COMPANY COMMON STOCK Real Estate Investment Trusts Real Estate
10794    WYHG 11/26/2024 0.21 WING YIP FOOD HOLDINGS GROUP LIMITED AMERICAN DEPOSITARY SHARES Specialty Foods Consumer Staples
10795    WYNN 10/25/2002 109 WYNN RESORTS LIMITED COMMON STOCK Hotels/Resorts Consumer Discretionary
10796    WYY 9/26/2006 14 WIDEPOINT CORPORATION COMMON STOCK EDP Services Technology
10797    X 1/2/1998 137 UNITED STATES STEEL CORPORATION COMMON STOCK Steel/Iron Ore Industrials
10798    XAIR 9/23/2016 12 BEYOND AIR INC. COMMON STOCK Medical/Dental Instruments Health Care
10799    XAIX 8/6/2024 0.22 XTRACKERS ARTIFICIAL INTELLIGENCE AND BIG DATA ETF Exchange Traded Fund Financial
10800    XAPR 4/22/2024 0.05 SHL TELEMEDICINE LTD FT VEST U.S. EQUITY ENHANCE & MODERATE BU Exchange Traded Fund Financial
10801    XAR 9/29/2011 17 SPDR S&P AEROSPACE & DEFENSE ETF Exchange Traded Fund Financial
10802    XAUG 8/21/2023 0.1 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - AUGUST Exchange Traded Fund Financial
10803    XB 5/26/2022 0.08 BONDBLOXX ETF TRUST BONDBLOXX B-RATED USD HIGH YIELD CORPORATE Exchange Traded Fund Financial
10804    XBAP 4/1/2021 0.4 INNOVATOR U.S. EQUITY ACCELERATED 9 BUFFER ETF - APRIL Exchange Traded Fund Financial
10805    XBB 5/26/2022 0.1 BONDBLOXX ETF TRUST BONDBLOXX BB-RATED USD HIGH YIELD CORPORAT Exchange Traded Fund Financial
10806    XBI 2/6/2006 73 SPDR SERIES TRUST SPDR S&P BIOTECH ETF Exchange Traded Fund Financial
10807    XBIL 3/7/2023 2.3 US TREASURY 6 MONTH BILL ETF Exchange Traded Fund Financial
10808    XBIO 6/30/2016 6.39 XENETIC BIOSCIENCES INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10809    XBIT 4/15/2015 12 XBIOTECH INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10810    XBJA 1/3/2022 0.42 INNOVATOR ETFS TRUST INNOVATOR U.S. EQUITY ACCELERATED 9 BUFFE Exchange Traded Fund Financial
10811    XBJL 7/1/2021 0.46 INNOVATOR U.S. EQUITY ACCELERATED 9 BUFFER ETF - JULY Exchange Traded Fund Financial
10812    XBOC 10/1/2021 0.36 INNOVATOR U.S. EQUITY ACCELERATED 9 BUFFER ETF - OCTOBER Exchange Traded Fund Financial
10813    XBP 5/5/2021 1.12 XBP EUROPE HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
10814    XBPEW 5/7/2021 0.24 XBP EUROPE HOLDINGS INC. WARRANT Business Services Consumer Discretionary
10815    XC 9/22/2022 0.2 WISDOMTREE TRUST WISDOMTREE EMERGING MARKETS EX-CHINA FUND Exchange Traded Fund Financial
10816    XCCC 5/26/2022 0.66 BONDBLOXX ETF TRUST BONDBLOXX CCC-RATED USD HIGH YIELD CORPORA Exchange Traded Fund Financial
10817    XCEM 9/2/2015 3.8 COLUMBIA EM CORE EX-CHINA ETF Exchange Traded Fund Financial
10818    XCH 9/10/2024 0.77 XCHG LIMITED AMERICAN DEPOSITARY SHARE Electrical Products Industrials
10819    XCLR 8/26/2021 0.06 GLOBAL X FUNDS GLOBAL X S&P 500 COLLAR 95-110 ETF Exchange Traded Fund Financial
10820    XCNY 9/5/2024 0.01 SPDR S&P EMERGING MARKETS EX-CHINA ETF Exchange Traded Fund Financial
10821    XCOR 10/17/2022 0.11 FUNDX INVESTMENT TRUST FUNDX ETF Exchange Traded Fund Financial
10822    XCUR 5/22/2018 10 EXICURE INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10823    XDAP 4/1/2021 0.12 INNOVATOR U.S. EQUITY ACCELERATED ETF - APRIL Exchange Traded Fund Financial
10824    XDAT 1/14/2021 0.18 FRANKLIN EXPONENTIAL DATA ETF Exchange Traded Fund Financial
10825    XDEC 12/20/2021 0.92 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - DECEMBER Exchange Traded Fund Financial
10826    XDJL 7/1/2021 0.09 INNOVATOR U.S. EQUITY ACCELERATED ETF - JULY Exchange Traded Fund Financial
10827    XDOC 10/1/2021 0.1 INNOVATOR U.S. EQUITY ACCELERATED ETF - OCTOBER Exchange Traded Fund Financial
10828    XDQQ 4/1/2021 0.35 INNOVATOR GROWTH ACCELERATED ETF - QUARTERLY Exchange Traded Fund Financial
10829    XDSQ 4/1/2021 0.44 INNOVATOR ETFS TRUST INNOVATOR U.S. EQUITY ACCELERATED ETF - Q Exchange Traded Fund Financial
10830    XDTE 3/7/2024 1.67 ROUNDHILL ETF TRUST ROUNDHILL S&P 500 0DTE COVERED CALL STRATE Exchange Traded Fund Financial
10831    XEL 8/21/2000 116 XCEL ENERGY INC. COMMON STOCK Power Generation Utilities
10832    XELA 3/27/2015 28
10833    XELAP 3/23/2022 0.29
10834    XELB 11/11/2014 3.76 XCEL BRANDS INC. COMMON STOCK Multi-Sector Companies Miscellaneous
10835    XEMD 8/1/2022 0.13 BONDBLOXX ETF TRUST BONDBLOXX JP MORGAN USD EMERGING MARKETS 1 Exchange Traded Fund Financial
10836    XENE 11/5/2014 16 XENON PHARMACEUTICALS INC. COMMON SHARES Biotechnology: Pharmaceutical Preparations Health Care
10837    XERS 6/21/2018 21 XERIS BIOPHARMA HOLDINGS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10838    XES 6/22/2006 42 SPDR SERIES TRUST SPDR S&P OIL & GAS EQUIPMENT & SERVICES ETF Exchange Traded Fund Financial
10839    XFEB 2/20/2024 0.09 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. EQUITY ENHA Exchange Traded Fund Financial
10840    XFIV 9/15/2022 0.24 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG FIVE YEAR TARGET DURAT Exchange Traded Fund Financial
10841    XFIX 7/17/2024 0.02 F/M OPPORTUNISTIC INCOME ETF Exchange Traded Fund Financial
10842    XFLT 10/9/2017 9.69 XAI OCTAGON FLOATING RATE & ALTERNATIVE INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST Investment Managers Finance
10843    XFLT.A 4/5/2021 0.3 XAI OCTAGON FLOATING RATE & ALTERNATIVE INCOME TRUST 6.50% SERIES 2026 TERM PREFERRED SHARES (LIQUIDATION PREFERENCE $25.00)
10844    XFLX 10/11/2023 0.04 FUNDX INVESTMENT TRUST FUNDX FLEXIBLE ETF Exchange Traded Fund Financial
10845    XFOR 11/16/2017 15 X4 PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10846    XGN 9/19/2019 3 EXAGEN INC. COMMON STOCK Medical Specialities Health Care
10847    XHB 2/6/2006 88 SPDR SERIES TRUST SPDR HOMEBUILDERS ETF Exchange Traded Fund Financial
10848    XHE 1/27/2011 6.67 SPDR S&P HEALTH CARE EQUIPMENT Exchange Traded Fund Financial
10849    XHG 11/5/2019 5.74 XCHANGE TEC.INC AMERICAN DEPOSITARY SHARES Real Estate Finance
10850    XHLD 2/13/2025 0.24 TEN HOLDINGS INC. COMMON STOCK Business Services Consumer Discretionary
10851    XHLF 9/16/2022 2.04 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG SIX MONTH TARGET DURAT Exchange Traded Fund Financial
10852    XHR 2/4/2015 40 XENIA HOTELS & RESORTS INC. COMMON STOCK Hotels/Resorts Consumer Discretionary
10853    XHS 9/29/2011 3.42 SPDR S&P HEALTH CARE SERVICES ETF Exchange Traded Fund Financial
10854    XHYC 2/17/2022 0.05 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND CONSUMER CYC Exchange Traded Fund Financial
10855    XHYD 2/17/2022 0.06 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND CONSUMER NON Exchange Traded Fund Financial
10856    XHYE 2/17/2022 0.1 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND ENERGY SECTO Exchange Traded Fund Financial
10857    XHYF 2/17/2022 0.05 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND FINANCIAL & Exchange Traded Fund Financial
10858    XHYH 2/17/2022 0.07 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND HEALTHCARE S Exchange Traded Fund Financial
10859    XHYI 2/17/2022 0.06 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND INDUSTRIAL S Exchange Traded Fund Financial
10860    XHYT 2/17/2022 0.05 BONDBLOXX ETF TRUST BONDBLOXX USD HIGH YIELD BOND TELECOM MED Exchange Traded Fund Financial
10861    XIDE 12/19/2023 0.08
10862    XIFR 5/16/2007 39 XPLR INFRASTRUCTURE LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS Electric Utilities: Central Utilities
10863    XIJN 6/24/2024 0.02 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. EQUITY BUFF Exchange Traded Fund Financial
10864    XIMR 3/19/2024 0.09 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. EQUITY BUFF Exchange Traded Fund Financial
10865    XIN 12/12/2007 26 XINYUAN REAL ESTATE CO LTD AMERICAN DEPOSITARY SHARES Homebuilding Consumer Discretionary
10866    XISE 9/18/2023 0.22 FT VEST U.S. EQUITY BUFFER & PREMIUM INCOME ETF - SEPTEMBER Exchange Traded Fund Financial
10867    XITK 1/14/2016 1.82 SPDR FACTSET INNOVATIVE TECHNOLOGY ETF Exchange Traded Fund Financial
10868    XJH 9/25/2020 1.06 ISHARES ESG SELECT SCREENED S&P MID-CAP ETF Exchange Traded Fund Financial
10869    XJR 9/25/2020 0.43 ISHARES ESG SELECT SCREENED S&P SMALL-CAP ETF Exchange Traded Fund Financial
10870    XJUL 7/24/2023 0.19 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - JULY Exchange Traded Fund Financial
10871    XJUN 7/13/2021 0.88 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - JUNE Exchange Traded Fund Financial
10872    XLB 12/22/1998 102 MATERIALS SELECT SECTOR SPDR Exchange Traded Fund Financial
10873    XLC 6/19/2018 32 THE COMMUNICATION SERVICES SELECT SECTOR SPDR FUND Exchange Traded Fund Financial
10874    XLE 12/22/1998 121 SPDR SELECT SECTOR FUND - ENERGY SELECT SECTOR Exchange Traded Fund Financial
10875    XLF 12/22/1998 129 SPDR SELECT SECTOR FUND - FINANCIAL Exchange Traded Fund Financial
10876    XLG 5/10/2005 22 INVESCO S&P 500 TOP 50 ETF Exchange Traded Fund Financial
10877    XLI 12/22/1998 99 SPDR SELECT SECTOR FUND - INDUSTRIAL Exchange Traded Fund Financial
10878    XLK 12/22/1998 117 SPDR SELECT SECTOR FUND - TECHNOLOGY Exchange Traded Fund Financial
10879    XLO 10/22/2021 2.89 XILIO THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10880    XLP 12/22/1998 101 SPDR SELECT SECTOR FUND - CONSUMER STAPLES Exchange Traded Fund Financial
10881    XLRE 10/8/2015 40 REAL ESTATE SELECT SECTOR SPDR FUND (THE) Exchange Traded Fund Financial
10882    XLSR 4/3/2019 2.68 SPDR SSGA U.S. SECTOR ROTATION ETF Exchange Traded Fund Financial
10883    XLU 12/22/1998 107 SPDR SELECT SECTOR FUND - UTILITIES Exchange Traded Fund Financial
10884    XLV 12/22/1998 101 SPDR SELECT SECTOR FUND - HEALTH CARE Exchange Traded Fund Financial
10885    XLY 12/22/1998 98 SPDR SELECT SECTOR FUND - CONSUMER DISCRETIONARY Exchange Traded Fund Financial
10886    XMAR 3/20/2023 0.57 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - MARCH Exchange Traded Fund Financial
10887    XMAY 5/20/2024 0.04 FIRST TRUST EXCHANGE-TRADED FUND VIII FT VEST U.S. EQUITY ENHA Exchange Traded Fund Financial
10888    XME 6/22/2006 83 SPDR S&P METALS & MINING ETF Exchange Traded Fund Financial
10889    XMHQ 5/16/2007 7.56 INVESCO S&P MIDCAP QUALITY ETF Exchange Traded Fund Financial
10890    XMLV 2/15/2013 17 INVESCO S&P MIDCAP LOW VOLATILITY ETF Exchange Traded Fund Financial
10891    XMMO 5/7/2007 14 INVESCO S&P MIDCAP MOMENTUM ETF Exchange Traded Fund Financial
10892    XMPT 7/13/2011 4.44 VANECK CEF MUNI INCOME ETF Exchange Traded Fund Financial
10893    XMTR 6/30/2021 11 XOMETRY INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
10894    XMVM 5/16/2007 4.27 INVESCO S&P MIDCAP VALUE WITH MOMENTUM ETF Exchange Traded Fund Financial
10895    XNAV 10/17/2022 0.02 FUNDX INVESTMENT TRUST FUNDX AGGRESSIVE ETF Exchange Traded Fund Financial
10896    XNCR 12/3/2013 27 XENCOR INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10897    XNET 6/24/2014 21 XUNLEI LIMITED AMERICAN DEPOSITARY SHARES Computer Software: Prepackaged Software Technology
10898    XNOV 11/20/2023 0.09 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - NOVEMBER Exchange Traded Fund Financial
10899    XNTK 5/16/2007 7.26 SPDR NYSE TECHNOLOGY ETF Exchange Traded Fund Financial
10900    XOCT 10/23/2023 0.11 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - OCTOBER Exchange Traded Fund Financial
10901    XOM 12/1/1999 141 EXXON MOBIL CORPORATION COMMON STOCK Integrated oil Companies Energy
10902    XOMA 1/2/1998 58 XOMA ROYALTY CORPORATION COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10903    XOMAO 4/12/2021 0.54 XOMA ROYALTY CORPORATION DEPOSITARY SHARES REP SERIES B 8.375% CUMULATIVE PREFERRED STOCK Biotechnology: Pharmaceutical Preparations Health Care
10904    XOMAP 12/16/2020 0.27 XOMA ROYALTY CORPORATION 8.625% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK Biotechnology: Pharmaceutical Preparations Health Care
10905    XOMO 8/31/2023 0.83 TIDAL ETF TRUST II YIELDMAX XOM OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
10906    XONE 9/16/2022 1.04 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG ONE YEAR TARGET DURATI Exchange Traded Fund Financial
10907    XOP 6/22/2006 90 SPDR S&P OIL & GAS EXPLOR & PRODUCT Exchange Traded Fund Financial
10908    XOS 12/8/2020 8.04 XOS INC. COMMON STOCK Auto Parts:O.E.M. Consumer Discretionary
10909    XOSWW 12/7/2020 1.14 XOS INC. WARRANTS Auto Parts:O.E.M. Consumer Discretionary
10910    XOVR 6/19/2012 1.44 ERSHARES PRIVATE-PUBLIC CROSSOVER ETF Exchange Traded Fund Financial
10911    XP 12/11/2019 23 XP INC. CLASS A COMMON STOCK Investment Bankers/Brokers/Service Finance
10912    XPAY 10/31/2024 0.14 ROUNDHILL ETF TRUST ROUNDHILL S&P 500 TARGET 20 MANAGED DISTRI Exchange Traded Fund Financial
10913    XPEL 5/16/2007 11 XPEL INC. COMMON STOCK Industrial Specialties Industrials
10914    XPER 4/26/2007 60 XPERI INC. COMMON STOCK Computer Software: Prepackaged Software Technology
10915    XPEV 8/27/2020 33 XPENG INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO CLASS A ORDINARY SHARES Auto Manufacturing Consumer Discretionary
10916    XPH 6/22/2006 18 SPDR S&P PHARMACEUTICALS ETF Exchange Traded Fund Financial
10917    XPL 9/6/2006 9.64 SOLITARIO RESOURCES CORP. COMMON STOCK Precious Metals Basic Materials
10918    XPND 6/16/2021 0.27 FIRST TRUST EXPANDED TECHNOLOGY ETF Exchange Traded Fund Financial
10919    XPO 6/6/2006 57 XPO INC. COMMON STOCK Transportation Services Consumer Discretionary
10920    XPOF 7/23/2021 9.54 XPONENTIAL FITNESS INC. CLASS A COMMON STOCK Services-Misc. Amusement & Recreation Consumer Discretionary
10921    XPON 4/1/2022 4.15 EXPION360 INC. COMMON STOCK Industrial Machinery/Components Miscellaneous
10922    XPP 6/4/2009 8.94 PROSHARES ULTRA FTSE CHINA 50 Exchange Traded Fund Financial
10923    XPRO 8/9/2013 40 EXPRO GROUP HOLDINGS N.V. COMMON STOCK Oilfield Services/Equipment Energy
10924    XRAY 1/2/1998 108 DENTSPLY SIRONA INC. COMMON STOCK Medical/Dental Instruments Health Care
10925    XRLV 4/9/2015 1.92 INVESCO S&P 500 EX-RATE SENSITIVE LOW VOLATILITY ETF Exchange Traded Fund Financial
10926    XRLX 10/11/2023 0.03 FUNDX INVESTMENT TRUST FUNDX CONSERVATIVE ETF Exchange Traded Fund Financial
10927    XRMI 8/26/2021 0.7 GLOBAL X FUNDS GLOBAL X S&P 500 RISK MANAGED INCOME ETF Exchange Traded Fund Financial
10928    XRT 6/22/2006 85 SPDR S&P RETAIL ETF Exchange Traded Fund Financial
10929    XRTX 10/13/2021 2.03 XORTX THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
10930    XRX 1/2/1998 134 XEROX HOLDINGS CORPORATION COMMON STOCK Computer peripheral equipment Technology
10931    XSD 2/6/2006 22 SPDR S&P SEMICONDUCTOR ETF Exchange Traded Fund Financial
10932    XSEP 9/22/2022 0.55 FT VEST U.S. EQUITY ENHANCE & MODERATE BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
10933    XSHD 12/8/2016 1.8 INVESCO S&P SMALLCAP HIGH DIVIDEND LOW VOLATILITY ETF Exchange Traded Fund Financial
10934    XSHQ 4/11/2017 1.49 INVESCO S&P SMALLCAP QUALITY ETF Exchange Traded Fund Financial
10935    XSLV 2/15/2013 16 INVESCO S&P SMALLCAP LOW VOLATILITY ETF Exchange Traded Fund Financial
10936    XSMO 5/16/2007 6.29 INVESCO S&P SMALLCAP MOMENTUM ETF Exchange Traded Fund Financial
10937    XSOE 12/29/2014 17 WISDOMTREE EMERGING MARKETS EX-STATE OWNED ENTERPRISES FUND Exchange Traded Fund Financial
10938    XSVM 5/16/2007 9.28 INVESCO S&P SMALLCAP VALUE WITH MOMENTUM ETF Exchange Traded Fund Financial
10939    XSVN 9/26/2022 0.31 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG SEVEN YEAR TARGET DURA Exchange Traded Fund Financial
10940    XSW 9/29/2011 4.12 SPDR S&P SOFTWARE & SERVICES ETF Exchange Traded Fund Financial
10941    XT 3/23/2015 14 ISHARES EXPONENTIAL TECHNOLOGIES ETF Exchange Traded Fund Financial
10942    XTAP 4/1/2021 0.16 INNOVATOR U.S. EQUITY ACCELERATED PLUS ETF - APRIL Exchange Traded Fund Financial
10943    XTEN 10/13/2022 0.46 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG TEN YEAR TARGET DURATI Exchange Traded Fund Financial
10944    XTIA 2/11/2013 43 XTI AEROSPACE INC. COMMON STOCK EDP Services Technology
10945    XTJA 1/3/2022 0.17 INNOVATOR ETFS TRUST INNOVATOR U.S. EQUITY ACCELERATED PLUS ET Exchange Traded Fund Financial
10946    XTJL 7/1/2021 0.17 INNOVATOR U.S. EQUITY ACCELERATED PLUS ETF - JULY Exchange Traded Fund Financial
10947    XTKG 4/2/2019 15 X3 HOLDINGS CO. LTD. ORDINARY SHARES EDP Services Technology
10948    XTL 1/27/2011 2.14 SPDR S&P TELECOM ETF Exchange Traded Fund Financial
10949    XTLB 5/16/2007 3.02 XTL BIOPHARMACEUTICALS LTD. AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
10950    XTN 1/27/2011 8.18 SPDR S&P TRANSPORTATION ETF Exchange Traded Fund Financial
10951    XTNT 10/19/2015 6.3 XTANT MEDICAL HOLDINGS INC. COMMON STOCK Biotechnology: Biological Products (No Diagnostic Substances) Health Care
10952    XTOC 10/1/2021 0.17 INNOVATOR U.S. EQUITY ACCELERATED PLUS ETF - OCTOBER Exchange Traded Fund Financial
10953    XTR 9/7/2021 0.05 GLOBAL X FUNDS GLOBAL X S&P 500 TAIL RISK ETF Exchange Traded Fund Financial
10954    XTRE 10/17/2022 0.19 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG THREE YEAR TARGET DURA Exchange Traded Fund Financial
10955    XTWO 9/19/2022 0.35 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG TWO YEAR TARGET DURATI Exchange Traded Fund Financial
10956    XTWY 9/15/2022 0.13 BONDBLOXX ETF TRUST BONDBLOXX BLOOMBERG TWENTY YEAR TARGET DUR Exchange Traded Fund Financial
10957    XUSP 8/11/2022 0.17 INNOVATOR ETFS TRUST INNOVATOR UNCAPPED ACCELERATED U.S. EQUIT Exchange Traded Fund Financial
10958    XVOL 4/22/2021 0.2 ACRUENCE ACTIVE HEDGE U.S. EQUITY ETF Exchange Traded Fund Financial
10959    XVV 9/25/2020 0.95 ISHARES ESG SELECT SCREENED S&P 500 ETF Exchange Traded Fund Financial
10960    XWEL 7/27/2010 33 XWELL INC. COMMON STOCK Other Consumer Services Consumer Discretionary
10961    XXCH 2/7/2024 0.04 DIREXION SHARES ETF TRUST DIREXION DAILY MSCI EMERGING MARKETS Exchange Traded Fund Financial
10962    XXII 1/26/2011 40 22ND CENTURY GROUP INC. COMMON STOCK Medicinal Chemicals and Botanical Products Health Care
10963    XYF 9/19/2018 4.35 X FINANCIAL AMERICAN DEPOSITARY SHARES EACH REPRESENTING SIX CLASS A ORDINARY SHARES Finance: Consumer Services Finance
10964    XYL 10/13/2011 59 XYLEM INC. COMMON STOCK NEW Fluid Controls Industrials
10965    XYLD 6/24/2013 15 GLOBAL X FUNDS GLOBAL X S&P 500 COVERED CALL ETF Exchange Traded Fund Financial
10966    XYLE 2/23/2023 0.01
10967    XYLG 10/5/2020 0.84 GLOBAL X S&P 500 COVERED CALL & GROWTH ETF Exchange Traded Fund Financial
10968    XYLO 8/5/2015 7.38 XYLO TECHNOLOGIES LTD. AMERICAN DEPOSITARY SHARES Medical/Dental Instruments Health Care
10969    XYZ 11/19/2015 55 BLOCK INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
10970    YAAS 12/20/2024 0.1 YOUXIN TECHNOLOGY LTD CLASS A ORDINARY SHARES Computer Software: Prepackaged Software Technology
10971    YALA 9/30/2020 11 YALLA GROUP LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE Computer Software: Programming Data Processing Technology
10972    YALL 10/11/2022 0.45 TIDAL ETF TRUST GOD BLESS AMERICA ETF Exchange Traded Fund Financial
10973    YANG 12/3/2009 48 DIREXION DAILY FTSE CHINA BEAR 3X SHARES Exchange Traded Fund Financial
10974    YAYO 11/13/2019 1.97
10975    YBIT 4/23/2024 1.94 TIDAL TRUST II YIELDMAX BITCOIN OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
10976    YBTC 1/18/2024 0.98 ROUNDHILL ETF TRUST ROUNDHILL BITCOIN COVERED CALL STRATEGY ET Exchange Traded Fund Financial
10977    YCBD 11/17/2017 12 CBDMD INC. COMMON STOCK Package Goods/Cosmetics Consumer Discretionary
10978    YCBD.A 10/21/2019 0.85 CBDMD INC. 8.0% SERIES A CUMULATIVE CONVERTIBLE PREFERRED STOCK
10979    YCL 12/9/2008 2.89 PROSHARES ULTRA YEN Exchange Traded Fund Financial
10980    YCS 11/25/2008 17 PROSHARES ULTRASHORT YEN NEW Exchange Traded Fund Financial
10981    YDEC 12/21/2020 0.47 FT VEST INTERNATIONAL EQUITY MODERATE BUFFER ETF - DECEMBER Exchange Traded Fund Financial
10982    YEAR 9/14/2022 1.44 AB ACTIVE ETFS INC. AB ULTRA SHORT INCOME ETF Exchange Traded Fund Financial
10983    YECO 6/29/2015 1.62
10984    YELP 3/2/2012 54 YELP INC. COMMON STOCK Other Consumer Services Consumer Discretionary
10985    YETI 10/25/2018 27 YETI HOLDINGS INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
10986    YEXT 4/13/2017 29 YEXT INC. COMMON STOCK EDP Services Technology
10987    YGLD 12/3/2024 0.05 SIMPLIFY EXCHANGE TRADED FUNDS SIMPLIFY GOLD STRATEGY PLUS INC Exchange Traded Fund Financial
10988    YGMZ 10/21/2020 3.94 MINGZHU LOGISTICS HOLDINGS LIMITED ORDINARY SHARES Transportation Services Consumer Discretionary
10989    YHC 8/10/2023 3.57 LQR HOUSE INC. COMMON STOCK Beverages (Production/Distribution) Consumer Staples
10990    YHGJ 5/16/2007 5.16 YUNHONG GREEN CTI LTD. COMMON STOCK Specialty Chemicals Industrials
10991    YHNA 11/8/2024 0.02 YHN ACQUISITION I LIMITED ORDINARY SHARES
10992    YHNAR 11/8/2024 0.01 YHN ACQUISITION I LIMITED RIGHT
10993    YHNAU 9/18/2024 0.01
10994    YI 9/12/2018 6.53 111 INC. AMERICAN DEPOSITARY SHARES Retail-Drug Stores and Proprietary Stores Consumer Staples
10995    YIBO 1/25/2024 0.54 PLANET IMAGE INTERNATIONAL LIMITED CLASS A ORDINARY SHARES Industrial Machinery/Components Industrials
10996    YINN 12/3/2009 63 DIREXION DAILY FTSE CHINA BULL 3X SHARES Exchange Traded Fund Financial
10997    YJ 5/3/2019 5.8 YUNJI INC. AMERICAN DEPOSITORY SHARES Other Specialty Stores Consumer Discretionary
10998    YLD 7/13/2015 1.75 PRINCIPAL ACTIVE HIGH YIELD ETF Exchange Traded Fund Financial
10999    YLDE 5/26/2017 0.28 FRANKLIN CLEARBRIDGE ENHANCED INCOME ETF Exchange Traded Fund Financial
11000    YMAB 9/21/2018 14 Y-MABS THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11001    YMAG 1/30/2024 3.34 TIDAL TRUST II YIELDMAX MAGNIFICENT 7 FUND OF OPTION INCOME ET Exchange Traded Fund Financial
11002    YMAR 3/22/2021 0.54 FT VEST INTERNATIONAL EQUITY MODERATE BUFFER ETF - MARCH Exchange Traded Fund Financial
11003    YMAX 1/17/2024 4.7 TIDAL TRUST II YIELDMAX UNIVERSE FUND OF OPTION INCOME ETFS Exchange Traded Fund Financial
11004    YMM 6/23/2021 17 FULL TRUCK ALLIANCE CO. LTD. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 20 CLASS A ORDINARY SHARES) Computer Software: Prepackaged Software Technology
11005    YOLO 4/18/2019 7.27 ADVISORSHARES PURE CANNABIS ETF Exchange Traded Fund Financial
11006    YORW 1/16/2001 13 YORK WATER COMPANY (THE) COMMON STOCK Water Supply Utilities
11007    YOSH 9/9/2022 1.48 YOSHIHARU GLOBAL CO. CLASS A COMMON STOCK Restaurants Consumer Discretionary
11008    YOTA 6/27/2022 0.07
11009    YOTAR 6/27/2022 0.06
11010    YOTAW 6/27/2022 0.09
11011    YOU 6/30/2021 16 CLEAR SECURE INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
11012    YPF 1/2/1998 60 YPF SOCIEDAD ANONIMA COMMON STOCK Integrated oil Companies Energy
11013    YQ 12/4/2020 6.04 17 EDUCATION & TECHNOLOGY GROUP INC. AMERICAN DEPOSITARY SHARES Other Consumer Services Real Estate
11014    YQQQ 8/15/2024 0.25 YIELDMAX SHORT N100 OPTION INCOME STRATEGY ETF Exchange Traded Fund Financial
11015    YRD 12/18/2015 18 YIREN DIGITAL LTD. AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWO ORDINARY SHARES Finance: Consumer Services Finance
11016    YRIV 5/25/2007 5.33
11017    YSEP 9/20/2021 0.29 FT VEST INTERNATIONAL EQUITY BUFFER ETF - SEPTEMBER Exchange Traded Fund Financial
11018    YSG 11/19/2020 15 YATSEN HOLDING LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING TWENTY (20) CLASS A ORDINARY SHARES Package Goods/Cosmetics Consumer Discretionary
11019    YSXT 12/18/2024 0.15 YSX TECH. CO. LTD CLASS A ORDINARY SHARES Automotive Aftermarket Consumer Discretionary
11020    YTRA 10/3/2014 9.45 YATRA ONLINE INC. ORDINARY SHARES Transportation Services Consumer Discretionary
11021    YUM 1/2/1998 125 YUM! BRANDS INC. Restaurants Consumer Discretionary
11022    YUMC 10/17/2016 39 YUM CHINA HOLDINGS INC. COMMON STOCK Restaurants Consumer Discretionary
11023    YXI 3/18/2010 3.16 PROSHARES SHORT FTSE CHINA 50 Exchange Traded Fund Financial
11024    YXT 8/16/2024 0.21 YXT.COM GROUP HOLDING LIMITED AMERICAN DEPOSITORY SHARES Computer Software: Prepackaged Software Technology
11025    YY 11/21/2012 47 JOYY INC. AMERICAN DEPOSITARY SHARES EDP Services Technology
11026    YYAI 6/15/2022 5.17 CONNEXA SPORTS TECHNOLOGIES INC. COMMON STOCK Recreational Games/Products/Toys Consumer Discretionary
11027    YYGH 4/22/2024 0.42 YY GROUP HOLDING LIMITED CLASS A ORDINARY SHARES Professional Services Consumer Discretionary
11028    YYY 6/12/2012 12 AMPLIFY HIGH INCOME ETF Exchange Traded Fund Financial
11029    Z 8/3/2015 43 ZILLOW GROUP INC. CLASS C CAPITAL STOCK Business Services Consumer Discretionary
11030    ZALT 10/2/2023 0.62 INNOVATOR ETFS TRUST INNOVATOR U.S. EQUITY 10 BUFFER ETF - QUA Exchange Traded Fund Financial
11031    ZAP 1/2/1998 4.22
11032    ZAPP 5/1/2023 2.46 ZAPP ELECTRIC VEHICLES GROUP LIMITED ORDINARY SHARES Motor Vehicles Consumer Discretionary
11033    ZAPPW 5/1/2023 0.48 ZAPP ELECTRIC VEHICLES GROUP LIMITED WARRANT Motor Vehicles Consumer Discretionary
11034    ZAUG 8/1/2024 0.1 INNOVATOR ETFS TRUST INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
11035    ZBAI 5/3/2019 4.35 ATIF HOLDINGS LIMITED ORDINARY SHARES Professional Services Consumer Discretionary
11036    ZBAO 4/2/2024 0.29 ZHIBAO TECHNOLOGY INC. CLASS A ORDINARY SHARES Specialty Insurers Finance
11037    ZBH 8/7/2001 110 ZIMMER BIOMET HOLDINGS INC. COMMON STOCK Industrial Specialties Health Care
11038    ZBIO 6/23/2015 3.69 ZENAS BIOPHARMA INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11039    ZBRA 1/2/1998 81 ZEBRA TECHNOLOGIES CORPORATION CLASS A COMMON STOCK Industrial Machinery/Components Industrials
11040    ZCAR 1/4/2022 3.21 ZOOMCAR HOLDINGS INC. COMMON STOCK Rental/Leasing Companies Consumer Discretionary
11041    ZCARW 1/4/2022 0.28 ZOOMCAR HOLDINGS INC. WARRANTS Rental/Leasing Companies Consumer Discretionary
11042    ZCMD 2/25/2020 2.46 ZHONGCHAO INC. CLASS A ORDINARY SHARES Other Consumer Services Real Estate
11043    ZD 4/30/2007 55 ZIFF DAVIS INC. COMMON STOCK Telecommunications Equipment Telecommunications
11044    ZDEK 12/2/2024 0.15 INNOVATOR ETFS TRUST INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
11045    ZDGE 5/26/2016 6.06 ZEDGE INC. CLASS B COMMON STOCK Computer Software: Prepackaged Software Technology
11046    ZECP 8/26/2021 0.62 ZACKS TRUST ZACKS EARNINGS CONSISTENT PORTFOLIO ETF Exchange Traded Fund Financial
11047    ZENA 10/1/2024 1.56 ZENATECH INC. COMMON STOCK Computer Software: Prepackaged Software Technology
11048    ZENV 7/22/2021 3.05 ZENVIA INC. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
11049    ZEO 12/16/2021 0.7 ZEO ENERGY CORPORATION CLASS A COMMON STOCK Industrial Machinery/Components Miscellaneous
11050    ZEOWW 12/13/2021 0.12 ZEO ENERGY CORPORATION WARRANTS Industrial Machinery/Components Miscellaneous
11051    ZEPP 2/8/2018 12 ZEPP HEALTH CORPORATION AMERICAN DEPOSITARY SHARES EACH REPRESENTING SIXTEEN CLASS A ORDINARY SHARES Computer Manufacturing Technology
11052    ZETA 6/10/2021 15 ZETA GLOBAL HOLDINGS CORP. CLASS A COMMON STOCK Computer Software: Prepackaged Software Technology
11053    ZEUS 1/2/1998 44 OLYMPIC STEEL INC. COMMON STOCK Metal Fabrications Industrials
11054    ZG 7/20/2011 51 ZILLOW GROUP INC. CLASS A COMMON STOCK Business Services Consumer Discretionary
11055    ZGN 12/20/2021 8.1 ERMENEGILDO ZEGNA N.V. ORDINARY SHARES Apparel Consumer Discretionary
11056    ZH 3/26/2021 14 ZHIHU INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING THREE (3) CLASS A ORDINARY SHARES Business Services Consumer Discretionary
11057    ZHDG 7/7/2021 0.52 ZEGA BUY AND HEDGE ETF Exchange Traded Fund Financial
11058    ZI 6/4/2020 22 ZOOMINFO TECHNOLOGIES INC COMMON STOCK Computer Software: Prepackaged Software Technology
11059    ZIG 5/15/2019 0.68 THE ACQUIRERS FUND Exchange Traded Fund Financial
11060    ZIM 1/28/2021 24 ZIM INTEGRATED SHIPPING SERVICES LTD. ORDINARY SHARES Marine Transportation Consumer Discretionary
11061    ZIMV 2/16/2022 6.61 ZIMVIE INC. COMMON STOCK Medical/Dental Instruments Health Care
11062    ZION 1/2/1998 116 ZIONS BANCORPORATION N.A. COMMON STOCK Major Banks Finance
11063    ZIONP 1/2/2020 0.39 ZIONS BANCORPORATION N.A. DEPOSITARY SHARES (EACH REPRESENTING 1/40TH INTEREST IN A SHARE OF SERIES A FLOATING-RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK) Major Banks Finance
11064    ZIP 4/14/2011 19 ZIPRECRUITER INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
11065    ZIVO 5/28/2021 1.37
11066    ZIVOW 5/28/2021 0.18
11067    ZJK 9/30/2024 0.56 ZJK INDUSTRIAL CO. LTD. ORDINARY SHARES Metal Fabrications Industrials
11068    ZJUL 7/1/2024 0.18 SHL TELEMEDICINE LTD INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
11069    ZJYL 3/28/2023 2.66 JIN MEDICAL INTERNATIONAL LTD. ORDINARY SHARES Industrial Specialties Health Care
11070    ZK 5/10/2024 2.95 ZEEKR INTELLIGENT TECHNOLOGY HOLDING LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN (10) ORDINARY SHARES) Auto Manufacturing Consumer Discretionary
11071    ZKH 12/15/2023 1.19 ZKH GROUP LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING THIRTY-FIVE (35) CLASS A ORDINARY SHARES RETAIL: Building Materials Consumer Discretionary
11072    ZKIN 9/1/2017 6.56 ZK INTERNATIONAL GROUP CO. LTD ORDINARY SHARE Metal Fabrications Industrials
11073    ZLAB 9/20/2017 20 ZAI LAB LIMITED AMERICAN DEPOSITARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
11074    ZM 4/18/2019 32 ZOOM COMMUNICATIONS INC. CLASS A COMMON STOCK Computer Software: Programming Data Processing Technology
11075    ZNOV 11/1/2024 0.06 INNOVATOR ETFS TRUST INNOVATOR EQUITY DEFINED PROTECTION ETF - Exchange Traded Fund Financial
11076    ZNTL 4/3/2020 14 ZENTALIS PHARMACEUTICALS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11077    ZOCT 10/1/2024 0.09 INNOVATOR EQUITY DEFINED PROTECTION ETF - 1 YR OCTOBER Exchange Traded Fund Financial
11078    ZOM 11/21/2017 35
11079    ZONE 4/26/2024 0.52 CLEANCORE SOLUTIONS INC. CLASS B COMMON STOCK Industrial Machinery/Components Industrials
11080    ZOOZ 4/5/2024 0.29 ZOOZ POWER LTD. ORDINARY SHARES Industrial Machinery/Components Technology
11081    ZOOZW 4/5/2024 0.1
11082    ZPTA 4/1/2024 2.88
11083    ZPTAW 4/1/2024 0.13
11084    ZROZ 11/4/2009 14 PIMCO 25 YEAR ZERO COUPON U.S. TREASURY INDEX EXCHANGE-TRADED Exchange Traded Fund Financial
11085    ZS 3/16/2018 34 ZSCALER INC. COMMON STOCK EDP Services Technology
11086    ZSB 9/15/2009 0.01 USCF ETF TRUST USCF SUSTAINABLE BATTERY METALS STRATEGY FUND Exchange Traded Fund Financial
11087    ZSC 9/19/2023 0.01 USCF ETF TRUST USCF SUSTAINABLE COMMODITY STRATEGY FUND Exchange Traded Fund Financial
11088    ZSEP 9/3/2024 0.12 INNOVATOR EQUITY DEFINED PROTECTION ETF - 1 YR SEPTEMBER Exchange Traded Fund Financial
11089    ZSL 12/3/2008 37 PROSHARES ULTRASHORT SILVER Exchange Traded Fund Financial
11090    ZSPC 12/5/2024 0.31 ZSPACE INC. COMMON STOCK Computer Software: Prepackaged Software Technology
11091    ZTAX 5/19/2023 0.06 X-SQUARE MUNICIPAL INCOME ETF Exchange Traded Fund Financial
11092    ZTEK 3/22/2022 1.04 ZENTEK LTD. COMMON STOCK Major Chemicals Industrials
11093    ZTEN 1/11/2024 0.04 F/M 10-YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
11094    ZTO 10/27/2016 40 ZTO EXPRESS (CAYMAN) INC. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE CLASS A ORDINARY SHARE. Trucking Freight/Courier Services Industrials
11095    ZTR 1/2/1998 35 VIRTUS TOTAL RETURN FUND INC. Investment Managers Finance
11096    ZTRE 1/11/2024 0.03 F/M 3-YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
11097    ZTS 2/1/2013 59 ZOETIS INC. CLASS A COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11098    ZTWO 1/11/2024 0.03 F/M 2-YEAR INVESTMENT GRADE CORPORATE BOND ETF Exchange Traded Fund Financial
11099    ZUMZ 5/6/2005 61 ZUMIEZ INC. COMMON STOCK Clothing/Shoe/Accessory Stores Consumer Discretionary
11100    ZUO 4/12/2018 27
11101    ZURA 3/21/2023 3.29 ZURA BIO LIMITED CLASS A ORDINARY SHARES Biotechnology: Biological Products (No Diagnostic Substances) Health Care
11102    ZVIA 7/22/2021 6.03 ZEVIA PBC CLASS A COMMON STOCK Beverages (Production/Distribution) Consumer Staples
11103    ZVOL 11/22/2024 0.18 VOLATILITY PREMIUM PLUS ETF Exchange Traded Fund Financial
11104    ZVRA 1/8/2021 10 ZEVRA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11105    ZVSA 2/11/2022 4.25 ZYVERSA THERAPEUTICS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11106    ZWS 10/5/2021 14 ZURN ELKAY WATER SOLUTIONS CORPORATION COMMON STOCK Industrial Machinery/Components Industrials
11107    ZYBT 1/7/2025 0.08 ZHENGYE BIOTECHNOLOGY HOLDING LIMITED ORDINARY SHARES Biotechnology: Pharmaceutical Preparations Health Care
11108    ZYME 4/28/2017 19 ZYMEWORKS INC. COMMON STOCK Biotechnology: Pharmaceutical Preparations Health Care
11109    ZYXI 7/8/2008 15 ZYNEX INC. COMMON STOCK Biotechnology: Electromedical & Electrotherapeutic Apparatus Health Care
11110    ZZZ 3/12/2024 0.04 CYBER HORNET S&P 500 AND BITCOIN 75/25 STRATEGY ETF Exchange Traded Fund Financial

Delisted Instruments:

# Symbol StartDate Size(MB) Description Industry Sector
1    AA.B 9/24/2014 1.64
2    AAAP 11/11/2015 2.9
3    AABA 4/27/2007 64
4    AAC 10/2/2014 11
5    AACC 2/25/2004 14
6    AACI 11/10/2021 0.2
7    AACIU 8/13/2021 0.04
8    AACIW 11/11/2021 0.16
9    AACOU 10/15/2012 0.01
10    AACOW 6/6/2012 0.02
11    AACQ 9/4/2020 2.54
12    AACQU 7/14/2020 0.49
13    AACQW 9/4/2020 1.09
14    AAI 8/15/2001 34
15    AAIC 10/26/2020 3.51
16    AAIC.B 10/26/2020 0.13
17    AAIC.C 10/26/2020 0.24
18    AAIN 7/19/2021 0.16
19    AAIT 4/9/2012 0.17
20    AAM.A 3/9/2017 2.88
21    AAM.B 3/26/2018 2.39
22    AAMC 3/21/2022 0.73
23    AAMRQ 1/2/1998 60
24    AAN 11/25/2020 11
25    AAPGV 1/24/2025 0.01
26    AAQC 5/10/2021 0.24
27    AATI 8/4/2005 15
28    AAU 12/20/2005 21
29    AAV 12/9/2005 30
30    AAVL 7/31/2014 4.82
31    AAVX 9/8/2011 0.15
32    AAWW 5/31/2006 49
33    AAXN 5/1/2007 51
34    ABAC 7/20/2010 2.08
35    ABAX 1/2/1998 38
36    ABB 4/6/2001 85
37    ABBC 12/17/2004 6.16
38    ABC 8/30/2001 97
39    ABCD 12/9/2009 5.9
40    ABCM 10/22/2020 7.08
41    ABCO 11/13/2001 36
42    ABCW 10/22/2014 1.03
43    ABD 8/17/2005 21
44    ABDC 5/9/2014 4.22
45    ABE 5/16/2007 2.93
46    ABEOW 12/19/2014 0.28
47    ABFS 1/2/1998 44
48    ABGB 10/17/2013 1.6
49    ABGI 2/17/2021 0.28
50    ABH 12/10/2010 4.14
51    ABI 10/4/2012 0.02
52    ABII 11/14/2007 3.18
53    ABIL 2/5/2014 3.23
54    ABILW 2/7/2014 0.1
55    ABIO 1/28/2009 17
56    ABK 1/3/2000 43
57    ABLX 10/25/2017 0.93
58    ABMD 1/2/1998 61
59    ABR.A 2/5/2013 0.82
60    ABR.B 5/14/2013 0.59
61    ABR.C 2/28/2014 0.63
62    ABRN 5/15/2014 0.6
63    ABST 10/28/2020 4.52
64    ABTL 6/9/2005 15
65    ABTX 10/8/2015 6.37
66    ABV 9/15/2000 45
67    ABVA 12/6/2001 0.74
68    ABVT 9/22/2006 7.51
69    ABX 1/2/1998 98
70    ABY 6/13/2014 12
71    ACAB 3/9/2022 0.1
72    ACABU 1/14/2022 0.04
73    ACABW 3/7/2022 0.06
74    ACAC 12/21/2020 0.9
75    ACACU 10/23/2020 0.23
76    ACACW 12/15/2020 0.31
77    ACAH 4/28/2021 0.25
78    ACAHU 3/4/2021 0.28
79    ACAHW 4/29/2021 0.21
80    ACAM 5/9/2019 0.8
81    ACAMU 2/22/2019 0.11
82    ACAMW 4/15/2019 0.33
83    ACAP 1/26/2001 13
84    ACAQ 12/13/2021 0.16
85    ACAS 1/2/1998 66
86    ACAT 1/2/1998 30
87    ACAX 3/24/2022 0.14
88    ACAXR 3/24/2022 0.05
89    ACAXU 2/1/2022 0.02
90    ACAXW 3/24/2022 0.04
91    ACBA 5/26/2021 0.06
92    ACBAU 4/6/2021 0.03
93    ACBAW 5/21/2021 0.07
94    ACBI 11/2/2015 7.68
95    ACC 8/16/2004 63
96    ACCL 2/27/2004 17
97    ACCP 5/16/2007 1.11
98    ACCU 1/26/2012 0.21
99    ACDCW 11/2/2022 0.07
100    ACDI 12/31/2021 0.03
101    ACE 3/30/2001 62
102    ACER 5/16/2007 16
103    ACERW 2/2/2012 2.23
104    ACEV 9/21/2020 2.58
105    ACEVU 7/28/2020 0.21
106    ACEVW 9/17/2020 0.82
107    ACF 1/2/1998 41
108    ACFC 10/5/2004 2.63
109    ACG 1/2/1998 38
110    ACGLP 10/3/2016 3.46
111    ACGN 12/10/2007 29
112    ACH 12/11/2001 41
113    ACHN 11/9/2006 36
114    ACIA 5/13/2016 17
115    ACIC.U 10/28/2020 0.43
116    ACII 3/29/2021 0.47
117    ACIM 3/6/2012 0.7
118    ACKIT 2/4/2021 0.2
119    ACKIU 12/21/2020 0.17
120    ACKIW 2/4/2021 0.22
121    ACLI 10/11/2005 15
122    ACMP 7/29/2010 12
123    ACND 9/14/2020 0.74
124    ACND.U 7/24/2020 0.17
125    ACO 9/22/1998 28
126    ACOM 11/5/2009 11
127    ACOR 2/10/2006 55
128    ACPW 8/8/2000 22
129    ACQR 5/19/2021 0.27
130    ACQRU 3/9/2021 0.24
131    ACQRW 5/17/2021 0.19
132    ACRO 8/30/2021 0.27
133    ACRX 2/11/2011 30
134    ACS 5/1/2007 12
135    ACSF 1/16/2014 3.25
136    ACSG 12/6/2018 0.14
137    ACST 1/7/2013 18
138    ACT.A 3/5/2015 0.16
139    ACTA 4/27/2007 25
140    ACTC 11/25/2020 2.55
141    ACTCU 9/23/2020 0.34
142    ACTCW 11/24/2020 0.93
143    ACTD 5/24/2021 0.45
144    ACTDU 3/23/2021 0.11
145    ACTDW 5/21/2021 0.13
146    ACTI 3/5/2003 11
147    ACTS 11/30/2005 10
148    ACTT 5/16/2007 0.46
149    ACTTU 4/26/2019 0.05
150    ACTTW 5/14/2019 0.17
151    ACW 12/22/2010 13
152    ACWF 5/4/2015 1.09
153    ACXM 1/2/1998 66
154    ACY 9/19/2002 5.5
155    ADAL 12/29/2021 0.05
156    ADALU 10/28/2021 0.05
157    ADALW 12/27/2021 0.07
158    ADAT 3/28/2001 13
159    ADEP 11/15/2005 5.47
160    ADER 3/8/2021 0.46
161    ADERU 1/15/2021 0.31
162    ADERW 3/9/2021 0.44
163    ADES 10/14/2004 19
164    ADEX 3/3/2021 0.56
165    ADF 3/26/2010 0.18
166    ADGE 12/28/2007 2.95
167    ADGF 2/19/2008 0.58
168    ADGI 8/6/2021 4.15
169    ADHD 5/22/2013 6.99
170    ADILW 7/27/2018 0.17
171    ADK 12/21/2006 3.1
172    ADK.A 11/15/2012 0.71
173    ADLR 11/15/2000 24
174    ADMP 4/7/2010 25
175    ADMS 4/10/2014 18
176    ADNC 5/11/2012 5.89
177    ADOC 12/10/2020 0.2
178    ADOCR 12/10/2020 0.15
179    ADOCU 11/10/2020 0.02
180    ADOCW 12/10/2020 0.37
181    ADOM 6/15/2017 5.97
182    ADPI 10/1/2002 9.53
183    ADRA 12/16/2002 2.7
184    ADRD 10/18/2004 2.82
185    ADRE 11/26/2002 15
186    ADRO 4/15/2015 15
187    ADRT 2/9/2022 0.33
188    ADRU 12/7/2004 1.31
189    ADS 6/15/2001 74
190    ADSW 10/6/2016 13
191    ADTH 4/20/2021 4.15
192    ADTHW 4/20/2021 0.48
193    ADVNB 1/2/1998 18
194    ADVS 1/2/1998 46
195    ADXSW 10/17/2013 0.73
196    ADY 12/4/2006 9.26
197    ADYX 4/2/2007 5.96
198    ADZ 4/16/2008 0.17
199    AE 1/2/1998 5.9
200    AEA 12/20/2004 23
201    AEAC 3/8/2021 0.23
202    AEACU 1/15/2021 0.27
203    AEACW 3/8/2021 0.24
204    AEAE 12/13/2021 0.1
205    AEAEU 10/29/2021 0.07
206    AEB 12/4/2006 6.44
207    AEC 1/2/1998 32
208    AED 12/22/2005 8.55
209    AEGN 7/31/2002 47
210    AEGR 10/22/2010 16
211    AEH 6/16/2005 14
212    AEHA 11/8/2021 0.06
213    AEHAU 9/15/2021 0.02
214    AEHAW 11/5/2021 0.06
215    AEK 2/7/2012 4.68
216    AEL 12/4/2003 68
217    AEL.A 11/25/2019 2.46
218    AEL.B 6/22/2020 1.7
219    AEMB 7/1/2021 0.07
220    AEN 10/16/2008 3.19
221    AENZ 7/6/2018 1.61
222    AEP.B 3/25/2019 0.6
223    AEP.C 8/19/2020 0.08
224    AEPI 1/2/1998 13
225    AEPPL 10/1/2020 0.63
226    AEPPZ 10/1/2020 0.78
227    AERC 11/24/2021 3.04
228    AERI 10/25/2013 29
229    AERL 2/22/2010 4.11
230    AES.C 5/16/2007 2.69
231    AESC 3/15/2021 0.79
232    AESE 10/25/2017 6.17
233    AESEW 10/25/2017 0.67
234    AET 1/2/1998 87
235    AETI 5/16/2007 2.98
236    AEUA 6/11/2015 0.94
237    AEV 7/26/2006 6.85
238    AEY 11/24/2003 6.53
239    AEZ 5/17/2005 10
240    AEZS 6/3/2004 33
241    AF 5/17/2002 54
242    AF.C 3/25/2013 1.15
243    AFA 8/28/2012 1.11
244    AFAC 1/4/2022 0.02
245    AFACU 11/10/2021 0.03
246    AFACW 1/3/2022 0.03
247    AFAM 2/1/2000 19
248    AFAQ 5/27/2021 0.1
249    AFAQU 3/19/2021 0.09
250    AFAQW 5/21/2021 0.06
251    AFAR 6/3/2022 0.07
252    AFARU 4/13/2022 0.02
253    AFARW 6/3/2022 0.04
254    AFC 4/17/2007 4.79
255    AFCB 1/7/2010 0.2
256    AFCE 8/9/2004 20
257    AFCO 10/20/2015 1.43
258    AFE 2/11/2004 1.15
259    AFF 7/6/2007 6.45
260    AFFM 7/12/2004 4.53
261    AFFX 1/2/1998 64
262    AFGH 11/20/2015 1.71
263    AFH 2/12/2013 7
264    AFHBL 5/16/2017 0.19
265    AFI 3/17/2016 12
266    AFIN 7/19/2018 11
267    AFINO 12/16/2020 0.34
268    AFINP 3/22/2019 1.39
269    AFM 10/16/2012 0.53
270    AFOP 11/30/2000 17
271    AFP 1/5/1998 1.29
272    AFQ 9/30/2010 1.25
273    AFSD 9/27/2012 3.46
274    AFSI 11/28/2006 40
275    AFSI.A 6/26/2013 1.4
276    AFSI.B 7/7/2014 1.22
277    AFSI.C 9/18/2014 1
278    AFSI.D 3/20/2015 1.43
279    AFSI.E 3/17/2016 1.14
280    AFSI.F 9/29/2016 1.57
281    AFSS 6/22/2015 1.07
282    AFST 11/24/2017 0.37
283    AFT 2/25/2011 16
284    AFTR 10/4/2021 0.18
285    AFTY 3/12/2015 1.6
286    AFW 6/14/2012 1.71
287    AGA 4/16/2008 1.18
288    AGAC 3/25/2021 0.51
289    AGBA 2/11/2020 4.17
290    AGBAR 7/18/2019 0.54
291    AGBAU 5/14/2019 0.02
292    AGBAW 7/30/2019 0.53
293    AGC 5/25/2007 19
294    AGCB 1/7/2021 1.67
295    AGCUU 10/1/2020 0.67
296    AGCWW 12/7/2020 0.5
297    AGE 11/29/2018 4.88
298    AGF 4/15/2008 0.61
299    AGFS 4/24/2014 10
300    AGFSW 4/10/2014 0.47
301    AGGE 5/10/2016 0.36
302    AGGP 5/10/2016 1.32
303    AGGR 5/19/2021 0.12
304    AGGRU 3/10/2021 0.13
305    AGGRW 5/5/2021 0.1
306    AGII 1/2/1998 33
307    AGIIL 9/25/2012 1.34
308    AGIL 1/14/2020 2.57
309    AGILW 1/14/2020 0.34
310    AGLE 4/7/2016 11
311    AGLS 7/9/2010 0.27
312    AGM.B 3/28/2014 0.29
313    AGM.C 6/27/2014 0.46
314    AGN 6/15/2015 24
315    AGN.A 6/15/2015 1.97
316    AGNCB 5/9/2014 1.83
317    AGND 12/18/2013 0.43
318    AGO.B 4/1/2010 1.62
319    AGO.E 4/1/2010 3.91
320    AGO.F 4/1/2010 1.97
321    AGOL 1/14/2011 0.17
322    AGOV 7/22/2021 0.1
323    AGP 1/7/2003 37
324    AGR 12/17/2015 33
325    AGRG 5/19/2011 0.02
326    AGRIW 7/8/2021 0.27
327    AGRX 5/23/2014 21
328    AGT 4/27/2017 0.68
329    AGTC 3/27/2014 16
330    AGTI 4/23/2021 7.07
331    AGU 1/2/1998 61
332    AH 5/20/2010 11
333    AHAC 12/1/2020 1.09
334    AHACU 9/18/2020 0.14
335    AHACW 11/24/2020 0.29
336    AHB 8/11/2009 0.03
337    AHC 2/11/2008 14
338    AHCI 2/23/2004 7.79
339    AHCOW 5/22/2018 0.11
340    AHGP 3/15/2018 0.28
341    AHHX 11/15/2021 0.14
342    AHI 11/19/2021 2.35
343    AHL 12/5/2003 48
344    AHL.A 5/16/2007 2.02
345    AHL.B 4/12/2012 1.32
346    AHL.C 5/7/2013 4.92
347    AHOY 4/28/2023 0.01
348    AHP 11/20/2013 9.43
349    AHP.B 5/2/2016 0.2
350    AHPA 1/5/2017 0.16
351    AHPAU 10/11/2016 0.1
352    AHPAW 1/5/2017 0.14
353    AHPI 9/17/2002 7.41
354    AHRN 2/8/2022 0.04
355    AHRNU 12/15/2021 0.05
356    AHRNW 2/4/2022 0.02
357    AHS 11/13/2001 40
358    AHT.A 5/16/2007 0.85
359    AHT.E 4/21/2011 0.9
360    AHY 10/8/2008 0.04
361    AI.B 5/16/2017 0.16
362    AI.C 3/14/2019 0.24
363    AIB 11/8/2012 1.46
364    AIBBR 2/23/2022 0.02
365    AIBBU 1/19/2022 0.02
366    AIC 3/23/2015 0.72
367    AIDB 5/24/2023 0.03
368    AIF 2/26/2013 13
369    AIG.A 5/19/2008 6.7
370    AIH 10/25/2019 2.13
371    AIII 5/17/2007 0.49
372    AIIQ 6/6/2018 0.28
373    AIKI 5/16/2007 20
374    AILE 4/26/2021 2.03
375    AILEW 4/23/2021 0.38
376    AILG 12/2/2021 0.02
377    AILV 12/2/2021 0.01
378    AIMC 12/15/2006 39
379    AIMCV 9/19/2018 0.01
380    AIMT 8/6/2015 16
381    AINC 11/7/2014 2.04
382    AINV 4/6/2004 68
383    AIPC 11/14/2008 5.12
384    AIPT 4/9/2010 5.46
385    AIRC 12/15/2020 13
386    AIRM 1/2/1998 33
387    AIRTW 6/12/2019 0.36
388    AIRV 7/20/2007 4.81
389    AITB 9/23/2016 0.21
390    AIU 5/2/2022 0.66
391    AIV.A 5/19/2014 0.22
392    AIV.Z 8/2/2011 0.28
393    AIW 5/6/2013 0.45
394    AIXG 3/15/2005 17
395    AIY 6/26/2013 1.5
396    AIZP 3/15/2018 0.34
397    AJAX 12/18/2020 2.2
398    AJAX.U 10/28/2020 0.75
399    AJB 1/27/2012 0.03
400    AJRD 4/26/2007 55
401    AJX 2/13/2015 12
402    AJXA 4/28/2017 0.89
403    AKAO 3/12/2014 13
404    AKCA 7/14/2017 8.12
405    AKE 7/25/2007 0.08
406    AKER 1/23/2014 11
407    AKG 1/2/2008 20
408    AKIC 2/26/2021 0.19
409    AKICU 1/6/2021 0.21
410    AKICW 2/26/2021 0.11
411    AKLI 6/30/2021 2.47
412    AKN 12/17/2007 0.12
413    AKNS 5/7/2007 6.51
414    AKP 1/29/2002 5.84
415    AKRX 2/7/2007 48
416    AKS 1/2/1998 85
417    AKTS 5/28/2015 22
418    AKU 9/3/2020 1.91
419    AKUS 6/26/2020 3.75
420    AL.A 3/7/2019 2.17
421    ALAC 10/24/2018 0.67
422    ALACR 11/21/2018 0.49
423    ALACU 10/24/2018 0.02
424    ALACW 11/21/2018 1.04
425    ALBO 5/16/2007 24
426    ALCC 7/8/2021 1.6
427    ALCS 1/2/1998 1.81
428    ALD 3/17/2011 2.11
429    ALDR 5/8/2014 18
430    ALDW 11/20/2012 11
431    ALFA 5/31/2012 1.51
432    ALFI 11/10/2015 0.06
433    ALFIW 5/4/2021 0.32
434    ALGR 8/13/2018 0.08
435    ALGRR 8/13/2018 0.14
436    ALGRU 7/3/2018 0.04
437    ALGRW 8/13/2018 0.09
438    ALIM 4/22/2010 15
439    ALIN.A 5/2/2013 3.08
440    ALIN.B 4/21/2015 2.67
441    ALIN.E 1/25/2018 1.71
442    ALJ 7/28/2005 41
443    ALJJ 5/16/2007 4.4
444    ALL.A 6/17/2013 2.1
445    ALL.C 10/4/2013 2.24
446    ALL.D 12/27/2013 1.1
447    ALL.E 3/7/2014 4.24
448    ALL.F 6/19/2014 1.47
449    ALL.G 3/27/2018 3.71
450    ALLB 6/27/2006 0.47
451    ALLG 4/1/2021 3.65
452    ALLI 6/28/2005 5.79
453    ALLY.A 3/8/2011 14
454    ALLY.B 3/28/2011 4.75
455    ALM 5/7/2007 1.91
456    ALN 9/14/2009 3.67
457    ALNA 11/2/2017 11
458    ALNC 2/4/2002 1.86
459    ALO 2/9/2010 11
460    ALOG 1/4/2018 0.97
461    ALOR 1/13/2022 0.06
462    ALORU 11/19/2021 0.03
463    ALORW 1/11/2022 0.07
464    ALP.O 5/16/2007 0.53
465    ALP.Q 9/12/2017 1.84
466    ALPA 9/23/2021 0.08
467    ALPAU 7/27/2021 0.04
468    ALPAW 9/20/2021 0.07
469    ALPN 6/17/2015 9.38
470    ALPS 9/28/2022 0.81
471    ALQA 4/2/2007 5.78
472    ALR 7/5/2000 51
473    ALR.B 11/27/2009 0.51
474    ALRN 6/29/2017 8.88
475    ALSA 1/20/2022 0.08
476    ALSAR 1/20/2022 0.07
477    ALSAU 12/13/2021 0.05
478    ALSAW 1/19/2022 0.12
479    ALSK 11/18/1999 42
480    ALTA 6/11/2015 3.8
481    ALTE 11/27/2009 11
482    ALTH 6/23/2000 24
483    ALTIW 4/28/2021 0.24
484    ALTU 5/7/2007 7.59
485    ALTUU 12/9/2020 0.25
486    ALTUW 1/29/2021 0.97
487    ALTV 5/16/2007 2.06
488    ALU 1/2/1998 74
489    ALUM 10/6/2023 0.01
490    ALUS 1/10/2020 1.69
491    ALUS.U 11/26/2019 0.1
492    ALXA 3/8/2006 15
493    ALXN 1/2/1998 81
494    ALY 9/13/2004 16
495    ALYA 5/16/2007 5.24
496    ALZH 4/25/2011 0.09
497    AMAG 6/27/2006 45
498    AMAM 6/18/2021 4.39
499    AMAO 5/5/2021 0.22
500    AMAOU 3/18/2021 0.06
501    AMAOW 4/30/2021 0.12
502    AMAP 7/1/2010 7.82
503    AMB 1/2/1998 36
504    AMBCW 7/1/2019 0.04
505    AMBR 3/21/2014 8.21
506    AMBT 1/4/2007 2.02
507    AMCA 8/11/2017 0.12
508    AMCC 1/2/1998 71
509    AMCI 8/4/2009 1.43
510    AMCIU 11/16/2018 0.07
511    AMCIW 1/24/2019 1.29
512    AMCN 11/7/2007 19
513    AMCP 2/10/2006 1.3
514    AMCS 1/4/2005 7.17
515    AMDA 2/13/2014 8.39
516    AMEH 9/8/2008 10
517    AMER 10/15/2020 0.08
518    AMFI 1/2/1998 15
519    AMFW 11/13/2014 4.71
520    AMGP 5/4/2017 6.08
521    AMH.A 10/30/2013 0.69
522    AMH.B 1/3/2014 0.41
523    AMH.C 5/8/2014 0.6
524    AMH.D 5/25/2016 1.53
525    AMH.E 6/30/2016 1.73
526    AMH.F 4/26/2017 1.06
527    AMHC 1/23/2014 0.28
528    AMHCU 11/20/2019 0.04
529    AMHCW 1/10/2020 0.12
530    AMIC 3/17/2003 0.87
531    AMJ 6/2/2009 56
532    AMJL 5/18/2016 0.43
533    AMK 5/16/2007 7.54
534    AMLI 1/10/2023 3.83
535    AMLN 1/2/1998 49
536    AMM 7/25/2008 0.06
537    AMMA 10/6/2016 1.82
538    AMMD 8/15/2000 32
539    AMNA 6/22/2020 0.15
540    AMNB 2/5/2002 5.98
541    AMND 7/16/2020 0.08
542    AMOT 11/21/2002 10
543    AMOV 2/8/2001 2.79
544    AMPI 4/22/2021 0.11
545    AMRB 12/9/2002 1.91
546    AMRE 7/27/2012 3.13
547    AMRH 11/22/2016 5.75
548    AMRHW 11/17/2017 0.16
549    AMRI 2/4/1999 41
550    AMRS 9/28/2010 41
551    AMRWW 4/28/2017 0.51
552    AMSG 7/13/2001 40
553    AMSGP 6/30/2014 0.14
554    AMSWA 10/25/2005 27
555    AMT.A 5/19/2014 0.36
556    AMT.B 3/5/2015 0.62
557    AMTBB 8/29/2018 0.38
558    AMTC 3/28/2006 0.12
559    AMTCP 10/10/2003 0.09
560    AMTG 7/22/2011 14
561    AMTG.A 9/24/2012 1.19
562    AMTI 8/6/2009 6.15
563    AMTR 10/17/2007 0.26
564    AMU 7/31/2012 7.13
565    AMV 9/27/2022 1.91
566    AMYT 12/31/2019 2.25
567    AMZG 4/23/2007 3.81
568    ANAC 11/24/2010 14
569    ANAD 1/2/1998 46
570    ANAT 1/2/1998 13
571    ANCB 1/26/2011 0.48
572    ANCI 9/29/2008 2.42
573    ANCN 2/12/2019 1.31
574    ANCX 7/19/2004 5.65
575    AND 2/3/2011 0.51
576    ANDA 3/6/2019 0.31
577    ANDAR 12/7/2015 0.32
578    ANDAU 3/19/2012 0.07
579    ANDAW 5/10/2012 0.58
580    ANDV 4/30/2007 52
581    ANDX 4/20/2011 21
582    ANEN 1/2/1998 24
583    ANFI 10/11/2012 12
584    ANGN 7/16/2003 5.53
585    ANH 5/9/2003 66
586    ANH.A 5/16/2007 1.06
587    ANH.B 5/16/2007 0.68
588    ANH.C 1/28/2015 0.76
589    ANLY 1/2/1998 5.84
590    ANN 1/2/1998 63
591    ANNB 11/8/2002 0.32
592    ANO 3/15/2004 6.74
593    ANPC 1/31/2020 3.17
594    ANR 2/15/2005 45
595    ANSCU 11/9/2023 0.04
596    ANST 1/2/1998 11
597    ANTM 10/30/2001 91
598    ANTP 2/2/1998 6.07
599    ANV 5/10/2007 26
600    ANVGQ 5/10/2007 26
601    ANW 12/8/2006 33
602    ANX 4/29/2004 15
603    ANZU 4/29/2021 0.26
604    ANZUU 3/2/2021 0.23
605    ANZUW 4/23/2021 0.25
606    AOB 12/18/2006 17
607    AOBC 5/1/2007 49
608    AOC 1/2/1998 42
609    AOGOU 12/27/2021 0.04
610    AOI 5/16/2005 31
611    AOIL 3/31/2017 0.08
612    AOL 12/10/2009 23
613    AONE 9/24/2009 15
614    AONE.U 8/18/2020 0.28
615    AOUTV 8/21/2020 0.01
616    APAC 1/2/1998 14
617    APACU 7/16/2021 0.06
618    APACW 9/7/2021 0.16
619    APAGF 11/21/2006 3.84
620    APB 1/2/1998 7.45
621    APC 1/2/1998 91
622    APCA 2/7/2022 0.09
623    APDNW 11/17/2014 0.37
624    APE 8/22/2022 7.02
625    APEN 5/16/2007 8.42
626    APEX 5/10/2007 14
627    APF 1/2/1998 13
628    APFC 1/2/1998 4.55
629    APFH 7/15/2016 2.69
630    APGB 4/5/2021 0.72
631    APGN 2/22/2021 1.35
632    APGNW 2/22/2021 0.32
633    APHA 3/18/2015 19
634    APHB 8/21/2015 4.27
635    APIC 4/24/2015 3.16
636    APKT 10/13/2006 24
637    APL 5/14/2004 27
638    APLP 3/15/2018 0.17
639    APMI 10/6/2021 0.06
640    APMIU 8/13/2021 0.04
641    APMIW 10/12/2021 0.06
642    APN 12/30/2021 0.04
643    APO.B 3/26/2018 1.79
644    APOL 1/2/1998 76
645    APOP 8/1/2016 4.43
646    APOPW 7/29/2016 0.23
647    APPH 6/12/2020 12
648    APPHW 6/16/2020 2.02
649    APPX 11/14/2007 2.51
650    APPY 8/28/2007 11
651    APR 2/11/2021 2.88
652    APRI 2/11/2010 14
653    APRN 6/29/2017 25
654    APSA 11/5/2003 0.46
655    APSG 1/2/1998 20
656    APSG.U 10/2/2020 0.67
657    APTI 9/23/2016 6.67
658    APTM 9/23/2021 0.12
659    APTMU 7/28/2021 0.1
660    APTMW 9/27/2021 0.09
661    APTS 4/1/2011 23
662    APTV.A 6/16/2020 0.56
663    APTX 6/21/2018 8.85
664    APU 1/2/1998 37
665    APVOV 7/20/2016 0.02
666    APXI 1/28/2022 0.07
667    APXIU 12/7/2021 0.06
668    APXIW 1/28/2022 0.07
669    APXT 11/5/2019 3.64
670    APXTU 9/17/2019 0.1
671    APXTW 11/5/2019 1.23
672    APY 5/16/2007 7.48
673    AQ 4/27/2012 5.33
674    AQBTV 1/9/2017 0.01
675    AQGX 11/8/2021 0.11
676    AQNA 10/23/2018 2
677    AQNU 6/29/2021 1.51
678    AQQ 11/20/2001 0.71
679    AQUA 11/2/2017 20
680    AQXP 3/7/2014 7.12
681    ARA 1/2/1998 33
682    ARAV 3/21/2014 17
683    ARBA 4/22/2003 36
684    ARBG 1/11/2021 0.26
685    ARBGU 11/20/2020 0.15
686    ARBGW 1/11/2021 0.22
687    ARC 2/4/2005 45
688    ARCE 9/26/2018 8.82
689    ARCH 10/5/2016 26
690    ARCI 3/21/2006 3.41
691    ARCK 12/20/2021 0.06
692    ARCKU 10/29/2021 0.06
693    ARCKW 12/20/2021 0.03
694    ARCL 11/20/2009 2.66
695    ARCP 9/9/2011 12
696    ARCPP 1/6/2014 2.36
697    ARCW 3/13/2007 2.96
698    ARCX 11/6/2013 2.24
699    ARD 3/15/2017 6.23
700    ARDM 5/16/2007 3.2
701    ARDNA 1/2/1998 1.17
702    ARE.D 11/18/2008 0.25
703    ARE.E 3/15/2012 0.83
704    ARES.A 6/14/2016 2.21
705    AREX 11/8/2007 33
706    ARG 1/2/1998 57
707    ARGN 6/21/2000 16
708    ARGO 5/3/2007 34
709    ARGS 2/7/2014 6.92
710    ARGU 11/15/2021 0.05
711    ARGUU 9/22/2021 0.08
712    ARGUW 11/12/2021 0.12
713    ARH.C 4/9/2012 2.55
714    ARI.A 8/2/2012 0.69
715    ARI.C 9/2/2016 0.73
716    ARIA 1/2/1998 57
717    ARII 1/23/2006 28
718    ARIZ 12/9/2021 0.07
719    ARIZR 12/9/2021 0.06
720    ARIZU 11/18/2021 0.02
721    ARIZW 12/9/2021 0.1
722    ARJ 2/10/1999 23
723    ARK 1/2/1998 16
724    ARLZ 4/26/2007 27
725    ARMF 10/29/2013 0.85
726    ARMH 4/14/2008 36
727    ARMO 1/26/2018 0.99
728    ARMR 2/11/2020 0.38
729    ARNA 7/28/2000 70
730    ARNC 1/2/1998 117
731    ARNC.B 11/1/2016 0.55
732    ARO 5/16/2002 57
733    ARP.D 10/27/2014 0.61
734    ARP.E 4/15/2015 0.12
735    ARPI 5/9/2013 7.03
736    ARPO 8/8/2017 6.04
737    ARQL 1/2/1998 42
738    ARR.A 6/11/2012 1.01
739    ARR.B 2/13/2013 2.48
740    ARRS 1/2/1998 70
741    ARRW 4/26/2021 0.19
742    ARRWU 3/2/2021 0.16
743    ARRWW 4/23/2021 0.21
744    ARSD 8/30/2006 3.29
745    ART 9/24/2009 9.79
746    ARTA 7/16/2021 0.45
747    ARTAU 5/14/2021 0.3
748    ARTAW 7/19/2021 0.09
749    ARTC 1/2/1998 35
750    ARTE 11/23/2021 0.1
751    ARTEU 9/30/2021 0.05
752    ARTEW 11/22/2021 0.13
753    ARTG 7/21/1999 31
754    ARTLW 6/21/2019 0.22
755    ARTX 2/6/2003 20
756    ARU 10/8/2012 1.21
757    ARUN 3/27/2007 33
758    ARVL 3/25/2021 12
759    ARVLW 3/25/2021 0.5
760    ARWA 5/27/2015 0.03
761    ARWAR 5/18/2015 0.04
762    ARWAU 5/1/2015 0.02
763    ARWAW 5/18/2015 0.07
764    ARX 11/19/2010 5.96
765    ARY 11/15/2010 2.13
766    ARYA 10/5/2018 1.09
767    ARYAU 10/5/2018 0.07
768    ARYAW 12/12/2018 0.08
769    ARYB 7/30/2020 0.08
770    ARYBU 6/5/2020 0.13
771    ARYBW 7/30/2020 0.01
772    ARYD 2/26/2021 0.28
773    ARYE 7/13/2021 0.13
774    ASAI 3/9/2021 10
775    ASAP 12/22/2016 17
776    ASAQ 10/15/2020 0.54
777    ASAQ.U 10/2/2020 0.18
778    ASAX 3/15/2021 0.26
779    ASAXU 2/4/2021 0.15
780    ASAXW 3/15/2021 0.14
781    ASB.B 10/10/2011 0.42
782    ASB.C 6/10/2015 0.47
783    ASB.D 9/21/2016 0.79
784    ASBB 10/12/2011 0.41
785    ASBC 1/2/1998 55
786    ASBCW 12/1/2011 0.06
787    ASBI 1/2/1998 0.91
788    ASCA 1/2/1998 37
789    ASCAR 3/18/2022 0.04
790    ASCAU 2/15/2022 0.03
791    ASCAW 3/17/2022 0.04
792    ASCB 5/31/2022 0.1
793    ASCBR 5/31/2022 0.06
794    ASCBU 5/3/2022 0.06
795    ASCBW 5/31/2022 0.03
796    ASCMA 9/26/2008 13
797    ASD 1/2/1998 28
798    ASDR 7/25/2013 0.01
799    ASEI 10/6/2004 22
800    ASF 1/2/1998 31
801    ASFI 1/7/1998 17
802    ASGR 1/5/1998 9.37
803    ASHX 10/21/2015 0.32
804    ASI 2/13/1998 9.03
805    ASLEW 2/28/2019 1.09
806    ASLN 5/4/2018 7.09
807    ASMI 3/15/1999 24
808    ASN 7/7/1998 23
809    ASNA 4/30/2007 52
810    ASP 1/2/1998 2.12
811    ASPA 9/3/2021 0.08
812    ASPAU 8/10/2021 0.02
813    ASPAW 9/3/2021 0.07
814    ASPCW 4/16/2021 0.18
815    ASPL 11/13/2020 1.21
816    ASPL.U 9/23/2020 0.17
817    ASPM 1/28/2000 14
818    ASPX 2/5/2014 2.88
819    ASPY 3/10/2021 0.23
820    ASRVP 1/26/2006 0.61
821    AST 10/8/2014 5.79
822    ASTM 1/2/1998 30
823    ASTR 7/1/2021 13
824    ASTRW 10/5/2020 0.92
825    ASTSW 11/1/2019 2.35
826    ASTX 1/2/1998 35
827    ASV 5/12/2017 0.44
828    ASXC 3/5/2021 14
829    ASYT 1/2/1998 28
830    ASZ 4/19/2021 1.02
831    AT 7/23/2010 31
832    ATA 2/26/2008 0.27
833    ATA.U 12/15/2020 0.1
834    ATAC 1/2/1998 22
835    ATAC.U 10/23/2020 0.32
836    ATACR 9/7/2017 0.05
837    ATACU 8/9/2017 0.02
838    ATAK 3/21/2022 0.21
839    ATAKR 3/21/2022 0.06
840    ATAKU 2/7/2022 0.03
841    ATAKW 3/21/2022 0.1
842    ATAQ 4/26/2021 0.13
843    ATAX 7/1/2008 12
844    ATB 11/5/2004 5.57
845    ATC 6/19/2003 5.64
846    ATCO 8/9/2005 45
847    ATCO.E 2/14/2014 2.29
848    ATCO.G 6/20/2016 2.29
849    ATCO.I 9/25/2018 1.45
850    ATCX 11/16/2018 3.59
851    ATCXW 2/13/2019 0.15
852    ATE 10/25/2001 5.02
853    ATEST.A 9/26/2016 0.01
854    ATEST.B 9/26/2016 0.01
855    ATG 1/2/1998 26
856    ATH 12/9/2016 20
857    ATHL 8/2/2013 4.57
858    ATHN 9/20/2007 40
859    ATHR 2/13/2004 28
860    ATHX 12/12/2007 33
861    ATIF 5/3/2019 4.19
862    ATIS 5/16/2007 2.44
863    ATISW 1/25/2017 0.04
864    ATK 1/2/1998 48
865    ATL 5/16/2007 6.23
866    ATMCU 12/30/2022 0.03
867    ATMI 1/2/1998 43
868    ATML 1/2/1998 85
869    ATMR 8/5/2016 0.51
870    ATNX 6/14/2017 18
871    ATNY 10/8/2008 3.17
872    ATPG 2/7/2001 33
873    ATRI 10/29/2004 3.09
874    ATRS 5/23/2002 53
875    ATSC 1/5/2010 0.2
876    ATSI 1/2/1998 10
877    ATSPT 4/23/2021 0.1
878    ATSPU 3/11/2021 0.08
879    ATSPW 4/26/2021 0.08
880    ATT 2/27/2007 7.86
881    ATTO 10/2/2014 7.06
882    ATTU 10/3/2011 6.81
883    ATU 7/24/2000 58
884    ATV 5/3/2007 6.42
885    ATVC 5/26/2021 0.09
886    ATVCU 3/5/2021 0.14
887    ATVCW 5/19/2021 0.08
888    ATVI 1/2/1998 110
889    ATW 1/2/1998 61
890    ATX 2/8/1999 3.92
891    ATY 10/12/2007 2.1
892    AUBAP 6/11/2020 0.71
893    AUD 11/1/2011 24
894    AUG 7/17/2017 2.8
895    AUGR 8/1/2018 0.07
896    AUGX 3/31/2021 3.68
897    AULT 1/3/2023 8.56
898    AULT.D 1/3/2023 0.1
899    AUMA 10/31/2014 0.04
900    AUMAU 10/2/2014 0.08
901    AUMAW 10/29/2014 0.09
902    AUNZ 6/25/2008 1.53
903    AUO 5/23/2002 66
904    AUQ 5/3/2007 35
905    AURC 4/30/2021 0.52
906    AURCU 3/4/2021 0.13
907    AURCW 5/11/2021 0.18
908    AUS 4/19/2021 1.01
909    AUSE 5/16/2007 1.91
910    AUTH 6/27/2007 8.85
911    AUTO 5/16/2007 12
912    AUVI 8/31/2020 6.42
913    AUVIP 7/20/2021 0.26
914    AUXL 7/26/2004 32
915    AUXO 5/16/2007 0.81
916    AUY 3/13/2007 83
917    AV 10/20/2009 11
918    AVAC 12/3/2021 0.09
919    AVACU 10/6/2021 0.04
920    AVACW 12/3/2021 0.05
921    AVAN 8/24/1998 15
922    AVAN.U 10/2/2020 0.46
923    AVCA 9/12/2006 1.9
924    AVCO 12/6/2016 5.06
925    AVCT 8/8/2017 8.8
926    AVCTW 8/8/2017 1.38
927    AVDG 12/30/2020 0.05
928    AVDR 12/30/2020 0.11
929    AVEO 3/12/2010 34
930    AVF 1/10/2008 7.43
931    AVG 2/2/2012 14
932    AVGOP 9/25/2019 0.31
933    AVH 11/6/2013 11
934    AVHI 5/23/2003 14
935    AVHIU 10/15/2021 0.03
936    AVHIW 11/17/2021 0.06
937    AVID 1/2/1998 64
938    AVII 1/2/1998 27
939    AVLR 6/15/2018 17
940    AVNR 11/30/1998 32
941    AVNU 2/12/2015 0.47
942    AVNX 4/5/2000 27
943    AVOL 12/12/2014 2.31
944    AVP 1/2/1998 93
945    AVRO 6/21/2018 12
946    AVTA 4/30/2007 47
947    AVTR.A 5/17/2019 0.9
948    AVV 11/25/2011 3.23
949    AVX 1/2/1998 58
950    AVXS 2/11/2016 6.39
951    AVYA 12/19/2017 22
952    AW 1/2/1998 32
953    AWC 4/23/2008 13
954    AWSM 5/10/2007 8.21
955    AWTM 1/29/2019 0.17
956    AWYX 6/16/2021 0.05
957    AXAC 3/25/2022 0.04
958    AXAR 10/31/2014 0.05
959    AXARU 10/2/2014 0.08
960    AXARW 10/29/2014 0.37
961    AXAS 7/25/2008 40
962    AXB 9/26/2016 0.01
963    AXDI 7/20/2010 0.05
964    AXE 1/2/1998 57
965    AXEN 7/19/2010 0.1
966    AXFN 1/28/2010 0.08
967    AXGT 6/11/2015 16
968    AXH 12/10/2021 0.03
969    AXHE 7/20/2010 0.11
970    AXID 7/16/2010 0.05
971    AXIT 7/20/2010 0.06
972    AXJL 5/16/2007 1.99
973    AXJS 2/3/2012 0.08
974    AXJV 6/5/2014 0.22
975    AXK 10/9/2003 1.54
976    AXLA 5/9/2019 5.19
977    AXLL 5/1/2007 34
978    AXMT 7/20/2010 0.1
979    AXN 8/4/2009 3.46
980    AXNX 10/31/2018 18
981    AXO 3/18/2016 0.37
982    AXPW 5/17/2007 5.55
983    AXPWW 11/13/2014 0.07
984    AXS.C 3/23/2012 2.07
985    AXS.D 5/24/2013 2.62
986    AXSL 7/20/2010 0.07
987    AXTE 7/20/2010 0.07
988    AXU 9/20/2007 28
989    AXUT 7/19/2010 0.15
990    AXX 4/21/2010 0.76
991    AXYS 1/2/1998 7.68
992    AY 6/13/2014 40
993    AYA 6/8/2015 3.47
994    AYE 1/2/1998 45
995    AYLA 5/8/2020 1.41
996    AYN 1/29/2002 2.35
997    AYR 8/8/2006 46
998    AYT 12/17/2008 0.49
999    AYX 3/24/2017 29
1000    AZAA 6/1/2020 0.13
1001    AZAJ 1/4/2021 0.29
1002    AZAL 7/1/2020 0.21
1003    AZAO 10/1/2020 0.17
1004    AZBA 6/1/2020 0.22
1005    AZBJ 1/4/2021 0.35
1006    AZBL 7/1/2020 0.27
1007    AZBO 10/1/2020 0.24
1008    AZC 11/30/2006 8.74
1009    AZIA 4/3/2013 0.11
1010    AZK 11/10/2003 21
1011    AZRE 10/12/2016 7.68
1012    AZRX 10/11/2016 6.07
1013    AZUR 5/29/2015 1.66
1014    AZYO 10/8/2020 0.98
1015    B 1/2/1998 66
1016    BAA 3/28/2005 17
1017    BABS 5/13/2010 1.6
1018    BABY 7/31/2001 39
1019    BABZ 9/21/2010 0.6
1020    BAC.A 4/26/2016 5.25
1021    BAC.C 5/16/2007 17
1022    BAC.D 5/16/2007 8.72
1023    BAC.I 10/5/2007 6.48
1024    BAC.W 5/16/2007 9.57
1025    BAC.Y 5/16/2007 8.94
1026    BAC.Z 5/16/2007 5.63
1027    BACA 11/18/2021 0.16
1028    BAD 12/22/2021 0.07
1029    BAF 10/29/2002 5.77
1030    BAGL 6/8/2007 8.81
1031    BAGR 4/18/2013 1.27
1032    BAL 6/25/2008 4.4
1033    BALB 2/5/2018 0.04
1034    BAMH 10/21/2020 1.35
1035    BAMI 11/27/2020 0.94
1036    BAMM 1/2/1998 16
1037    BAMR 6/28/2021 1.01
1038    BANC.C 6/13/2013 0.33
1039    BANC.D 4/9/2015 1.13
1040    BANC.E 2/9/2016 1.15
1041    BANRD 5/7/2007 11
1042    BARE 9/29/2006 12
1043    BARI 3/24/1998 2.15
1044    BARL 5/18/2012 0.02
1045    BARN 6/3/2011 0.07
1046    BARS 4/10/2014 0.02
1047    BAS 12/9/2005 48
1048    BASI 1/2/1998 3.78
1049    BATRR 5/18/2016 0.15
1050    BAXS 10/17/2007 7.34
1051    BAYAU 12/15/2023 0.03
1052    BBBB 6/18/2004 23
1053    BBBY 1/2/1998 117
1054    BBCN 7/7/2005 31
1055    BBEP 10/5/2006 29
1056    BBEPP 5/16/2014 1.94
1057    BBF 7/27/2001 5.4
1058    BBG 12/10/2004 51
1059    BBI 8/11/1999 71
1060    BBIGV 5/17/2022 0.01
1061    BBIP 9/27/2023 0.01
1062    BBK 5/10/2002 6.28
1063    BBL 6/25/2003 68
1064    BBLN 10/22/2021 3.64
1065    BBND 3/16/2007 11
1066    BBNK 1/27/2003 2.51
1067    BBOX 1/2/1998 40
1068    BBQ 5/16/2007 8.15
1069    BBRC 8/17/2012 2.13
1070    BBRG 10/21/2010 12
1071    BBRY 2/4/1999 94
1072    BBSA 3/13/2019 0.45
1073    BBT 1/2/1998 89
1074    BBT.D 5/4/2012 4.9
1075    BBT.E 8/1/2012 7.92
1076    BBT.F 11/1/2012 4.49
1077    BBT.G 5/3/2013 4.21
1078    BBT.H 3/11/2016 2.61
1079    BBVX 9/8/2011 0.1
1080    BBX 7/13/2017 6.29
1081    BBXT 5/10/2002 1.94
1082    BC.B 12/6/2018 1.19
1083    BCA 2/25/2005 5.16
1084    BCAC 7/18/2017 0.27
1085    BCACR 7/18/2017 0.06
1086    BCACU 6/20/2017 0.22
1087    BCACW 7/18/2017 0.21
1088    BCAN 5/31/2022 3.53
1089    BCAR 12/30/2004 0.43
1090    BCDAW 8/2/2019 0.13
1091    BCEI 12/15/2011 34
1092    BCEL 6/20/2019 9.48
1093    BCF 9/27/2006 17
1094    BCM 4/21/2011 0.73
1095    BCNA 6/20/2018 0.04
1096    BCOM 8/4/2009 0.91
1097    BCON 11/22/2000 22
1098    BCOR 12/15/1998 78
1099    BCOV 2/17/2012 27
1100    BCR 1/2/1998 68
1101    BCRH 11/6/2013 3.43
1102    BCS.A 10/5/2007 11
1103    BCS.C 12/28/2007 9.31
1104    BCS.D 5/9/2008 17
1105    BCSA 12/31/2021 0.15
1106    BCSAU 11/10/2021 0.19
1107    BCSAW 12/31/2021 0.2
1108    BCSB 5/13/2005 0.35
1109    BCSI 8/21/2002 30
1110    BCTG 9/3/2020 0.2
1111    BCYP 2/9/2021 0.19
1112    BCYPU 1/12/2021 0.09
1113    BCYPW 2/9/2021 0.15
1114    BDAT 7/16/2015 0.01
1115    BDBD 8/1/2007 24
1116    BDC.B 7/29/2016 0.48
1117    BDCL 5/25/2011 9.56
1118    BDCS 4/28/2011 2.74
1119    BDCV 12/12/2011 0.86
1120    BDD 6/18/2008 1.93
1121    BDE 5/6/2005 24
1122    BDG 6/23/2008 0.12
1123    BDGE 9/27/2002 7.93
1124    BDH 4/6/2000 7.71
1125    BDK 1/2/1998 42
1126    BDN.E 4/13/2012 0.53
1127    BDR 1/2/1998 6.37
1128    BDSI 7/25/2002 36
1129    BDT 5/6/2004 8.13
1130    BDV 12/19/2003 12
1131    BDXA 5/18/2017 2.09
1132    BDXB 6/3/2020 2.03
1133    BEAV 1/2/1998 65
1134    BEC 1/2/1998 40
1135    BECO 8/9/2021 0.1
1136    BEE 3/15/2006 38
1137    BEEMW 4/16/2019 0.44
1138    BEER 6/11/2007 0.05
1139    BEF 3/31/2017 0.03
1140    BEL 8/10/2000 47
1141    BEM 9/7/2012 0.01
1142    BEMO 6/13/2016 0.33
1143    BENE 1/28/2021 1.18
1144    BENER 1/28/2021 0.33
1145    BENEU 1/5/2021 0.1
1146    BENEW 1/28/2021 0.92
1147    BERN 10/17/2017 0.04
1148    BETS 2/20/2019 12
1149    BEXP 1/2/1998 28
1150    BEZ 1/2/1998 27
1151    BFAC 2/4/2022 0.16
1152    BFED 10/2/2007 0.49
1153    BFI 3/26/2018 6.76
1154    BFIIW 3/26/2018 2.33
1155    BFIT 9/6/2016 0.54
1156    BFO 9/29/2003 2.06
1157    BFR 1/2/1998 29
1158    BFRA 2/14/2018 1.14
1159    BFRM 11/7/2007 2.45
1160    BFS.C 2/13/2013 0.74
1161    BFSB 4/6/2005 0.97
1162    BFT 10/9/2020 2.68
1163    BFT.U 8/19/2020 0.52
1164    BFTR 10/1/2020 0.28
1165    BFX 4/30/2007 41
1166    BFY 7/30/2002 3.47
1167    BFYT 2/8/2013 16
1168    BGCA 7/3/2012 1.4
1169    BGCP 4/2/2008 62
1170    BGCPV 11/20/2018 0.01
1171    BGE.B 5/16/2007 2.05
1172    BGG 1/2/1998 68
1173    BGIO 2/24/2017 3.21
1174    BGNE 2/3/2016 22
1175    BGP 1/2/1998 41
1176    BGRY 2/11/2021 7.04
1177    BGRYW 2/12/2021 0.68
1178    BGSX 5/7/2021 0.09
1179    BGU 11/5/2008 18
1180    BGZ 11/19/2008 18
1181    BHACU 2/6/2015 0.08
1182    BHBK 7/22/2014 6.03
1183    BHD 5/10/2002 3.84
1184    BHFWV 7/17/2017 0.02
1185    BHG 6/24/2021 8.04
1186    BHGE 7/5/2017 10
1187    BHH 2/24/2000 8.05
1188    BHI 1/2/1998 85
1189    BHL 2/12/2008 4.53
1190    BHS 1/7/2003 16
1191    BHSE 12/17/2020 0.3
1192    BHSEU 10/30/2020 0.06
1193    BHSEW 12/17/2020 0.29
1194    BHTG 10/28/2015 3.93
1195    BHY 12/18/1998 3.04
1196    BICK 4/13/2010 1.88
1197    BID 1/2/1998 70
1198    BIDS 9/22/2021 0.03
1199    BIDZ 5/1/2007 4.69
1200    BIE 5/10/2002 1.73
1201    BIF 5/10/2002 15
1202    BIG 8/18/2006 76
1203    BIGB 3/21/2023 0.09
1204    BIGD 7/16/2015 0.04
1205    BIIBV 1/23/2017 0.01
1206    BIK 6/22/2007 9.1
1207    BIKR 6/21/2018 0.07
1208    BIN 6/5/2009 18
1209    BIND 9/20/2013 4.28
1210    BIOC 2/5/2014 21
1211    BIOD 5/11/2007 15
1212    BIOL 10/6/2005 39
1213    BIOP 1/3/2017 0.3
1214    BIOR 6/19/2020 14
1215    BIOS 3/14/2005 41
1216    BIOSU 12/3/2021 0.05
1217    BIOSW 1/25/2022 0.07
1218    BIOT 3/22/2021 0.36
1219    BIOTU 1/26/2021 0.22
1220    BIOTW 3/18/2021 0.18
1221    BIQI 7/20/2010 2.16
1222    BIR.A 5/16/2007 0.57
1223    BIRT 7/27/1998 34
1224    BITA 11/18/2010 28
1225    BITE 10/28/2015 0.38
1226    BIVV 1/12/2017 4.64
1227    BIVVV 1/12/2017 0.13
1228    BJGP 8/10/2006 6.18
1229    BJJN 1/18/2018 0.02
1230    BJO 2/1/2018 0.41
1231    BJS 1/2/1998 50
1232    BJZ 12/10/2001 2.22
1233    BK.C 9/21/2012 6.34
1234    BKBK 1/5/1998 0.32
1235    BKC 5/16/2018 0.08
1236    BKCC 6/27/2007 44
1237    BKEP 12/31/2010 8.47
1238    BKEPP 3/5/2012 1.96
1239    BKES 12/15/2021 0.02
1240    BKFS 5/20/2015 5.4
1241    BKHM 4/13/2000 17
1242    BKHU 12/8/2015 0.27
1243    BKI 1/2/1998 55
1244    BKIS 12/15/2021 0.02
1245    BKJ 6/3/2008 0.91
1246    BKK 9/29/2003 6.34
1247    BKMU 3/6/2001 30
1248    BKS 1/2/1998 82
1249    BKSB 4/24/2020 0.24
1250    BKUS 12/15/2021 0.01
1251    BKW 6/20/2012 8.95
1252    BKYF 7/30/1999 2.15
1253    BLC 6/9/2003 37
1254    BLCM 12/18/2014 18
1255    BLCT 7/8/2020 2.69
1256    BLEU 1/10/2022 0.09
1257    BLEUR 1/10/2022 0.11
1258    BLEUU 11/18/2021 0.05
1259    BLEUW 1/10/2022 0.11
1260    BLH 12/14/2001 1.52
1261    BLHY 12/14/2016 0.67
1262    BLI 7/17/2020 9.3
1263    BLJ 5/10/2002 1.55
1264    BLL 1/2/1998 91
1265    BLMT 10/5/2011 2.25
1266    BLNG 4/21/2011 0.16
1267    BLNGU 7/23/2021 0.06
1268    BLNGW 9/17/2021 0.09
1269    BLNKW 2/14/2018 1.32
1270    BLOX 4/20/2012 16
1271    BLPH 2/13/2015 9.24
1272    BLSA 10/22/2020 0.3
1273    BLT 8/20/1999 33
1274    BLTI 10/6/2005 11
1275    BLTS 3/1/2021 0.45
1276    BLTSU 1/7/2021 0.2
1277    BLTSW 3/1/2021 0.23
1278    BLU 1/2/1998 17
1279    BLUA 3/22/2021 0.36
1280    BLUD 1/2/1998 34
1281    BLUW 2/9/2021 0.27
1282    BLUWU 12/15/2020 0.09
1283    BLUWW 2/9/2021 0.22
1284    BLVD 4/24/2014 0.47
1285    BLVDU 2/13/2014 0.21
1286    BLVDW 4/10/2014 0.15
1287    BMAC 11/12/2021 0.15
1288    BMAQ 11/4/2021 0.12
1289    BMAQR 11/4/2021 0.13
1290    BMAQU 10/19/2021 0.06
1291    BMAQW 11/4/2021 0.25
1292    BMC 3/16/2001 53
1293    BMCH 8/9/2013 18
1294    BMET 1/2/1998 37
1295    BMJ 11/15/2005 0.31
1296    BML.I 1/2/2009 6.61
1297    BMLA 5/19/2016 0.01
1298    BMLP 1/25/2017 0.06
1299    BMRG 6/3/2020 0.64
1300    BMRG.U 5/20/2020 0.08
1301    BMS 1/2/1998 73
1302    BMTC 2/4/2002 13
1303    BMTI 5/15/2006 11
1304    BMTX 9/21/2018 3.68
1305    BNA 1/2/1998 13
1306    BNCL 7/16/2007 22
1307    BNCN 10/13/2006 6.57
1308    BNE 12/9/2020 0.19
1309    BNFT 9/18/2013 21
1310    BNGOU 8/21/2018 0.03
1311    BNGOW 9/21/2018 0.82
1312    BNHN 1/2/1998 2.76
1313    BNHNA 1/2/1998 6.16
1314    BNI 1/2/1998 46
1315    BNIXU 9/10/2021 0.02
1316    BNK 8/14/2014 1.32
1317    BNKO 4/3/2019 0.07
1318    BNKZ 4/3/2019 0.07
1319    BNMV 2/16/2010 4.58
1320    BNNR 10/29/2021 0.08
1321    BNNRU 9/8/2021 0.11
1322    BNNRW 11/1/2021 0.05
1323    BNNY 3/28/2012 6.9
1324    BNOX 12/16/2021 2.45
1325    BNRE 12/14/2022 0.42
1326    BNSO 4/27/1999 4.39
1327    BNTCW 8/18/2015 0.04
1328    BNZ 7/8/2008 0.66
1329    BOAC 12/18/2020 1.38
1330    BOAC.U 10/28/2020 0.5
1331    BOAS 4/6/2021 0.28
1332    BOB 1/13/2021 0.12
1333    BOBE 1/2/1998 51
1334    BOCA 5/10/2012 0.28
1335    BOCH 8/4/2005 4.57
1336    BOCN 2/22/2022 0.11
1337    BOCNU 12/3/2021 0.06
1338    BOCNW 1/31/2022 0.08
1339    BODY 6/30/2021 7.62
1340    BOFI 3/16/2005 23
1341    BOFIL 3/18/2016 0.18
1342    BOI 3/26/2013 3.6
1343    BOJA 5/8/2015 8.88
1344    BOKFL 6/30/2016 1.22
1345    BOL 1/2/1998 28
1346    BOM 6/18/2008 1.4
1347    BOMN 9/6/2016 5.66
1348    BONA 12/9/2010 6.92
1349    BONE 7/1/2010 3.97
1350    BONO 5/12/2011 0.32
1351    BONT 1/2/1998 32
1352    BOON 3/1/2018 0.11
1353    BORN 6/11/2010 7.07
1354    BOS 1/30/2019 0.01
1355    BOSS 2/21/2017 0.34
1356    BOTA 11/9/2012 2.51
1357    BOVA 8/31/2006 0.17
1358    BOWL 4/23/2021 12
1359    BOWX 10/21/2020 1.82
1360    BOWXU 8/5/2020 0.33
1361    BOWXW 10/21/2020 0.53
1362    BOXC 1/9/2012 0.26
1363    BOXD 12/9/2021 4.84
1364    BPAC 1/25/2022 0.04
1365    BPACU 12/3/2021 0.04
1366    BPACW 1/24/2022 0.05
1367    BPAX 11/5/2007 12
1368    BPFH 4/23/1998 61
1369    BPFHP 4/19/2013 0.35
1370    BPFHW 2/2/2011 0.09
1371    BPHX 8/11/2003 7.16
1372    BPI 4/15/2009 25
1373    BPK 3/19/2018 0.14
1374    BPL 1/2/1998 47
1375    BPMP 10/27/2017 11
1376    BPMX 9/8/2014 13
1377    BPO 6/3/1999 43
1378    BPOPN 9/13/2005 1.5
1379    BPP 2/27/2003 7.03
1380    BPR 8/28/2018 6.37
1381    BPRAP 8/29/2018 0.39
1382    BPS 8/25/1999 0.79
1383    BPSG 11/12/2007 4.09
1384    BPTS 2/10/2021 1.12
1385    BPY 3/22/2013 24
1386    BPYU 8/28/2018 11
1387    BPYUP 9/4/2019 1.08
1388    BPZ 10/9/2008 22
1389    BQH 5/10/2002 1.86
1390    BQI 11/26/2004 22
1391    BQR 9/26/2007 4.27
1392    BQY 5/26/2004 3.38
1393    BRAC 10/25/2017 0.12
1394    BRACR 10/25/2017 0.1
1395    BRACU 10/5/2017 0.08
1396    BRACW 10/25/2017 0.1
1397    BRAF 7/29/2010 0.27
1398    BRAQ 7/8/2010 0.98
1399    BRCD 11/22/2005 57
1400    BRCM 4/17/1998 87
1401    BRCN 5/25/2021 0.59
1402    BRD 1/15/1998 8.76
1403    BRDR 3/21/2014 2.07
1404    BRDS 3/1/2021 8.07
1405    BRE 1/2/1998 44
1406    BREW 1/2/1998 14
1407    BREZ 12/23/2020 0.73
1408    BREZR 12/23/2020 0.44
1409    BREZU 11/23/2020 0.02
1410    BREZW 12/23/2020 0.98
1411    BRG 3/28/2014 16
1412    BRG.A 10/26/2015 1.04
1413    BRG.C 7/21/2016 0.54
1414    BRG.D 10/17/2016 0.73
1415    BRGL 10/17/2017 0.02
1416    BRIL 3/11/2010 0.32
1417    BRIS 3/12/2010 0.14
1418    BRIV 7/6/2021 0.21
1419    BRIVU 5/7/2021 0.07
1420    BRIVW 6/29/2021 0.11
1421    BRKH 1/31/2022 0.14
1422    BRKHU 12/13/2021 0.08
1423    BRKHW 2/1/2022 0.3
1424    BRKS 1/2/1998 75
1425    BRKY 6/1/2022 0.02
1426    BRL 5/15/2000 31
1427    BRLI 1/2/1998 32
1428    BRLIR 7/22/2020 0.15
1429    BRLIU 6/24/2020 0.04
1430    BRLIW 7/22/2020 0.21
1431    BRMK 11/15/2019 13
1432    BRNC 8/16/2005 15
1433    BROGR 7/13/2018 0.08
1434    BROGU 6/20/2018 0.04
1435    BROGW 7/13/2018 0.46
1436    BRP 4/1/2011 18
1437    BRPA 12/4/2017 0.43
1438    BRPAR 12/1/2017 0.5
1439    BRPAU 11/20/2017 0.05
1440    BRPAW 12/1/2017 0.57
1441    BRPM 4/25/2019 1.2
1442    BRPM.U 4/9/2019 0.05
1443    BRPMU 2/19/2021 0.2
1444    BRPMW 4/13/2021 0.36
1445    BRQS 3/12/2020 15
1446    BRS 2/6/2006 43
1447    BRSH 8/3/2022 5.03
1448    BRSHW 8/3/2022 0.06
1449    BRSS 5/23/2013 11
1450    BRXX 2/24/2010 2.49
1451    BRZS 5/1/2013 0.28
1452    BSA 11/28/2018 0.76
1453    BSAE 10/8/2018 0.12
1454    BSAQ 9/7/2021 0.28
1455    BSBE 10/19/2018 0.21
1456    BSC 2/7/2000 36
1457    BSCC 6/7/2010 0.37
1458    BSCD 6/7/2010 0.84
1459    BSCE 10/19/2018 0.3
1460    BSCF 6/7/2010 2.84
1461    BSCG 6/7/2010 4.11
1462    BSCH 6/7/2010 5.5
1463    BSCI 3/29/2012 5.86
1464    BSCJ 3/29/2012 6.72
1465    BSCK 3/29/2012 9.52
1466    BSCL 7/17/2013 9.99
1467    BSCM 7/17/2013 12
1468    BSCN 9/17/2014 11
1469    BSCO 9/19/2014 16
1470    BSD 8/25/1999 5.86
1471    BSDE 11/14/2018 0.29
1472    BSDM 4/22/2008 5.8
1473    BSE 10/29/2002 4.19
1474    BSEA 9/21/2021 0.04
1475    BSF 5/16/2007 2.45
1476    BSFT 6/16/2010 22
1477    BSGA 7/28/2021 0.25
1478    BSGAR 7/28/2021 0.1
1479    BSGAU 6/10/2021 0.05
1480    BSI 1/2/1998 2.03
1481    BSIG 10/9/2014 31
1482    BSJC 1/25/2011 0.45
1483    BSJD 1/25/2011 1.13
1484    BSJE 1/25/2011 2.23
1485    BSJF 1/25/2011 4.65
1486    BSJG 4/26/2012 3.69
1487    BSJH 5/14/2012 4.02
1488    BSJI 5/10/2012 5.51
1489    BSJJ 9/24/2013 5.39
1490    BSJK 12/31/2019 1.18
1491    BSJL 9/17/2014 6.08
1492    BSJM 9/17/2014 6.66
1493    BSJN 10/14/2015 6.53
1494    BSJO 9/14/2016 7.49
1495    BSKY 7/1/2021 0.12
1496    BSKYU 4/29/2021 0.11
1497    BSKYW 6/21/2021 0.07
1498    BSML 8/7/2009 0.13
1499    BSMM 9/27/2019 0.35
1500    BSMN 9/26/2019 0.66
1501    BSMO 9/26/2019 1.21
1502    BSMX 9/26/2012 33
1503    BSN 11/2/2020 0.65
1504    BSN.U 9/11/2020 0.13
1505    BSP 1/2/1998 6.38
1506    BSQ 5/17/2012 0.01
1507    BSQR 10/21/1999 16
1508    BSTC 11/20/2006 7.92
1509    BSTI 9/20/2017 4.98
1510    BSWN 7/14/2016 0.09
1511    BSX.A 6/2/2020 0.67
1512    BT 11/15/2004 40
1513    BTAH 9/14/2011 0.04
1514    BTAQ 10/8/2020 2.12
1515    BTAQU 8/27/2020 0.2
1516    BTAQW 10/8/2020 1.02
1517    BTB 2/20/2019 8.98
1518    BTCR 10/28/2021 0.12
1519    BTEC 8/22/2016 0.66
1520    BTEK 10/1/2020 0.38
1521    BTFG 11/5/2002 4.55
1522    BTH 1/2/1998 36
1523    BTHM 12/16/2021 0.06
1524    BTMDW 4/29/2021 0.21
1525    BTN 9/24/2004 9.32
1526    BTNB 1/26/2021 1.32
1527    BTRS 8/6/2019 7.32
1528    BTRSW 7/29/2019 0.54
1529    BTUI 1/2/1998 7.39
1530    BTWN 12/7/2020 4.83
1531    BTWNU 10/16/2020 0.96
1532    BTWNW 12/7/2020 1.56
1533    BUCY 7/26/2004 28
1534    BUDX 9/27/2021 0.05
1535    BUND 11/10/2011 0.03
1536    BUNL 3/23/2011 0.33
1537    BUNT 3/23/2011 0.28
1538    BURG 1/16/2013 3.68
1539    BUY 12/1/2017 0.1
1540    BUYN 12/1/2017 0.06
1541    BUZ 4/26/2016 0.16
1542    BVA 8/31/2006 0.32
1543    BVAL 6/14/2017 0.18
1544    BVH 7/13/2017 9.28
1545    BVL 8/13/2008 0.02
1546    BVNSC 2/15/2018 0.01
1547    BVSN 3/8/2006 5.42
1548    BVT 8/13/2008 0.06
1549    BVX 11/5/2003 8.06
1550    BVXV 5/12/2015 4.81
1551    BVXVW 5/12/2015 0.16
1552    BWAC 12/28/2020 0.65
1553    BWACU 11/13/2020 0.17
1554    BWACW 12/28/2020 0.72
1555    BWAQ 3/16/2022 0.14
1556    BWAQR 3/16/2022 0.04
1557    BWAQU 1/31/2022 0.02
1558    BWAQW 3/16/2022 0.03
1559    BWC 8/2/2010 18
1560    BWCAU 8/4/2021 0.05
1561    BWCAW 10/15/2021 0.07
1562    BWF 3/19/2008 7.02
1563    BWINA 2/8/2006 0.26
1564    BWINB 1/5/1998 7.93
1565    BWL.A 10/11/2002 0.51
1566    BWLD 11/24/2003 47
1567    BWMC 11/16/2018 0.15
1568    BWMCU 11/16/2018 0.07
1569    BWMCW 2/13/2019 0.05
1570    BWOW 5/5/2010 0.46
1571    BWOWU 5/20/2010 0.03
1572    BWOWW 5/5/2010 0.13
1573    BWP 11/10/2005 41
1574    BWS 5/28/1999 44
1575    BWV 5/23/2007 3.58
1576    BWY 6/13/2007 4.88
1577    BXDB 11/18/2009 0.4
1578    BXDC 11/18/2009 0.56
1579    BXE 11/9/2009 10
1580    BXG 11/17/2017 3.72
1581    BXLT 6/15/2015 4.25
1582    BXP.B 3/28/2013 1.83
1583    BXRX 11/14/2019 12
1584    BXRXV 11/14/2019 0.01
1585    BXS 1/2/1998 67
1586    BXS.A 5/16/2007 1.19
1587    BXUB 11/18/2009 0.57
1588    BXUC 11/18/2009 1.02
1589    BYBK 3/15/2018 0.01
1590    BYI 3/13/2006 33
1591    BYLK 5/16/2007 0.66
1592    BYN 3/11/2022 0.13
1593    BYOB 5/8/2019 0.64
1594    BYTE 10/28/2021 0.08
1595    BYTS 5/10/2021 0.16
1596    BYTSU 3/19/2021 0.09
1597    BYTSW 5/10/2021 0.14
1598    BYU 11/3/2008 12
1599    BZC 8/14/2006 0.97
1600    BZF 5/22/2008 4.93
1601    BZM 7/13/2006 0.99
1602    BZMD 1/13/2010 0.18
1603    BZP 1/12/2007 5.28
1604    BZT 7/19/2012 0.26
1605    BZU 5/11/2010 0.14
1606    C.C 8/14/2008 0.31
1607    C.J 3/19/2010 14
1608    C.K 4/26/2007 51
1609    C.L 4/25/2007 41
1610    C.P 12/18/2009 12
1611    C.PRC 10/19/2009 0.35
1612    C.PRJ 4/29/2011 1.65
1613    C.PRK 5/16/2007 1.2
1614    C.PRS 5/23/2007 0.04
1615    C.S 5/4/2007 27
1616    CAA 10/1/2015 9.63
1617    CAB 7/6/2004 48
1618    CACB 1/2/1998 15
1619    CACG 5/4/2017 1.45
1620    CACO 12/19/2022 1.05
1621    CACQ 11/19/2013 6.17
1622    CAD 11/10/2011 0.2
1623    CADC 1/29/2009 3.27
1624    CADT 10/31/2014 0.04
1625    CADTR 10/22/2014 0.05
1626    CADTU 10/1/2014 0.02
1627    CADTW 10/22/2014 0.06
1628    CADX 10/27/2006 17
1629    CAEI 6/10/2008 3.81
1630    CAFD 3/13/2018 0.41
1631    CAFE 4/21/2011 0.82
1632    CAFN 7/9/2014 0.19
1633    CAHC 3/19/2021 0.3
1634    CAHCU 1/27/2021 0.18
1635    CAHCW 3/10/2021 0.11
1636    CAI 5/16/2007 30
1637    CAI.A 4/6/2018 0.59
1638    CAI.B 8/17/2018 0.43
1639    CAJ 9/14/2000 61
1640    CAK 12/9/2008 9.44
1641    CALB 7/3/2017 1.15
1642    CALD 11/20/2003 27
1643    CALL 9/30/2004 18
1644    CALP 12/16/1999 19
1645    CALT 6/5/2020 1.54
1646    CALY 7/13/2023 0.07
1647    CAM 3/1/1999 71
1648    CAMB 2/5/2014 0.11
1649    CAMBU 9/9/2015 0.01
1650    CAMBW 2/7/2014 0.07
1651    CANO 7/6/2020 13
1652    CAO 3/12/1998 20
1653    CAP 5/16/2007 12
1654    CAP.U 12/2/2020 0.26
1655    CAPA 4/19/2007 3.38
1656    CAPAU 9/4/2020 0.07
1657    CAPAW 11/4/2020 0.21
1658    CAPD 5/16/2007 1.92
1659    CAPNW 11/13/2014 0.13
1660    CAPX 5/27/2015 0.04
1661    CARB 8/11/2011 18
1662    CARO 5/14/2014 5.13
1663    CAS.U 11/20/2020 0.15
1664    CASA 5/16/2007 15
1665    CASC 6/12/2009 19
1666    CASM 12/15/2005 3.08
1667    CAST 10/29/2007 7.9
1668    CATB 6/25/2015 10
1669    CATC 5/18/2007 2.24
1670    CATM 12/13/2007 38
1671    CATS 4/26/2017 3.87
1672    CATYW 12/4/2013 0.02
1673    CAVM 5/2/2007 43
1674    CAW 3/18/2003 3.18
1675    CAZA 3/15/2012 0.01
1676    CAZAU 5/25/2012 0.01
1677    CAZAW 10/22/2010 0.02
1678    CBA 6/26/2013 11
1679    CBAH 2/1/2021 0.74
1680    CBAH.U 12/11/2020 0.21
1681    CBAK 5/31/2006 16
1682    CBAY 6/3/2014 27
1683    CBB 5/27/2003 61
1684    CBB.B 5/16/2007 1.7
1685    CBC 5/10/2002 11
1686    CBD 1/2/1998 72
1687    CBDE 2/10/2014 0.21
1688    CBE 1/2/1998 52
1689    CBEY 11/10/2005 23
1690    CBF 9/20/2012 9.81
1691    CBG 6/10/2004 57
1692    CBH 6/28/2017 3.28
1693    CBI 1/2/1998 60
1694    CBIN 5/16/2005 0.32
1695    CBIO 5/16/2007 29
1696    CBK 7/17/2002 44
1697    CBKN 1/2/1998 2.12
1698    CBL.D 5/16/2007 5.82
1699    CBL.E 10/8/2012 2.92
1700    CBLI 7/25/2006 13
1701    CBLK 5/4/2018 5.16
1702    CBM 1/2/1998 47
1703    CBMB 9/28/2018 0.25
1704    CBMG 6/4/2007 5.67
1705    CBMX 12/16/2002 11
1706    CBMXW 6/4/2009 0.14
1707    CBND 4/7/2011 0.82
1708    CBNJ 2/1/2008 2.96
1709    CBO 2/5/2013 0.02
1710    CBOU 10/4/2005 11
1711    CBP 12/9/2009 0.61
1712    CBPO 1/31/2008 18
1713    CBPX 2/5/2014 16
1714    CBR 1/2/1998 42
1715    CBRG 1/4/2022 0.11
1716    CBRGU 11/10/2021 0.07
1717    CBRGW 12/31/2021 0.07
1718    CBRX 2/13/2004 16
1719    CBS 1/3/2006 63
1720    CBS.A 1/2/2015 0.71
1721    CBSHP 6/16/2014 1.15
1722    CBSO 3/28/2014 2.52
1723    CBSS 1/2/1998 25
1724    CBST 1/2/1998 53
1725    CBTX 11/8/2017 4.4
1726    CBX 2/4/2013 1.32
1727    CBYL 4/9/2015 2.04
1728    CCA 10/28/1999 2.37
1729    CCAC 10/17/2013 1.97
1730    CCAC.U 2/11/2020 0.19
1731    CCAI 10/22/2021 0.14
1732    CCAIU 8/26/2021 0.05
1733    CCAIW 10/28/2021 0.09
1734    CCC 1/2/1998 56
1735    CCC.U 9/7/2018 0.06
1736    CCCL 8/7/2014 3.45
1737    CCCLU 5/11/2012 0.01
1738    CCCLW 2/26/2010 0.2
1739    CCCR 8/14/2013 2.43
1740    CCE 1/2/1998 84
1741    CCF 6/9/2006 7.62
1742    CCG.A 2/10/2012 0.8
1743    CCH 4/29/2013 1.39
1744    CCH.U 10/5/2018 0.11
1745    CCI.A 10/30/2013 0.67
1746    CCIH 10/1/2010 13
1747    CCIV 9/18/2020 5.51
1748    CCIV.U 7/30/2020 1.2
1749    CCLP 6/15/2011 12
1750    CCMP 4/5/2000 63
1751    CCN 4/27/2015 0.86
1752    CCNC 5/14/2018 3.83
1753    CCNI 5/16/2007 0.92
1754    CCNWW 4/14/2015 0.12
1755    CCP 8/18/2015 7.33
1756    CCR 7/1/2015 4.03
1757    CCRC 4/29/2010 8.93
1758    CCRT 4/23/1999 28
1759    CCSC 9/28/2010 3.56
1760    CCT 3/15/2018 2.07
1761    CCTS 1/3/2022 0.08
1762    CCTSU 10/29/2021 0.05
1763    CCTSW 1/3/2022 0.05
1764    CCV 2/5/2021 1.86
1765    CCV.U 12/16/2020 0.7
1766    CCVI 4/5/2021 0.71
1767    CCVX 9/8/2011 0.08
1768    CCW 11/9/2006 5.97
1769    CCX 9/24/2010 3.27
1770    CCX.U 6/27/2019 0.18
1771    CCXE 5/16/2007 1.63
1772    CCXI 2/8/2012 26
1773    CCXX 4/3/2020 1.25
1774    CCXX.U 2/14/2020 0.25
1775    CD 9/30/2020 12
1776    CDAK 10/14/2020 3.73
1777    CDAQ 12/6/2021 0.13
1778    CDAQU 10/15/2021 0.09
1779    CDAQW 12/8/2021 0.07
1780    CDAY 4/26/2018 22
1781    CDEV 4/15/2016 27
1782    CDEVW 4/19/2016 0.32
1783    CDI 1/2/1998 27
1784    CDII 1/26/2009 5.09
1785    CDK 9/22/2014 29
1786    CDMO 4/25/2007 49
1787    CDMOP 2/27/2014 0.64
1788    CDOR 5/16/2007 4.69
1789    CDORO 6/11/2008 0.27
1790    CDORP 5/16/2007 0.21
1791    CDR 10/24/2003 45
1792    CDRB 5/21/2007 0.56
1793    CDS 8/29/2000 2.87
1794    CDY 1/24/2005 3.96
1795    CEA 9/4/2007 8.46
1796    CEB 2/23/1999 46
1797    CEBK 5/13/2005 0.23
1798    CEC 7/9/1998 38
1799    CECE 1/2/1998 22
1800    CEDC 7/28/1998 35
1801    CEDU 12/13/2007 1.96
1802    CEFL 1/7/2014 7.93
1803    CEGE 5/2/2007 9.25
1804    CEI 2/15/2008 56
1805    CEIX 11/14/2017 24
1806    CEL 2/7/2007 22
1807    CELG 1/2/1998 91
1808    CELGZ 10/6/2010 1.69
1809    CELL 1/2/1998 56
1810    CELP 1/15/2014 4.29
1811    CEM 6/25/2010 26
1812    CEMI 5/16/2007 13
1813    CEMP 2/6/2012 15
1814    CEN 9/26/2013 12
1815    CENH 4/1/2021 0.24
1816    CENHU 2/4/2021 0.17
1817    CENHW 4/6/2021 0.09
1818    CENQ 10/4/2021 0.1
1819    CENQU 8/13/2021 0.06
1820    CENQW 10/4/2021 0.14
1821    CEO 2/27/2001 47
1822    CEPH 1/2/1998 51
1823    CEQP 5/3/2007 48
1824    CERC 11/13/2015 7.92
1825    CERCU 10/15/2015 0.02
1826    CERCW 11/16/2015 0.16
1827    CERCZ 11/16/2015 0.08
1828    CERE 2/22/2012 17
1829    CEREW 10/28/2020 0.18
1830    CERN 1/2/1998 94
1831    CERP 5/1/2007 3.02
1832    CERU 4/10/2014 3.85
1833    CETC 2/8/2010 5.94
1834    CETF 4/25/2023 0.01
1835    CETU 3/24/2023 0.11
1836    CETUR 3/24/2023 0.03
1837    CETUU 2/1/2023 0.02
1838    CETUW 3/24/2023 0.06
1839    CETV 11/27/2002 44
1840    CETXP 2/17/2017 0.45
1841    CETXW 2/17/2017 0.41
1842    CEY 10/30/2017 0.44
1843    CEZ 3/23/2016 0.25
1844    CFAC 1/11/2021 1.08
1845    CFACU 11/13/2020 0.19
1846    CFACW 1/6/2021 0.32
1847    CFBI 4/28/2017 0.39
1848    CFC 11/13/2002 25
1849    CFC.A 5/16/2007 6.34
1850    CFC.B 5/16/2007 14
1851    CFCB 5/16/2007 0.66
1852    CFCO 7/20/2016 0.68
1853    CFCOU 5/20/2016 0.16
1854    CFCOW 7/20/2016 0.11
1855    CFCV 5/28/2020 0.08
1856    CFD 9/28/2010 3.94
1857    CFFA 12/13/2018 0.54
1858    CFFAU 12/13/2018 0.04
1859    CFFAW 1/31/2019 0.34
1860    CFFC 2/23/2006 0.25
1861    CFFE 5/5/2021 0.26
1862    CFFEU 3/12/2021 0.11
1863    CFFEW 5/7/2021 0.15
1864    CFFS 2/11/2022 0.08
1865    CFFSU 12/16/2021 0.03
1866    CFFSW 2/11/2022 0.08
1867    CFFVU 1/29/2021 0.22
1868    CFFVW 3/25/2021 0.13
1869    CFG.D 1/30/2019 3.17
1870    CFGE 7/14/2014 0.03
1871    CFI 1/2/1998 12
1872    CFII 10/19/2020 1.21
1873    CFIIU 8/27/2020 0.19
1874    CFIIW 10/21/2020 0.44
1875    CFIV 2/16/2021 0.8
1876    CFIVU 12/23/2020 0.44
1877    CFIVW 2/16/2021 0.42
1878    CFK 1/2/1998 5.16
1879    CFL 11/3/2008 5.25
1880    CFMS 7/1/2015 22
1881    CFN 9/1/2009 24
1882    CFNL 7/17/1998 23
1883    CFP 10/15/2007 8.23
1884    CFR.A 2/21/2013 1.53
1885    CFRX 9/12/2014 12
1886    CFRXW 9/12/2014 0.12
1887    CFRXZ 9/12/2014 0.09
1888    CFSG 2/9/2007 7.84
1889    CFT 1/11/2007 6.05
1890    CFV 3/26/2021 0.23
1891    CFVI 4/14/2021 3.43
1892    CFVIU 2/19/2021 0.32
1893    CFVIW 4/15/2021 1.06
1894    CFW 5/5/2005 11
1895    CFX 5/8/2008 49
1896    CFXA 1/16/2019 0.54
1897    CGA 3/9/2009 15
1898    CGEIU 2/20/2013 0.01
1899    CGEIW 8/2/2011 0.01
1900    CGG 1/16/2007 16
1901    CGI 11/10/2009 21
1902    CGIX 4/5/2013 11
1903    CGQ 5/14/2012 0.01
1904    CGR 12/15/2003 8.83
1905    CGRB 2/8/2007 2.36
1906    CGRN 5/2/2007 44
1907    CGROU 5/1/2020 0.1
1908    CGROW 6/26/2020 0.43
1909    CGVIC 4/13/2018 0.01
1910    CGX 1/2/1998 25
1911    CH 5/11/2006 6.4
1912    CHA 11/14/2002 29
1913    CHAA 4/5/2021 0.36
1914    CHAC 3/13/2019 0.03
1915    CHAC.U 12/14/2018 0.03
1916    CHAD 6/17/2015 4.17
1917    CHAI 12/13/2023 0.01
1918    CHAP 10/8/2010 4.79
1919    CHAQ 6/22/2020 0.2
1920    CHAQ.U 4/24/2020 0.05
1921    CHARU 10/24/2024 0.02
1922    CHB 9/25/2020 0.15
1923    CHBT 4/17/2006 5.79
1924    CHC 1/26/2010 2.37
1925    CHDX 1/2/1998 14
1926    CHEA 6/27/2022 0.16
1927    CHEAU 4/28/2022 0.06
1928    CHEAW 6/24/2022 0.05
1929    CHEKW 3/20/2015 0.08
1930    CHEKZ 5/4/2018 0.38
1931    CHEP 9/13/2011 0.38
1932    CHEVD 5/16/2007 0.39
1933    CHFC 1/2/1998 32
1934    CHFN 8/2/2002 7.27
1935    CHFS 2/16/2012 16
1936    CHFW 1/11/2021 0.16
1937    CHFW.U 11/19/2020 0.08
1938    CHG 11/12/1999 17
1939    CHIC 1/22/2010 1.44
1940    CHIE 1/22/2010 1.04
1941    CHIH 12/11/2018 0.45
1942    CHII 12/1/2009 0.99
1943    CHIK 12/11/2018 0.78
1944    CHIL 12/11/2018 0.21
1945    CHIM 1/14/2010 1.14
1946    CHIR 12/11/2018 0.73
1947    CHIS 12/11/2018 0.59
1948    CHIU 12/11/2018 0.17
1949    CHIX 1/22/2010 6.93
1950    CHK 2/10/2021 17
1951    CHK.D 5/16/2007 3.23
1952    CHKE 1/2/1998 17
1953    CHKEL 2/10/2021 0.42
1954    CHKEW 2/10/2021 0.25
1955    CHKEZ 2/10/2021 0.28
1956    CHKM 7/29/2010 4.21
1957    CHL 1/2/1998 76
1958    CHLC 10/12/2011 0.19
1959    CHLN 9/27/2006 6.39
1960    CHMA 7/16/2015 10
1961    CHMT 11/11/2010 23
1962    CHNA 8/15/2018 0.31
1963    CHNB 11/21/2014 0.04
1964    CHNG 3/8/2012 14
1965    CHNGU 6/27/2019 0.29
1966    CHOC 4/21/2011 0.41
1967    CHOP 11/10/2009 4.61
1968    CHPM 1/10/2020 0.44
1969    CHPMU 11/22/2019 0.05
1970    CHPMW 1/10/2020 0.28
1971    CHRA 6/14/2018 3.47
1972    CHRG 12/29/2022 0.02
1973    CHRM 5/5/2010 1.09
1974    CHS 4/11/2001 99
1975    CHSI 10/1/2008 13
1976    CHSP 1/26/2010 24
1977    CHSP.A 7/17/2012 0.59
1978    CHTP 5/2/2006 15
1979    CHTT 1/2/1998 25
1980    CHU 6/21/2000 64
1981    CHUBA 7/22/2016 2.9
1982    CHUBK 7/22/2016 3.72
1983    CHUX 1/2/1998 25
1984    CHUY 7/24/2012 24
1985    CHWA 9/27/2021 0.13
1986    CHWAU 8/30/2021 0.03
1987    CHWAW 9/24/2021 0.07
1988    CHXF 9/20/2012 0.26
1989    CHXX 2/17/2010 0.88
1990    CHYR 9/3/2008 1.38
1991    CIAN 11/5/2021 0.52
1992    CIC 10/6/2017 0.18
1993    CIC.U 8/16/2017 0.06
1994    CID 8/20/2015 0.52
1995    CIDM 11/28/2008 20
1996    CIE 12/16/2009 34
1997    CIFC 6/29/2005 11
1998    CIFS 8/8/2017 3.62
1999    CIGX 11/23/2009 9.27
2000    CIH 6/12/2019 2.22
2001    CIIC 8/12/2008 3.23
2002    CIICU 12/13/2019 0.19
2003    CIICW 2/3/2020 0.94
2004    CIIG 11/5/2021 0.12
2005    CIIGU 9/15/2021 0.07
2006    CIIGW 11/5/2021 0.06
2007    CIMT 4/18/2000 5.18
2008    CINC 11/6/2008 2.31
2009    CINR 9/13/2013 4.46
2010    CIR 10/19/1999 35
2011    CIRC 9/8/2022 0.02
2012    CIS 10/20/2010 5.75
2013    CISAA 4/17/2013 0.05
2014    CISAW 4/9/2013 0.03
2015    CISG 11/1/2007 16
2016    CISN 6/30/2017 7.23
2017    CIT 12/10/2009 49
2018    CIT.B 11/18/2019 1.04
2019    CITE 2/25/2022 0.13
2020    CITEU 1/5/2022 0.05
2021    CITEW 2/25/2022 0.1
2022    CITP 1/19/2005 7.6
2023    CIU 1/11/2007 24
2024    CIVBP 2/13/2015 0.05
2025    CIVEC 4/13/2018 0.01
2026    CIXX 11/5/2020 2.38
2027    CIZ 10/1/2014 1.58
2028    CJ 3/6/2017 10
2029    CJES 7/29/2011 19
2030    CJNK 6/19/2012 1.18
2031    CJS 7/20/2009 0.25
2032    CJT 7/20/2009 0.15
2033    CKEC 5/23/2002 26
2034    CKH 1/2/1998 45
2035    CKP 1/2/1998 42
2036    CKR 1/2/1998 34
2037    CKSW 6/23/2000 18
2038    CKXE 3/1/2005 14
2039    CLA 6/18/2014 1.5
2040    CLA.U 11/8/2007 0.22
2041    CLAA 4/30/2021 0.11
2042    CLAC 7/3/2013 0.36
2043    CLACU 5/10/2013 0.14
2044    CLACW 7/2/2013 0.13
2045    CLAQ 8/4/2021 0.12
2046    CLAQR 8/4/2021 0.08
2047    CLAQU 7/15/2021 0.03
2048    CLAQW 8/4/2021 0.16
2049    CLAS 3/8/2021 0.25
2050    CLAW 8/19/2015 0.05
2051    CLAY 5/16/2007 0.17
2052    CLAYU 7/20/2021 0.03
2053    CLAYW 8/13/2021 0.12
2054    CLBH 1/14/2003 0.88
2055    CLBS 8/9/2007 20
2056    CLBTW 8/31/2021 0.76
2057    CLC 1/2/1998 43
2058    CLCD 5/6/2015 2.06
2059    CLCT 11/5/1999 14
2060    CLD 11/20/2009 35
2061    CLDA 10/10/2003 7.58
2062    CLDB 5/16/2007 0.39
2063    CLDC 12/4/2015 1.07
2064    CLDCW 10/22/2014 0.16
2065    CLDN 1/30/2014 4.27
2066    CLDR 4/28/2017 20
2067    CLDS 1/8/2021 0.23
2068    CLFC 10/28/2002 12
2069    CLGX 6/2/2010 40
2070    CLHB 1/2/1998 16
2071    CLI 1/2/1998 77
2072    CLIA 5/9/2023 0.05
2073    CLII 11/20/2020 2.22
2074    CLII.U 9/30/2020 0.25
2075    CLIM 3/19/2021 0.32
2076    CLIN 4/20/2022 0.13
2077    CLINR 4/18/2022 0.11
2078    CLINU 2/24/2022 0.04
2079    CLINW 4/18/2022 0.07
2080    CLIRW 1/27/2017 0.06
2081    CLMA 7/21/2021 0.04
2082    CLMS 10/28/2004 30
2083    CLNC 2/1/2018 9.7
2084    CLNS 1/10/2017 6.65
2085    CLNS.A 1/12/2017 0.06
2086    CLNS.B 1/11/2017 0.4
2087    CLNS.C 1/11/2017 0.09
2088    CLNS.D 1/11/2017 0.25
2089    CLNS.E 1/11/2017 0.3
2090    CLNS.F 1/11/2017 0.12
2091    CLNS.G 1/12/2017 0.12
2092    CLNS.H 1/11/2017 0.35
2093    CLNS.I 6/7/2017 0.76
2094    CLNS.J 9/27/2017 0.54
2095    CLNT 12/29/2009 5.49
2096    CLNY 6/27/2014 30
2097    CLNY.A 3/23/2012 1.59
2098    CLNY.B 6/24/2014 1.07
2099    CLNY.C 4/15/2015 0.89
2100    CLNY.E 1/11/2017 0.78
2101    CLNY.G 6/25/2018 0.57
2102    CLNY.H 1/11/2017 1.63
2103    CLNY.I 6/7/2017 2.37
2104    CLNY.J 9/27/2017 2.09
2105    CLOE 9/10/2021 0.08
2106    CLOER 9/10/2021 0.09
2107    CLOEU 7/20/2021 0.03
2108    CLOVW 1/8/2021 1.42
2109    CLP 9/30/2011 7.4
2110    CLR 5/15/2007 67
2111    CLRBW 8/15/2014 0.08
2112    CLRBZ 4/20/2016 0.62
2113    CLRG 12/13/2017 0.29
2114    CLRM 3/23/2021 0.2
2115    CLRMU 1/29/2021 0.2
2116    CLRMW 3/23/2021 0.13
2117    CLRT 1/2/1998 7.32
2118    CLRX 1/2/1998 9.13
2119    CLSA 7/13/2021 0.75
2120    CLSC 7/13/2021 0.64
2121    CLSN 6/30/2008 26
2122    CLTL 7/3/2017 2.03
2123    CLTX 1/6/2014 0.44
2124    CLUB 6/2/2006 23
2125    CLV 2/26/2013 3.82
2126    CLVS 11/16/2011 43
2127    CLVT.A 6/17/2021 0.46
2128    CLWR 3/8/2007 25
2129    CLXT 7/20/2017 7.6
2130    CLY 12/9/2009 7.22
2131    CLYH 9/11/2015 0.12
2132    CMAX 9/21/2020 7.21
2133    CMAXW 9/28/2020 0.21
2134    CMCA 1/25/2022 0.09
2135    CMCAU 12/1/2021 0.04
2136    CMCAW 1/21/2022 0.06
2137    CMCSK 1/2/1998 81
2138    CMCTP 4/25/2018 0.01
2139    CMD 11/25/2008 13
2140    CMED 8/11/2005 21
2141    CMFB 3/1/2005 0.09
2142    CMFN 2/6/2014 3.2
2143    CMFNL 7/13/2018 0.21
2144    CMGE 9/26/2012 4.78
2145    CMGI 1/2/1998 41
2146    CMII 4/23/2021 0.14
2147    CMIIU 2/23/2021 0.56
2148    CMIIW 4/16/2021 0.02
2149    CMK 1/2/1998 4.19
2150    CML 10/10/2007 9.26
2151    CMLF 11/4/2020 2.14
2152    CMLFU 9/2/2020 0.45
2153    CMLFW 10/29/2020 0.63
2154    CMLP 12/16/2011 11
2155    CMLT 6/3/2021 0.29
2156    CMLTU 4/7/2021 0.33
2157    CMLTW 6/3/2021 0.11
2158    CMM 8/21/2008 1.55
2159    CMN 5/29/2002 26
2160    CMO 1/2/1998 70
2161    CMO.E 5/17/2013 3.11
2162    CMPI 8/22/2008 1.06
2163    CMRAW 5/20/2022 0.24
2164    CMRE.E 2/2/2018 1.77
2165    CMRG 8/12/2002 22
2166    CMSB 4/4/2007 0.21
2167    CMSS 11/6/2017 0.11
2168    CMSSR 11/6/2017 0.06
2169    CMSSU 10/26/2017 0.05
2170    CMSSW 11/6/2017 0.05
2171    CMTA 8/2/2017 1.74
2172    CMVT 4/13/2007 10
2173    CN 4/30/2014 0.93
2174    CNAC 8/10/2017 0.06
2175    CNACR 8/10/2017 0.09
2176    CNACU 6/20/2017 0.05
2177    CNACW 8/10/2017 0.07
2178    CNAM 12/29/2009 2.87
2179    CNAT 7/25/2013 15
2180    CNB 1/2/1998 31
2181    CNBC 1/5/1998 4.72
2182    CNBKA 2/4/2002 3.07
2183    CNCE 2/13/2014 18
2184    CNCO 6/22/2012 5.02
2185    CND 1/28/2021 2.86
2186    CND.U 12/8/2020 0.28
2187    CNDB 12/27/2021 0.13
2188    CNDF 6/26/2017 0.02
2189    CNDO 11/17/2011 6.43
2190    CNFRL 11/1/2018 0.15
2191    CNGLU 11/30/2021 0.05
2192    CNHI 9/30/2013 45
2193    CNHX 10/20/2015 0.05
2194    CNIT 2/11/2010 9.64
2195    CNLM 1/8/2015 0.01
2196    CNLMR 1/7/2015 0.02
2197    CNLMU 12/12/2014 0.02
2198    CNLMW 1/7/2015 0.02
2199    CNNB 10/15/2015 0.21
2200    CNNX 9/25/2014 5.65
2201    CNP.B 10/3/2018 1.64
2202    CNPF 5/25/2011 0.57
2203    CNQR 12/16/1998 44
2204    CNSF 3/14/2008 0.06
2205    CNSI 10/24/2012 5.25
2206    CNSL 7/22/2005 53
2207    CNST 4/9/2010 6.65
2208    CNTF 5/6/2005 16
2209    CNTG 11/7/2019 2.67
2210    CNTQ 8/24/2021 0.13
2211    CNTQU 8/11/2021 0.03
2212    CNTQW 8/24/2021 0.09
2213    CNTR 1/15/2014 0.06
2214    CNU 1/2/1998 7.28
2215    CNV 11/20/2014 2.12
2216    CNVO 4/29/2010 2.15
2217    CNVR 4/30/2007 31
2218    CNVY 6/16/2021 2.01
2219    CNW 4/19/2006 38
2220    CNXA 1/8/2021 3.82
2221    CNXCV 11/24/2020 0.01
2222    CNXM 9/25/2014 13
2223    CNY 3/17/2008 1.65
2224    CNYD 12/7/2009 1.07
2225    CO 11/19/2009 16
2226    COB 1/5/1998 3.57
2227    COBH 1/5/1998 1.1
2228    COBK 6/30/2005 0.34
2229    COBO 5/25/2012 0.08
2230    COBR 1/2/1998 3.21
2231    COBZ 6/18/1998 23
2232    CODE 5/18/2010 15
2233    COF.C 6/16/2014 3.71
2234    COF.D 10/29/2014 3.48
2235    COF.F 8/26/2015 3.19
2236    COF.G 8/5/2016 4.36
2237    COF.H 12/2/2016 3.21
2238    COF.P 8/23/2012 7.75
2239    COG 1/2/1998 86
2240    COGO 1/31/2005 18
2241    COH 10/6/2000 72
2242    COL 7/2/2001 69
2243    COLI 4/16/2021 0.39
2244    COLIU 2/24/2021 0.4
2245    COLIW 4/16/2021 0.22
2246    COLX 3/15/2011 0.14
2247    COMG 5/25/2017 0.11
2248    COMSW 1/22/2021 0.41
2249    COMV 4/13/2007 12
2250    CONE 1/18/2013 33
2251    CONG 5/19/2011 0.08
2252    CONM 8/27/2009 0.24
2253    CONN 11/25/2003 56
2254    CONX 12/21/2020 1.54
2255    CONXU 10/30/2020 0.53
2256    CONXW 12/21/2020 0.78
2257    COOL 4/11/2005 16
2258    COOLU 12/17/2020 0.43
2259    COOLW 2/19/2021 0.4
2260    COR.A 12/19/2012 0.47
2261    CORE 12/2/2005 30
2262    CORI 4/3/2014 5.46
2263    CORR 5/16/2007 21
2264    CORR.A 2/2/2015 2.54
2265    CORS 1/2/1998 19
2266    CORV 5/2/2007 21
2267    COSI 11/22/2002 17
2268    COT 7/30/2002 55
2269    COTV 5/26/2016 6.52
2270    COUP 3/7/2014 32
2271    COV 7/2/2007 33
2272    COVA 3/31/2021 0.35
2273    COVAU 2/5/2021 0.39
2274    COVAW 4/1/2021 0.33
2275    COVR 11/1/2000 0.96
2276    COVS 9/26/2013 4.51
2277    COW 10/25/2007 6.51
2278    COWB 2/1/2018 0.02
2279    COWL 5/25/2011 0.34
2280    COWN 7/13/2006 44
2281    COWNL 10/30/2014 0.99
2282    COWNZ 12/15/2017 0.71
2283    COY 1/2/1998 13
2284    COYN 6/25/2008 1.36
2285    COYNW 11/13/2015 0.04
2286    CPAA 9/15/2016 0.45
2287    CPAAU 7/15/2016 0.26
2288    CPAAW 9/15/2016 0.18
2289    CPAH 3/19/2008 2.5
2290    CPAQ 4/5/2022 0.02
2291    CPAQU 2/9/2022 0.02
2292    CPAQW 4/1/2022 0.01
2293    CPAR 7/15/2021 0.18
2294    CPARU 5/18/2021 0.24
2295    CPARW 7/14/2021 0.16
2296    CPBC 4/11/2006 0.31
2297    CPBY 2/12/2007 4.7
2298    CPD 8/19/2003 7.62
2299    CPE 4/22/1998 72
2300    CPE.A 6/3/2013 1.05
2301    CPG 1/22/2014 42
2302    CPGI 12/13/2010 0.67
2303    CPGX 6/17/2015 4.54
2304    CPHD 6/23/2000 49
2305    CPHL 3/23/2007 3.46
2306    CPHR 11/24/2014 0.28
2307    CPI 10/27/2009 0.87
2308    CPKI 8/3/2000 29
2309    CPL 9/29/2004 39
2310    CPLA 11/10/2006 24
2311    CPLG 6/1/2018 9.17
2312    CPLP 3/30/2007 33
2313    CPN 2/7/2008 44
2314    CPNO 11/16/2004 20
2315    CPO 1/2/1998 40
2316    CPP 5/21/2001 0.69
2317    CPPL 2/6/2015 5.49
2318    CPSI 5/21/2002 36
2319    CPSR.U 7/2/2020 0.23
2320    CPTA 9/25/2013 7.73
2321    CPTAG 6/2/2017 0.36
2322    CPTAL 7/17/2017 0.47
2323    CPTI 5/31/2007 0.01
2324    CPTK 4/1/2021 0.38
2325    CPTN 3/25/2021 4
2326    CPTNW 3/23/2021 0.49
2327    CPTS 1/2/1998 31
2328    CPUH 3/29/2021 1.41
2329    CPV 4/16/2007 4.5
2330    CPWM 1/2/1998 29
2331    CPX 4/21/2006 23
2332    CPXX 11/11/2013 3.12
2333    CPY 1/2/1998 59
2334    CQB 1/2/1998 45
2335    CQH 3/5/2018 1
2336    CRA 5/6/1999 40
2337    CRAY 4/6/2000 50
2338    CRBC 1/3/2007 22
2339    CRBQ 9/21/2009 1.35
2340    CRCM 1/24/2014 13
2341    CRDC 2/6/2006 8.5
2342    CRDN 1/2/1998 34
2343    CRDS 5/16/2007 3.07
2344    CRE 6/22/2007 2.96
2345    CREC 1/10/2022 0.11
2346    CRECU 11/19/2021 0.06
2347    CRECW 1/10/2022 0.06
2348    CREE 1/2/1998 99
2349    CREXW 11/15/2018 0.17
2350    CRFN 8/21/2002 1.19
2351    CRGE 10/6/2020 6.52
2352    CRHC 10/30/2020 2.98
2353    CRHC.U 9/9/2020 0.59
2354    CRHM 9/3/2015 4.25
2355    CRIC 10/16/2009 4.53
2356    CRMB 6/15/2010 1.04
2357    CRMBU 6/14/2012 0.05
2358    CRMBW 6/4/2012 0.12
2359    CRME 7/6/2004 22
2360    CRN 12/10/1998 13
2361    CRNCV 9/16/2019 0.01
2362    CRO 7/11/2007 0.14
2363    CROC 7/19/2012 0.96
2364    CROP 3/22/2011 1.13
2365    CRP 4/23/2008 6.95
2366    CRR 5/24/2000 55
2367    CRRB 1/2/1998 0.27
2368    CRRC 1/13/1998 10
2369    CRRS 5/16/2007 1.85
2370    CRSA 4/18/2019 1.2
2371    CRSAU 3/8/2019 0.07
2372    CRSAW 4/17/2019 0.42
2373    CRTX 5/27/2004 15
2374    CRU 3/12/2010 2.69
2375    CRUD 2/23/2011 0.13
2376    CRUSC 1/11/2018 0.01
2377    CRV 1/6/1998 1.06
2378    CRVP 11/27/2009 0.97
2379    CRWN 5/8/2000 15
2380    CRXT 2/9/2021 3.79
2381    CRXTW 2/9/2021 0.59
2382    CRY 1/2/1998 43
2383    CRYP 4/27/2022 0.02
2384    CRZN 6/11/2021 0.05
2385    CRZNU 3/24/2021 0.06
2386    CRZNW 5/17/2021 0.05
2387    CRZO 1/2/1998 63
2388    CS 9/25/2006 74
2389    CSAL 4/20/2015 7.67
2390    CSBC 5/23/2002 1.66
2391    CSBK 5/11/2004 10
2392    CSC 6/18/2012 20
2393    CSCB 6/12/2013 0.03
2394    CSCD 12/15/2004 6.64
2395    CSCR 4/13/2016 0.01
2396    CSCW 1/29/2009 16
2397    CSCX 9/1/2005 6.06
2398    CSE 8/12/2003 43
2399    CSFL 1/4/2005 24
2400    CSFS 6/8/2010 0.8
2401    CSG 5/21/2013 9.65
2402    CSH 11/1/2004 39
2403    CSI 5/16/2007 4.16
2404    CSII 2/26/2009 31
2405    CSJ 1/11/2007 32
2406    CSKI 9/16/2008 6.27
2407    CSLM 3/7/2022 0.08
2408    CSLMR 3/7/2022 0.05
2409    CSLMU 1/13/2022 0.06
2410    CSLMW 3/7/2022 0.07
2411    CSLS 2/22/2010 0.57
2412    CSLT 3/14/2014 22
2413    CSMA 10/4/2010 0.45
2414    CSMB 3/8/2011 0.13
2415    CSML 5/16/2017 1.57
2416    CSMN 9/21/2011 0.09
2417    CSOD 3/17/2011 35
2418    CSP 1/2/1998 8.69
2419    CSPR 2/6/2020 5.88
2420    CSR.C 10/4/2017 0.71
2421    CSRA 11/16/2015 9.3
2422    CSS 1/2/1998 15
2423    CSSE 8/18/2017 6.6
2424    CSSEL 8/12/2022 0.73
2425    CSSEN 7/21/2020 0.4
2426    CSSEP 6/27/2018 1.42
2427    CST 4/17/2013 15
2428    CSTA 3/19/2021 0.29
2429    CSTR 9/22/2016 5.91
2430    CSU 1/2/1998 32
2431    CSUN 5/17/2007 17
2432    CSWCL 12/19/2017 0.28
2433    CSY 5/28/2008 0.22
2434    CT 1/2/1998 14
2435    CTAA 2/12/2016 2.16
2436    CTAC 10/5/2018 0.85
2437    CTAC.U 10/22/2020 0.2
2438    CTACU 10/5/2018 0.05
2439    CTACW 10/31/2018 0.04
2440    CTAQ 2/1/2021 0.45
2441    CTAQU 12/10/2020 0.27
2442    CTAQW 2/1/2021 0.28
2443    CTB 1/2/1998 80
2444    CTBC 1/27/2006 0.13
2445    CTC 1/28/2010 2.24
2446    CTCH 7/13/1999 8.38
2447    CTCM 6/1/2006 34
2448    CTCT 10/12/2007 24
2449    CTDC 1/9/2006 5.86
2450    CTEK 12/15/2010 3.29
2451    CTEL 11/3/1999 7.9
2452    CTEST 7/24/2019 0.1
2453    CTEST.E 7/24/2019 0.09
2454    CTEST.G 7/24/2019 0.07
2455    CTEST.L 7/24/2019 0.09
2456    CTEST.O 7/24/2019 0.07
2457    CTEST.S 7/24/2019 0.09
2458    CTEST.V 7/24/2019 0.07
2459    CTF 10/26/2012 3.45
2460    CTFO 1/29/2008 4.36
2461    CTG 6/5/2006 13
2462    CTGX 6/5/2006 5.63
2463    CTIB 5/29/2003 6.54
2464    CTIC 1/2/1998 76
2465    CTK 9/28/2018 4.81
2466    CTL 1/2/1998 96
2467    CTLT 7/31/2014 41
2468    CTNN 4/21/2011 0.09
2469    CTP 12/8/2010 2.19
2470    CTQ 6/8/2011 4.22
2471    CTR 8/3/2012 16
2472    CTRC 10/15/2007 14
2473    CTRL 8/2/2013 16
2474    CTRMV 3/3/2023 0.01
2475    CTRP 12/9/2003 64
2476    CTRV 2/10/2014 7.8
2477    CTRX 6/23/2006 28
2478    CTST 8/24/2017 6.72
2479    CTT 12/12/2013 19
2480    CTU 8/3/2012 3.48
2481    CTW 5/10/2012 4
2482    CTWS 1/2/1998 12
2483    CTX 4/3/2012 4.49
2484    CTXRW 8/3/2017 0.2
2485    CTXS 1/2/1998 110
2486    CTY 5/24/2013 7.72
2487    CTZ 9/22/2015 3.33
2488    CU 3/31/2010 2.8
2489    CUBE.A 11/3/2011 0.53
2490    CUBI.C 5/19/2015 0.53
2491    CUBI.D 2/2/2016 0.28
2492    CUBN 9/5/2013 0.34
2493    CUBS 6/17/2021 0.11
2494    CUDA 11/6/2013 13
2495    CUENW 2/2/2021 0.15
2496    CUI 1/7/2008 7.2
2497    CUMB 1/19/2017 0.15
2498    CUNB 5/16/2007 3.2
2499    CUO 1/5/1998 0.68
2500    CUPM 7/1/2011 0.06
2501    CUR 8/27/2007 18
2502    CURO 12/7/2017 13
2503    CV 3/3/2009 4.99
2504    CVA 10/5/2005 66
2505    CVB 8/28/2003 0.38
2506    CVBK 1/2/1998 0.59
2507    CVC 12/7/1999 69
2508    CVCY 5/1/2006 5.07
2509    CVD 1/2/1998 52
2510    CVET 2/5/2019 14
2511    CVF 1/24/2012 0.01
2512    CVG 8/13/1998 74
2513    CVH 1/2/1998 50
2514    CVIA 10/3/2014 19
2515    CVII 4/5/2021 1.66
2516    CVIIU 2/7/2024 0.02
2517    CVIIW 2/6/2024 0.06
2518    CVLB 5/17/2007 1.95
2519    CVLY 10/16/2006 3.08
2520    CVO 5/17/2004 34
2521    CVOL 11/15/2010 1.67
2522    CVON 3/15/2018 0.9
2523    CVRR 1/17/2013 19
2524    CVRS 9/12/2014 10
2525    CVSL 11/6/2014 0.76
2526    CVT 8/9/2013 13
2527    CVTI 1/2/1998 22
2528    CVTX 1/2/1998 31
2529    CVVT 1/23/2008 5.34
2530    CWAI 3/30/2017 0.06
2531    CWAY 1/15/2014 0.51
2532    CWBR 12/15/2017 7.1
2533    CWEI 1/2/1998 25
2534    CWHN 7/1/2010 0.88
2535    CWTR 1/2/1998 36
2536    CWZ 1/2/1998 1.38
2537    CXA 10/18/2007 1.85
2538    CXAC 2/28/2022 0.11
2539    CXDC 2/12/2009 9.05
2540    CXG 1/19/2006 13
2541    CXO 8/3/2007 57
2542    CXP 10/10/2013 31
2543    CXPO 9/20/2006 5.77
2544    CXR 1/3/2000 22
2545    CXRX 2/12/2014 6.34
2546    CXS 9/17/2009 8.84
2547    CXZ 5/7/2007 4.01
2548    CY 1/2/1998 98
2549    CYA 9/14/2021 1.73
2550    CYAD 6/19/2015 1.97
2551    CYB 5/22/2008 7.64
2552    CYBE 1/2/1998 16
2553    CYBI 11/21/2006 1.86
2554    CYBS 6/24/1999 24
2555    CYBX 1/2/1998 46
2556    CYCL 1/2/1998 19
2557    CYCNV 3/18/2019 0.01
2558    CYDE 10/9/2007 1.06
2559    CYE 2/2/1998 15
2560    CYHHZ 1/27/2014 1.73
2561    CYMI 1/2/1998 53
2562    CYN.C 11/20/2012 0.87
2563    CYN.D 11/12/2013 0.24
2564    CYNA 6/18/2015 1.16
2565    CYNI 5/9/2013 4.18
2566    CYNO 12/9/2005 24
2567    CYOU 4/2/2009 27
2568    CYPB 1/2/1998 23
2569    CYRN 5/16/2007 12
2570    CYRXW 7/24/2015 0.27
2571    CYS 6/16/2009 37
2572    CYS.A 8/7/2012 0.96
2573    CYS.B 5/2/2013 1.87
2574    CYT 1/2/1998 56
2575    CYTO 8/6/2014 16
2576    CYTR 1/2/1998 37
2577    CYTX 12/19/2005 29
2578    CYTXW 6/24/2009 0.51
2579    CYTXZ 5/25/2018 0.04
2580    CYXT 11/2/2020 6.9
2581    CYXTW 11/5/2020 0.61
2582    CZFC 11/3/2006 0.47
2583    CZN 1/2/1998 32
2584    CZOO 8/27/2021 7.18
2585    CZZ 9/4/2007 54
2586    DAEG 8/25/2008 0.8
2587    DAG 4/15/2008 6.37
2588    DAKP 8/24/2011 1.98
2589    DALS 7/28/2021 0.15
2590    DALT 10/3/2017 1.01
2591    DAM 3/9/2022 0.05
2592    DANG 12/8/2010 22
2593    DAOO 1/12/2022 0.06
2594    DAOOU 12/7/2021 0.09
2595    DAOOW 1/12/2022 0.09
2596    DARA 2/13/2008 6.72
2597    DATA 5/17/2013 25
2598    DATE 5/11/2011 6.99
2599    DAUD 12/12/2017 0.14
2600    DBAP 10/1/2013 0.23
2601    DBAU 8/19/2015 0.01
2602    DBBR 6/9/2011 0.5
2603    DBCN 6/9/2011 0.01
2604    DBCP 5/16/2007 0.35
2605    DBDR 11/19/2020 0.5
2606    DBDRU 11/6/2020 0.09
2607    DBDRW 11/19/2020 0.31
2608    DBEH 12/18/2019 0.25
2609    DBES 8/19/2015 0.02
2610    DBGIW 5/14/2021 0.23
2611    DBGR 4/27/2012 2.1
2612    DBIF 9/22/2016 0.01
2613    DBIT 8/19/2015 0.01
2614    DBIZ 12/27/2012 0.23
2615    DBJA 1/4/2021 0.15
2616    DBKO 9/8/2014 0.78
2617    DBLE 1/2/1998 7.01
2618    DBLEP 7/23/2007 0.5
2619    DBLV 10/5/2011 1.85
2620    DBMX 1/27/2014 0.09
2621    DBN 10/13/2006 1.47
2622    DBOC 10/1/2020 0.18
2623    DBR 10/13/2006 0.37
2624    DBRE 11/6/2015 0.01
2625    DBRG.G 6/25/2018 0.59
2626    DBRN 1/2/1998 30
2627    DBRT 9/15/2017 0.03
2628    DBS 1/5/2007 5.4
2629    DBSE 8/19/2015 0.01
2630    DBSP 8/19/2015 0.01
2631    DBT 10/13/2006 0.24
2632    DBTK 12/15/2006 8.32
2633    DBTX 2/12/2021 1.86
2634    DBU 10/13/2006 1.81
2635    DBUK 10/1/2013 0.1
2636    DBV 9/20/2006 9.06
2637    DCA 3/1/2005 11
2638    DCAR 5/16/2007 9.74
2639    DCE 11/20/2007 5.82
2640    DCF 10/30/2017 3.47
2641    DCFC 1/14/2022 7.7
2642    DCFCW 1/14/2022 0.69
2643    DCGOW 12/17/2020 0.25
2644    DCHF 12/12/2017 0.09
2645    DCIN 4/18/2012 0.26
2646    DCIX 1/3/2011 17
2647    DCM 5/10/2002 34
2648    DCMB 4/4/2023 0.08
2649    DCNG 4/21/2011 0.17
2650    DCP 5/4/2006 54
2651    DCP.B 5/17/2018 1.75
2652    DCP.C 10/9/2018 1.35
2653    DCPH 9/28/2017 19
2654    DCRB 12/14/2020 1.59
2655    DCRBU 10/20/2020 0.28
2656    DCRBW 12/14/2020 0.47
2657    DCRC 5/18/2021 1.9
2658    DCRCU 3/24/2021 0.19
2659    DCRCW 5/17/2021 0.49
2660    DCRD 10/5/2021 0.2
2661    DCRDU 8/11/2021 0.05
2662    DCRDW 10/1/2021 0.2
2663    DCRN 4/1/2021 1.08
2664    DCRNU 2/4/2021 0.57
2665    DCRNW 4/5/2021 0.56
2666    DCT 12/13/2006 56
2667    DCUA 6/13/2013 0.75
2668    DCUB 6/13/2013 0.37
2669    DCUC 7/11/2014 0.84
2670    DCUD 8/22/2016 1.11
2671    DCUE 6/19/2019 1.42
2672    DD.A 5/16/2007 0.33
2673    DD.B 5/17/2007 0.58
2674    DDAY 5/25/2007 3.54
2675    DDBI 12/29/2015 0.06
2676    DDE 5/3/2002 14
2677    DDEZ 2/4/2016 0.09
2678    DDF 1/2/1998 8.21
2679    DDG 6/18/2008 1.58
2680    DDIC 3/5/2004 9.71
2681    DDJP 1/7/2016 0.05
2682    DDMG 11/18/2011 1.13
2683    DDMX 3/14/2005 6.35
2684    DDMXU 10/12/2018 0.11
2685    DDMXW 10/23/2018 0.16
2686    DDP 5/22/2008 0.47
2687    DDR 1/2/1998 72
2688    DDR.A 6/6/2017 0.41
2689    DDR.J 8/3/2012 1.17
2690    DDR.K 4/11/2013 0.92
2691    DDRX 6/27/2005 2.07
2692    DDUP 6/27/2007 7.23
2693    DDVX 9/8/2011 0.05
2694    DEAC 5/18/2007 1.93
2695    DEACU 5/10/2019 0.25
2696    DEACW 7/19/2019 0.52
2697    DEB 6/16/2006 0.47
2698    DECC 1/5/1998 4.67
2699    DEE 4/30/2008 0.96
2700    DEF 12/15/2006 4.65
2701    DEFA 1/8/2016 0.16
2702    DEFL 1/6/2015 0.01
2703    DEG 4/26/2001 15
2704    DEH 9/4/2020 1.16
2705    DEH.U 7/15/2020 0.22
2706    DEIF 12/14/2021 0.02
2707    DEJ 5/23/2007 6.46
2708    DEL 1/2/1998 18
2709    DELT 6/1/2015 1.65
2710    DELTW 4/9/2013 0.09
2711    DEMG 4/19/2016 0.14
2712    DEN 9/21/2020 10
2713    DENT 9/16/2009 0.3
2714    DEPO 1/2/1998 44
2715    DESC 6/28/2016 0.12
2716    DEST 12/9/2008 12
2717    DEUR 12/12/2017 0.29
2718    DEWJ 1/8/2016 0.05
2719    DEX 7/26/2007 12
2720    DEXO 2/1/2010 7.07
2721    DEZU 1/8/2016 0.06
2722    DF 1/2/1998 82
2723    DFBG 10/15/2007 12
2724    DFBH 5/24/2018 0.04
2725    DFBHU 2/16/2018 0.07
2726    DFBHW 5/22/2018 0.02
2727    DFF 8/3/2010 0.07
2728    DFFN 7/28/2008 13
2729    DFG 1/2/1998 31
2730    DFHT 9/21/2020 0.48
2731    DFHTU 7/17/2020 0.13
2732    DFHTW 9/28/2020 0.05
2733    DFHY 12/8/2020 0.36
2734    DFNS 3/23/2020 0.74
2735    DFNS.U 11/7/2019 0.1
2736    DFNSU 11/7/2019 0.03
2737    DFNV 12/8/2020 0.35
2738    DFPHU 3/11/2020 0.08
2739    DFPHW 6/4/2020 0.1
2740    DFR 6/29/2005 10
2741    DFRA 12/14/2021 0.21
2742    DFRG 7/27/2012 16
2743    DFS.B 10/18/2012 3.37
2744    DFT 10/19/2007 37
2745    DFT.A 10/20/2010 1.06
2746    DFT.B 3/15/2011 1.03
2747    DFT.C 5/18/2016 0.44
2748    DFVL 1/7/2014 0.1
2749    DFVS 7/12/2011 0.27
2750    DFZ 12/2/2005 4.3
2751    DGAS 2/4/2002 2.81
2752    DGAZ 2/8/2012 41
2753    DGBP 12/12/2017 0.15
2754    DGG 10/13/2006 0.52
2755    DGI 5/14/2009 27
2756    DGIT 1/2/1998 27
2757    DGL 1/5/2007 7.94
2758    DGLD 10/17/2011 7.16
2759    DGNR 10/5/2020 1.26
2760    DGNR.U 8/14/2020 0.39
2761    DGNS 11/17/2020 1.1
2762    DGNU 3/23/2021 0.39
2763    DGSE 11/15/2012 1.84
2764    DHAC 12/31/2021 0.18
2765    DHACU 11/4/2021 0.03
2766    DHACW 12/31/2021 0.1
2767    DHBC 4/23/2021 0.08
2768    DHBCU 3/2/2021 0.16
2769    DHBCW 4/23/2021 0.09
2770    DHCA 4/28/2021 0.23
2771    DHCAU 3/2/2021 0.18
2772    DHCAW 4/23/2021 0.19
2773    DHCP 2/12/2018 0.34
2774    DHFT 11/20/2007 0.89
2775    DHG 11/22/2006 12
2776    DHHC 3/29/2021 0.25
2777    DHHCU 1/26/2021 0.37
2778    DHHCW 3/24/2021 0.15
2779    DHR.A 3/6/2019 0.22
2780    DHR.B 5/15/2020 0.14
2781    DHRM 4/22/2010 2.32
2782    DHVW 5/12/2015 0.57
2783    DHXM 6/23/2015 1.6
2784    DI 1/23/2014 0.17
2785    DICE 9/15/2021 5.2
2786    DIDI 6/30/2021 6.81
2787    DILA 8/5/2021 0.02
2788    DILAU 6/15/2021 0.05
2789    DILAW 8/4/2021 0.03
2790    DINE 5/27/2008 1.87
2791    DIP 12/13/2022 0.05
2792    DIRT 4/21/2011 0.07
2793    DISA 5/21/2021 0.12
2794    DISAU 3/24/2021 0.09
2795    DISAW 5/17/2021 0.1
2796    DISCA 7/21/2005 74
2797    DISCB 11/10/2005 0.47
2798    DISCK 9/18/2008 55
2799    DISH 1/2/1998 111
2800    DISHR 11/22/2019 0.14
2801    DISHV 8/20/2019 0.01
2802    DISTU 2/15/2023 0.01
2803    DITC 6/9/1999 23
2804    DIVA 12/24/2015 0.21
2805    DIVC 9/16/2014 0.19
2806    DIVX 9/25/2006 11
2807    DJ 1/2/1998 28
2808    DJCB 10/25/2019 0.17
2809    DJCI 10/29/2009 1.02
2810    DJPY 12/12/2017 0.1
2811    DKA 10/13/2006 1.22
2812    DKDCA 6/24/2021 0.16
2813    DKDCU 5/7/2021 0.04
2814    DKDCW 6/24/2021 0.22
2815    DKNGW 7/19/2019 1.07
2816    DKNGZ 7/19/2019 1.07
2817    DKP 10/9/2003 0.86
2818    DKQ 5/3/2006 0.35
2819    DKRB 12/22/2022 0.01
2820    DKT 5/21/2008 15
2821    DL 7/30/2008 10
2822    DLA 7/3/2000 7.88
2823    DLBL 8/10/2010 0.56
2824    DLBR 8/16/2017 0.09
2825    DLBS 8/10/2010 1.69
2826    DLCA 3/5/2021 0.3
2827    DLCAU 1/13/2021 0.29
2828    DLCAW 3/5/2021 0.22
2829    DLGC 10/4/2010 1.04
2830    DLIA 12/20/2005 11
2831    DLLR 1/28/2005 26
2832    DLM 2/5/1999 35
2833    DLPH 11/17/2011 37
2834    DLPNW 12/21/2017 0.07
2835    DLR.C 9/14/2017 1.04
2836    DLR.E 9/15/2011 2.07
2837    DLR.F 4/5/2012 1.59
2838    DLR.G 4/10/2013 3.22
2839    DLR.H 3/27/2014 2.27
2840    DLR.I 8/28/2015 1.75
2841    DMAQ 12/2/2021 0.13
2842    DMAQR 12/2/2021 0.08
2843    DMAQU 10/27/2021 0.03
2844    DMD 1/27/2011 13
2845    DMDV 11/28/2018 0.18
2846    DMED 8/5/2010 0.23
2847    DMK 4/7/2010 25
2848    DMND 7/21/2005 28
2849    DMPI 2/22/2013 4.75
2850    DMRE 3/21/2019 0.12
2851    DMRI 12/26/2017 0.18
2852    DMRL 8/2/2017 0.37
2853    DMRM 12/1/2017 0.21
2854    DMRS 12/18/2017 0.24
2855    DMS 4/16/2018 3.26
2856    DMTK 8/10/2017 12
2857    DMTKW 8/10/2017 0.47
2858    DMTX 10/22/2015 1.94
2859    DMYD 10/5/2020 1.79
2860    DMYD.U 8/14/2020 0.21
2861    DMYI 1/4/2021 2.13
2862    DMYI.U 11/13/2020 0.54
2863    DMYQ 4/26/2021 0.85
2864    DMYS 11/22/2021 0.28
2865    DMYT 4/23/2020 1.47
2866    DMYT.U 2/21/2020 0.18
2867    DNAA 6/30/2021 0.52
2868    DNAB 6/30/2021 0.52
2869    DNAC 6/30/2021 0.51
2870    DNAD 6/30/2021 0.54
2871    DNAI 7/16/2015 2.89
2872    DNAY 6/18/2021 2.43
2873    DNBF 9/13/2004 0.87
2874    DNBK 1/10/2008 5.24
2875    DND 6/16/2006 1.41
2876    DNDN 6/19/2000 50
2877    DNEX 1/2/1998 21
2878    DNH 6/16/2006 1.33
2879    DNI 5/16/2007 7.82
2880    DNJR 3/20/2018 1.23
2881    DNK 1/17/2020 1.37
2882    DNKN 7/27/2011 38
2883    DNO 9/24/2009 2.58
2884    DNR 1/2/1998 80
2885    DNY 10/29/2007 0.66
2886    DNZ 3/23/2021 0.24
2887    DO 1/2/1998 103
2888    DOD 11/8/2007 1.61
2889    DOGS 1/17/2018 0.07
2890    DOIL 2/8/2012 0.02
2891    DOM 1/2/1998 11
2892    DOMA 1/22/2021 7.6
2893    DOO 6/16/2006 7.22
2894    DOOR 9/9/2013 23
2895    DOTA 10/12/2017 0.06
2896    DOTAR 10/12/2017 0.02
2897    DOTAU 9/15/2017 0.02
2898    DOTAW 10/12/2017 0.02
2899    DOVA 6/29/2017 4.45
2900    DOVR 11/18/2005 0.56
2901    DOZR 9/23/2021 0.08
2902    DPC 10/13/2006 0.14
2903    DPCS 1/3/2022 0.08
2904    DPCSU 11/9/2021 0.04
2905    DPCSW 12/31/2021 0.11
2906    DPD 4/27/2005 6.19
2907    DPHC 4/17/2019 1.54
2908    DPHCU 2/28/2019 0.19
2909    DPHCW 4/17/2019 0.68
2910    DPK 12/17/2008 5.31
2911    DPL 1/2/1998 42
2912    DPLO 10/10/2014 19
2913    DPM 12/6/2005 25
2914    DPN 10/13/2006 0.35
2915    DPO 5/25/2007 8.73
2916    DPRX 3/13/2014 1.93
2917    DPS 5/7/2008 44
2918    DPSI 6/21/2007 2.46
2919    DPTR 1/2/1998 29
2920    DPU 5/22/2008 0.23
2921    DPW 1/2/1998 19
2922    DQML 11/1/2018 0.05
2923    DR 1/2/1998 2.51
2924    DRA 9/9/2014 3.25
2925    DRAD 6/10/2004 11
2926    DRADP 9/13/2019 0.05
2927    DRAM 2/1/2000 7.21
2928    DRAY 8/26/2021 0.14
2929    DRAYU 7/1/2021 0.06
2930    DRAYW 8/23/2021 0.14
2931    DRC 8/5/2005 38
2932    DRCO 1/2/1998 6.43
2933    DRCTW 2/11/2022 0.1
2934    DRE 1/2/1998 94
2935    DRF 10/13/2006 0.52
2936    DRGS 10/24/2011 0.14
2937    DRII 7/19/2013 9.55
2938    DRIOW 3/4/2016 0.21
2939    DRJ 11/18/2004 1.49
2940    DRL 1/8/2003 33
2941    DRNA 1/30/2014 20
2942    DRQ 1/2/1998 68
2943    DRR 5/22/2008 3.68
2944    DRTT 1/28/2014 3
2945    DRTX 7/19/2012 3.9
2946    DRU 6/22/2009 4.65
2947    DRUA 7/25/2016 5.05
2948    DRW 6/5/2007 5
2949    DRWI 10/15/2009 13
2950    DRWIW 12/16/2014 0.19
2951    DRYS 2/3/2005 85
2952    DS 5/2/2007 49
2953    DS.B 5/16/2007 1.45
2954    DS.C 5/16/2007 0.63
2955    DS.D 5/16/2007 0.8
2956    DSAC 12/7/2020 0.59
2957    DSACU 10/29/2020 0.12
2958    DSACW 12/7/2020 0.15
2959    DSC 11/15/2005 0.56
2960    DSCI 7/27/2000 6.45
2961    DSCM 7/28/1999 23
2962    DSCO 1/2/1998 37
2963    DSCP 1/2/1998 11
2964    DSE 6/26/2014 8.79
2965    DSEY 3/25/2021 7.17
2966    DSG 10/2/2000 1.87
2967    DSJA 1/4/2021 0.08
2968    DSKE 10/12/2015 16
2969    DSKEW 9/14/2015 1.35
2970    DSKY 8/7/2014 4.29
2971    DSLV 10/17/2011 13
2972    DSOC 10/1/2020 0.13
2973    DSPC 5/19/2021 0.09
2974    DSPG 1/2/1998 42
2975    DSSI 3/28/2019 5.65
2976    DST 1/2/1998 62
2977    DSTI 3/22/2004 12
2978    DSTJ 10/7/2010 0.03
2979    DSUM 9/23/2011 2.83
2980    DSV 10/2/2000 1.55
2981    DSW 6/29/2005 53
2982    DSXJ 10/6/2010 0.03
2983    DSXN 5/29/2015 0.42
2984    DTEA 6/5/2015 7.57
2985    DTJ 6/10/2016 2.39
2986    DTK 3/3/2008 16
2987    DTLK 8/6/1999 15
2988    DTN 6/16/2006 10
2989    DTO 6/17/2008 20
2990    DTOC 5/5/2021 0.18
2991    DTOCU 3/10/2021 0.18
2992    DTOCW 5/13/2021 0.17
2993    DTOX 6/24/2021 0.04
2994    DTP 11/6/2019 1.36
2995    DTPI 1/2/1998 25
2996    DTQ 10/3/2012 2.3
2997    DTRT 10/26/2021 0.08
2998    DTRTU 9/2/2021 0.04
2999    DTRTW 10/25/2021 0.15
3000    DTSI 7/11/2003 27
3001    DTSQU 7/25/2024 0.02
3002    DTT 8/1/2007 8.88
3003    DTUL 8/10/2010 0.43
3004    DTUS 8/10/2010 0.51
3005    DTV 10/13/2016 0.61
3006    DTY 12/8/2016 1.97
3007    DTYL 8/10/2010 0.56
3008    DTYS 8/10/2010 3.81
3009    DTZ 12/8/2011 2.31
3010    DUA 11/1/2006 7.68
3011    DUAL 1/31/2013 0.41
3012    DUC 1/2/1998 14
3013    DUCK 1/2/1998 1.47
3014    DUDE 12/30/2020 0.43
3015    DUET 3/17/2022 0.05
3016    DUETU 1/20/2022 0.02
3017    DUETW 3/14/2022 0.02
3018    DUF 10/8/2007 12
3019    DUNE 2/19/2021 0.45
3020    DUNEU 12/18/2020 0.4
3021    DUNEW 2/19/2021 0.42
3022    DVCR 9/12/2006 2.79
3023    DVD 1/2/1998 11
3024    DVEM 4/7/2016 0.37
3025    DVF 1/27/2005 5.49
3026    DVHI 10/4/2013 0.05
3027    DVHL 11/13/2013 1.47
3028    DVM 1/27/2005 7.36
3029    DVMT 9/7/2016 9.65
3030    DVOX 4/22/2010 2.95
3031    DVP 9/23/2014 3.05
3032    DVR 12/14/2006 26
3033    DVYL 5/23/2012 0.95
3034    DW 12/11/2003 29
3035    DWA 10/28/2004 46
3036    DWAC 9/21/2016 10
3037    DWACU 9/3/2021 0.37
3038    DWACW 9/30/2021 3.67
3039    DWAQ 2/19/2014 0.37
3040    DWCH 1/2/1998 10
3041    DWDP 4/27/2007 57
3042    DWEQ 12/27/2019 0.22
3043    DWFI 6/14/2016 1
3044    DWIN 3/11/2016 1.24
3045    DWIN.U 12/11/2020 0.22
3046    DWLV 7/15/2016 0.14
3047    DWMC 7/11/2018 0.15
3048    DWPP 1/4/2017 0.33
3049    DWRE 3/15/2012 13
3050    DWT 12/9/2016 19
3051    DWTI 2/8/2012 12
3052    DWTR 10/9/2015 1.15
3053    DX.A 8/3/2012 0.64
3054    DX.B 4/22/2013 1.45
3055    DXB 6/21/2007 12
3056    DXGE 10/17/2013 2.73
3057    DXI 5/23/2007 6.61
3058    DXJC 4/8/2014 0.1
3059    DXJF 4/8/2014 1.1
3060    DXJH 5/14/2014 0.27
3061    DXJR 4/9/2014 0.65
3062    DXJT 4/8/2014 0.06
3063    DXKW 11/7/2013 0.31
3064    DXM 5/1/2013 5.63
3065    DXPS 6/28/2013 0.49
3066    DXTR 3/20/2007 11
3067    DXUS 6/4/2015 0.05
3068    DYAX 8/15/2000 32
3069    DYB 1/4/2016 0.3
3070    DYFN 6/26/2020 0.45
3071    DYHG 6/11/2020 0.07
3072    DYLS 1/4/2016 0.97
3073    DYN.A 10/15/2014 0.53
3074    DYNC 7/5/2016 0.27
3075    DYNIQ 7/7/1998 52
3076    DYNS 5/26/2021 0.55
3077    DYY 5/22/2008 2.3
3078    DZK 12/17/2008 3.66
3079    EAA 10/12/2010 2.17
3080    EAB 12/18/2012 2.07
3081    EAC 4/11/2012 3.68
3082    EACPU 1/15/2021 0.18
3083    EACPW 3/2/2021 0.16
3084    EACQ 10/2/2015 0.11
3085    EACQU 7/30/2015 0.03
3086    EACQW 10/2/2015 0.13
3087    EAE 6/6/2013 1.39
3088    EAFD 1/11/2022 0.13
3089    EAGLU 7/25/2013 0.17
3090    EAGLW 9/18/2013 0.21
3091    EAPS 1/28/2011 0.32
3092    EAR 10/16/2020 8.06
3093    EARS 8/6/2014 11
3094    EAS 9/5/2000 25
3095    EASI 6/14/2018 0.21
3096    EAST 1/3/2017 4.48
3097    EASTW 8/10/2017 0.04
3098    EATX 5/3/2011 0.04
3099    EBAC 5/18/2021 0.09
3100    EBACU 3/16/2021 0.09
3101    EBACW 5/13/2021 0.09
3102    EBAYL 3/10/2016 4.54
3103    EBAYV 7/6/2015 0.17
3104    EBIO 2/6/2014 7.14
3105    EBIX 7/12/2000 46
3106    EBLU 8/21/2020 0.48
3107    EBSB 1/23/2008 18
3108    EBTX 7/18/2007 1.53
3109    ECA 5/8/2002 79
3110    ECAC 11/25/2015 0.02
3111    ECACR 11/24/2015 0.02
3112    ECACU 8/13/2015 0.01
3113    ECBE 6/22/2006 0.25
3114    ECCA 5/22/2015 0.44
3115    ECCB 10/13/2016 0.67
3116    ECCY 8/9/2017 0.33
3117    ECCZ 12/9/2015 0.19
3118    ECHO 10/2/2009 27
3119    ECL.WD 6/3/2020 0.01
3120    ECOL 1/5/1998 35
3121    ECOLW 11/1/2019 0.14
3122    ECOM 5/23/2013 20
3123    ECOZ 3/2/2020 0.14
3124    ECR 6/20/2014 16
3125    ECT 7/1/2010 9.27
3126    ECTY 5/20/2010 2.73
3127    ECYT 2/4/2011 21
3128    EDAC 1/2/1998 2.3
3129    EDBI 12/29/2015 0.07
3130    EDE 1/2/1998 38
3131    EDG 4/30/2012 2.14
3132    EDGR 6/4/1999 6.25
3133    EDGW 7/3/2000 5.3
3134    EDI 10/26/2012 9.25
3135    EDMC 10/2/2009 12
3136    EDNC 11/8/2021 0.06
3137    EDNCU 9/15/2021 0.03
3138    EDNCW 11/8/2021 0.03
3139    EDNT 5/3/2018 1.4
3140    EDOM 3/17/2017 0.11
3141    EDS 10/19/2009 1.59
3142    EDT 5/19/2009 1.6
3143    EDTX 10/5/2018 0.35
3144    EDTXU 10/5/2018 0.14
3145    EDTXW 10/24/2018 0.21
3146    EDUT 7/15/2020 0.23
3147    EEB 9/21/2006 17
3148    EEE 1/2/1998 24
3149    EEH 8/2/2007 0.33
3150    EEHB 2/24/2012 0.25
3151    EEI 3/22/2004 1.81
3152    EEMD 11/30/2017 0.37
3153    EEME 1/19/2012 0.14
3154    EEML 1/19/2012 0.17
3155    EEN 3/1/2007 0.11
3156    EEP 9/5/2001 55
3157    EEQ 10/11/2002 28
3158    EERN 7/27/2021 0.03
3159    EEVX 9/8/2011 0.04
3160    EEZ 2/23/2007 0.31
3161    EF 10/11/2002 8.39
3162    EFBI 7/21/2017 0.13
3163    EFC.E 12/15/2023 0.08
3164    EFF 6/26/2013 3.98
3165    EFHT 12/8/2022 0.07
3166    EFHTR 12/8/2022 0.04
3167    EFHTU 9/9/2022 0.02
3168    EFHTW 12/13/2022 0.03
3169    EFII 1/2/1998 66
3170    EFL 7/28/2017 3.23
3171    EFM 4/15/2010 0.84
3172    EFUT 10/2/2023 0.37
3173    EGAS 8/4/2009 3.72
3174    EGC 2/28/2017 3.66
3175    EGGF 7/19/2021 0.21
3176    EGI 7/19/2005 7.39
3177    EGIF 6/23/2015 1.88
3178    EGIO 6/8/2007 49
3179    EGIS 11/18/2020 0.22
3180    EGL 7/18/2012 13
3181    EGLE 6/28/2005 57
3182    EGLT 2/6/2014 8.48
3183    EGLX 10/21/2019 5.78
3184    EGN 1/2/1998 65
3185    EGOV 7/15/1999 54
3186    EGOX 10/20/2023 1.47
3187    EGPT 2/18/2010 4.4
3188    EGRW 2/9/2012 0.1
3189    EGT 9/12/2007 6.89
3190    EGX 1/5/1998 0.23
3191    EHIC 11/18/2014 6.11
3192    EHT 5/26/2016 2.04
3193    EIA 11/26/2002 2.82
3194    EIDX 6/20/2018 4.13
3195    EIGI 10/25/2013 21
3196    EIGR 1/30/2014 17
3197    EIHI 9/5/2006 2.25
3198    EIO 11/26/2002 1.16
3199    EIP 1/24/2003 1.32
3200    EIPL 7/27/2011 0.02
3201    EIPO 7/27/2011 0.09
3202    EIV 11/26/2002 5.73
3203    EJ 8/9/2007 32
3204    EJFA 4/21/2021 0.4
3205    EJFAU 2/25/2021 0.2
3206    EJFAW 4/22/2021 0.24
3207    EK 1/2/1998 59
3208    EKAR 2/13/2018 0.28
3209    EKDKQ 1/2/1998 63
3210    EKH 1/18/2001 0.45
3211    ELAT 1/30/2020 0.59
3212    ELB 3/19/2010 1.65
3213    ELEC 9/24/2015 0.06
3214    ELECU 6/11/2015 0.04
3215    ELECW 8/20/2015 0.12
3216    ELG 10/2/2000 2.22
3217    ELGX 6/3/2002 36
3218    ELIQ 3/22/2021 1.02
3219    ELJ 7/6/2012 2.43
3220    ELLI 4/15/2011 23
3221    ELMG 1/2/1998 15
3222    ELMS 9/21/2020 5.73
3223    ELMSW 9/21/2020 1.05
3224    ELN 1/2/1998 65
3225    ELNK 12/14/2001 63
3226    ELOS 8/9/2004 27
3227    ELOY 2/16/2000 4.22
3228    ELR 11/15/2005 0.46
3229    ELRC 1/2/1998 15
3230    ELS.C 9/17/2012 0.19
3231    ELT 9/30/2010 3.23
3232    ELU 5/23/2013 1.45
3233    ELVT 4/6/2017 9.66
3234    ELX 6/24/2002 50
3235    ELY 1/2/1998 90
3236    ELYM 8/10/2021 1.98
3237    EMAG 5/12/2011 0.63
3238    EMAN 3/12/2007 17
3239    EMBB 12/5/2013 0.03
3240    EMBH 9/4/2015 0.26
3241    EMBK 11/11/2021 5.03
3242    EMBKW 11/11/2021 0.58
3243    EMBU 8/22/2017 0.01
3244    EMCA 9/8/2022 0.01
3245    EMCD 6/19/2012 0.23
3246    EMCF 6/2/2005 0.48
3247    EMCGU 8/10/2022 0.02
3248    EMCI 1/2/1998 11
3249    EMDD 8/17/2012 0.24
3250    EMDG 7/1/2013 0.04
3251    EMDI 2/17/2012 0.1
3252    EMEM 11/9/2017 0.08
3253    EMER 7/13/2011 0.04
3254    EMES 5/9/2013 16
3255    EMEY 2/10/2012 0.18
3256    EMFM 11/7/2013 1.24
3257    EMFN 2/11/2010 0.14
3258    EMFQ 1/30/2019 0.44
3259    EMFT 12/18/2014 0.02
3260    EMG 11/15/2005 5.73
3261    EMGC 9/9/2022 0.01
3262    EMGD 1/11/2022 0.07
3263    EMGX 1/25/2011 0.02
3264    EMHD 8/15/2013 0.05
3265    EMHZ 10/16/2014 0.04
3266    EMI 3/19/2018 0.05
3267    EMIH 8/18/2015 0.13
3268    EMJ 1/24/2003 1.88
3269    EMLB 6/29/2015 0.01
3270    EMLD 2/9/2022 0.15
3271    EMLDU 12/16/2021 0.11
3272    EMLDW 2/9/2022 0.17
3273    EMMAW 7/14/2017 0.06
3274    EMMSP 10/27/1999 0.44
3275    EMMT 1/22/2010 0.27
3276    EMPW 11/27/2020 0.6
3277    EMPW.U 10/7/2020 0.26
3278    EMQ 11/7/2006 0.95
3279    EMRE 9/29/2014 0.02
3280    EMS 12/16/2005 14
3281    EMSA 11/30/2010 0.07
3282    EMSD 10/30/2015 0.09
3283    EMSG 12/6/2018 0.33
3284    EMSH 11/22/2013 0.21
3285    EMSO 3/1/2016 0.01
3286    EMT 6/2/2009 0.58
3287    EMV 11/15/2005 0.3
3288    EMVX 1/25/2011 0.02
3289    EMWP 11/13/2013 26
3290    EMXX 10/27/2008 1.89
3291    EMZ 4/19/2011 1.42
3292    EMZA 9/8/2022 0.01
3293    ENA 8/29/2006 1.36
3294    ENBA 4/25/2018 4.27
3295    ENBL 4/11/2014 22
3296    ENCP 1/10/2022 0.11
3297    ENCPU 11/16/2021 0.05
3298    ENCPW 1/10/2022 0.08
3299    END 6/15/2004 23
3300    ENDP 7/18/2000 86
3301    ENER 1/2/1998 38
3302    ENERR 12/1/2021 0.1
3303    ENERU 10/21/2021 0.06
3304    ENERW 12/1/2021 0.1
3305    ENFA 3/5/2021 0.34
3306    ENFAU 1/12/2021 0.23
3307    ENFAW 3/5/2021 0.21
3308    ENFC 10/1/2014 1.24
3309    ENG 6/17/2002 24
3310    ENH 2/28/2003 42
3311    ENH.A 5/16/2007 2.72
3312    ENH.B 6/3/2011 1.99
3313    ENH.C 10/22/2010 0.99
3314    ENI 1/2/1998 44
3315    ENIA 5/1/2007 55
3316    ENJY 2/4/2021 2.01
3317    ENJYW 2/4/2021 0.3
3318    ENL 1/2/1998 15
3319    ENLC 3/10/2014 44
3320    ENLK 5/10/2007 33
3321    ENMD 1/2/1998 21
3322    ENNV 4/6/2021 0.27
3323    ENNVU 2/9/2021 0.23
3324    ENNVW 4/6/2021 0.15
3325    ENOB 2/2/2015 5.08
3326    ENOC 5/18/2007 28
3327    ENPC 11/6/2020 0.59
3328    ENPC.U 9/16/2020 0.13
3329    ENR.A 1/23/2019 0.78
3330    ENRG 8/9/2022 0.06
3331    ENRJ 6/17/2014 2.56
3332    ENSI 2/3/1998 3.04
3333    ENT 2/1/2013 18
3334    ENTF 12/14/2021 0.06
3335    ENTFU 10/19/2021 0.06
3336    ENTFW 12/9/2021 0.08
3337    ENTL 1/29/2015 4.12
3338    ENTR 11/8/2017 0.58
3339    ENTU 8/18/1998 23
3340    ENTXW 6/28/2018 0.2
3341    ENV 7/29/2010 35
3342    ENVE 5/16/2007 4
3343    ENVI 4/25/2012 3.57
3344    ENVIU 1/14/2021 0.44
3345    ENVIW 3/8/2021 0.19
3346    ENVXW 1/5/2021 0.51
3347    ENY 7/3/2007 4.77
3348    ENZY 9/27/2013 3.17
3349    EOC 1/2/1998 24
3350    EOCA 4/21/2016 0.63
3351    EOCC 5/9/2007 22
3352    EOCW 8/19/2021 0.27
3353    EONC 2/4/2000 4.97
3354    EOPN 7/26/2012 5.41
3355    EOPS 6/10/2021 0.05
3356    EOSPN 11/30/2009 0.12
3357    EOX 3/1/2011 13
3358    EPAX 5/10/2002 15
3359    EPAY 2/12/1999 48
3360    EPB 11/29/2007 23
3361    EPE 5/16/2007 27
3362    EPHC 10/4/2005 6.24
3363    EPHY 3/1/2021 0.63
3364    EPHYU 1/8/2021 0.58
3365    EPHYW 3/1/2021 0.36
3366    EPIC 5/18/1999 27
3367    EPIQ 1/2/1998 33
3368    EPL 9/23/2009 13
3369    EPM.A 7/5/2011 0.17
3370    EPOC 2/2/2011 2.68
3371    EPR.F 1/23/2014 0.43
3372    EPRE 5/26/2021 0.04
3373    EPRO 7/16/2012 0.2
3374    EPRS 5/7/2007 18
3375    EPWR 3/1/2021 0.29
3376    EPZM 5/31/2013 29
3377    EQC.D 7/1/2010 2.9
3378    EQC.E 6/3/2011 1.52
3379    EQCO 7/30/2012 2.07
3380    EQD 11/6/2020 1
3381    EQD.U 9/16/2020 0.29
3382    EQGP 3/5/2018 1.8
3383    EQHA 3/22/2021 0.18
3384    EQM 6/27/2012 22
3385    EQOP 9/17/2020 0.08
3386    EQOS 5/16/2019 5.47
3387    EQOSW 5/16/2019 0.58
3388    EQRX 6/3/2021 7.29
3389    EQRXW 6/3/2021 0.33
3390    EQU 6/1/2010 5.36
3391    EQUL 10/21/2021 0.02
3392    EQWM 5/16/2007 0.8
3393    EQWS 5/16/2007 0.61
3394    EQY 5/14/1998 48
3395    ERA 1/22/2013 11
3396    ERB 5/16/2007 1.81
3397    ERES 4/27/2001 30
3398    ERESU 7/23/2020 0.2
3399    ERESW 9/14/2020 0.61
3400    ERF 11/17/2000 90
3401    ERGF 6/26/2017 0.03
3402    ERI 8/10/2005 21
3403    ERM 4/12/2017 0.4
3404    ERN 12/10/2008 12
3405    EROC 10/25/2006 22
3406    EROCW 7/9/2010 0.52
3407    EROS 11/13/2013 19
3408    ERS 9/13/2013 0.57
3409    ERSX 12/28/2018 0.26
3410    ERT 4/27/2001 31
3411    ERTS 1/2/1998 60
3412    ERUS 11/10/2010 20
3413    ERW 10/30/2015 0.01
3414    ERYP 11/10/2017 1.17
3415    ERYY 4/7/2016 0.01
3416    ESA 10/3/2006 0.5
3417    ESAC 12/16/2021 0.11
3418    ESACU 10/20/2021 0.03
3419    ESACW 12/13/2021 0.08
3420    ESBF 5/1/1998 3.07
3421    ESBK 6/15/2005 0.93
3422    ESC 1/2/1998 19
3423    ESCR 5/12/2020 0.11
3424    ESCRP 7/3/2007 0.82
3425    ESD 12/4/2003 18
3426    ESDI 4/16/2014 0.3
3427    ESDIW 8/10/2017 0.01
3428    ESEB 5/12/2020 0.21
3429    ESGA 7/15/2020 0.47
3430    ESGB 6/29/2021 0.16
3431    ESGC 11/13/2013 24
3432    ESGF 2/9/2017 0.1
3433    ESGN 6/13/2016 0.24
3434    ESGS 7/21/2016 0.3
3435    ESGW 6/13/2016 0.08
3436    ESGY 7/1/2021 0.08
3437    ESHAU 6/14/2023 0.02
3438    ESHY 5/12/2020 0.17
3439    ESIC 8/22/2007 3.67
3440    ESIO 8/21/2003 37
3441    ESL 1/2/1998 46
3442    ESLR 11/15/2000 30
3443    ESM 5/16/2007 0.27
3444    ESMK 11/28/2007 1.57
3445    ESMT 9/23/2021 7.55
3446    ESND 1/4/2018 2.59
3447    ESNG 2/5/2020 0.08
3448    ESR 10/2/2009 1.39
3449    ESRX 1/2/1998 85
3450    ESS.H 4/25/2011 0.24
3451    ESSC 3/20/2020 1.63
3452    ESSCR 3/27/2020 0.34
3453    ESSCU 2/20/2020 0.07
3454    ESSCW 3/27/2020 1.12
3455    ESSX 1/13/2010 2.61
3456    ESTE 5/16/2007 19
3457    ESTR 11/16/2015 0.87
3458    ESTRW 11/16/2015 0.17
3459    ESTX 9/23/2014 0.05
3460    ESUS 9/15/2021 0.17
3461    ESV 1/2/1998 93
3462    ESXB 5/16/2007 4.89
3463    ESYS 3/10/2009 0.78
3464    ET.C 5/2/2018 4.31
3465    ET.D 7/27/2018 4.22
3466    ET.E 4/26/2019 4.3
3467    ETAC 9/18/2020 1.59
3468    ETACU 7/31/2020 0.28
3469    ETACW 9/18/2020 0.8
3470    ETAK 6/13/2008 6.51
3471    ETAO 2/21/2023 1.49
3472    ETE 2/3/2006 49
3473    ETF 5/11/2006 3.01
3474    ETFC 2/15/2001 91
3475    ETM 1/29/1999 57
3476    ETP 1/4/2018 3.85
3477    ETP.C 5/2/2018 2.49
3478    ETP.D 7/27/2018 2.46
3479    ETP.E 4/26/2019 1.96
3480    ETRM 11/15/2007 17
3481    ETRN 10/31/2018 26
3482    ETTX 9/26/2018 3.31
3483    ETUA 1/30/2012 0.07
3484    EUCG 1/5/2021 0.11
3485    EUCR 12/29/2020 0.15
3486    EUCRU 10/23/2020 0.09
3487    EUCRW 1/7/2021 0.11
3488    EUFL 9/1/2016 0.16
3489    EUFS 8/25/2016 0.02
3490    EUFX 7/16/2012 0.51
3491    EUMF 3/29/2019 0.02
3492    EUMV 6/5/2014 1.03
3493    EURN 1/23/2015 38
3494    EURZ 10/27/2017 0.15
3495    EUSG 3/10/2021 0.2
3496    EUSGU 1/22/2021 0.19
3497    EUSGW 3/10/2021 0.1
3498    EUXL 7/12/2017 0.16
3499    EVA 4/29/2015 17
3500    EVAL 2/10/2012 0.18
3501    EVAR 4/25/2014 0.98
3502    EVBG 9/16/2016 24
3503    EVBS 1/24/2003 1.68
3504    EVDY 3/28/2014 5.42
3505    EVE 2/4/2022 0.2
3506    EVEN 1/20/2022 0.05
3507    EVER.A 11/14/2012 1.25
3508    EVFTC 11/30/2017 0.01
3509    EVGBC 6/14/2019 0.01
3510    EVHC 8/14/2013 22
3511    EVIX 5/3/2017 0.17
3512    EVJ 1/27/1999 3.14
3513    EVK 7/16/2008 3.24
3514    EVLMC 7/26/2019 0.01
3515    EVLVU 7/31/2020 0.18
3516    EVOJ 4/7/2021 0.12
3517    EVOJU 2/9/2021 0.12
3518    EVOJW 4/8/2021 0.09
3519    EVOP 5/23/2018 12
3520    EVP 1/28/1999 1.37
3521    EVRY 1/16/2013 1.73
3522    EVSI 4/30/2010 2.1
3523    EVSIW 4/16/2019 0.15
3524    EVSTC 2/26/2016 0.02
3525    EVVV 6/17/2005 16
3526    EVXX 6/13/2023 0.07
3527    EVY 1/27/1999 3.87
3528    EWAC 1/13/2011 0.04
3529    EWAS 1/26/2012 0.15
3530    EWCO 11/7/2018 0.62
3531    EWCS 1/26/2012 0.16
3532    EWEB 11/12/2020 0.23
3533    EWEF 12/8/2010 0.13
3534    EWEM 12/8/2010 0.5
3535    EWGS 1/26/2012 1.24
3536    EWHS 1/13/2012 0.36
3537    EWJE 3/7/2019 0.09
3538    EWMC 12/8/2010 1.91
3539    EWMD 8/4/2011 0.14
3540    EWRE 8/14/2015 1.51
3541    EWRI 12/8/2010 0.61
3542    EWRM 12/8/2010 0.9
3543    EWRS 12/8/2010 0.49
3544    EWSC 12/8/2010 1.15
3545    EWSM 8/4/2011 0.02
3546    EWSS 1/17/2012 0.37
3547    EXA 6/28/2012 3.76
3548    EXAC 1/2/1998 12
3549    EXAI 10/1/2021 7.24
3550    EXAM 10/29/2010 15
3551    EXAR 1/2/1998 43
3552    EXB 7/25/2007 0.3
3553    EXBD 2/23/1999 35
3554    EXCU 7/3/2014 1.27
3555    EXD 6/25/2010 7.21
3556    EXFO 6/30/2000 14
3557    EXH 8/21/2007 33
3558    EXIV 5/3/2017 0.82
3559    EXL 4/23/2010 11
3560    EXL.B 1/31/2012 0.33
3561    EXLP 8/21/2007 12
3562    EXM 9/15/2005 25
3563    EXN 9/23/2020 1.3
3564    EXPC 11/5/2019 2.09
3565    EXPCU 9/13/2019 0.07
3566    EXPCW 1/3/2020 0.55
3567    EXPEV 12/7/2011 0.08
3568    EXPR 5/13/2010 53
3569    EXT 2/23/2007 1.11
3570    EXTN 11/4/2015 15
3571    EXTO 9/13/2023 1.45
3572    EXXI 8/1/2007 34
3573    EYEGW 7/31/2015 0.14
3574    EYES 11/19/2014 19
3575    EYESW 3/29/2017 0.5
3576    EZCH 1/17/2008 19
3577    EZT 2/4/2015 0.66
3578    EZY 2/23/2007 0.83
3579    FAA 1/30/2009 1.06
3580    FAC 1/2/1998 8.9
3581    FACA 4/13/2021 0.24
3582    FACE 11/9/2006 4.68
3583    FADV 6/6/2003 8.12
3584    FAII 10/2/2020 1.46
3585    FAII.U 8/13/2020 0.31
3586    FAIL 3/15/2021 0.13
3587    FAM 11/24/2004 14
3588    FANH 11/1/2007 28
3589    FANZ 7/10/2017 0.07
3590    FATH 3/29/2021 2.47
3591    FATP 12/3/2021 0.17
3592    FATPU 10/13/2021 0.02
3593    FATPW 12/3/2021 0.13
3594    FAUS 2/24/2012 0.19
3595    FAV 9/21/2007 4.15
3596    FAZE 4/13/2021 4.68
3597    FAZEW 4/13/2021 0.71
3598    FAZZ 4/7/2016 0.02
3599    FB 5/18/2012 73
3600    FBC 7/13/2001 64
3601    FBCM 6/8/2007 7.83
3602    FBG 6/11/2012 1.43
3603    FBGX 6/11/2014 1.51
3604    FBHS 10/4/2011 46
3605    FBM 3/30/2011 8.58
3606    FBMI 11/30/2005 1.14
3607    FBN 1/2/1998 44
3608    FBNK 6/30/2011 5.01
3609    FBR 11/18/2009 39
3610    FBRC 6/8/2007 15
3611    FBS.A 5/16/2007 0.67
3612    FBSS 9/21/2006 0.6
3613    FCAC 11/23/2020 1.27
3614    FCACU 9/22/2020 0.31
3615    FCACW 11/25/2020 0.45
3616    FCAM 12/18/2014 0.19
3617    FCAN 2/17/2012 0.88
3618    FCAU 2/14/2013 32
3619    FCAX 3/5/2021 0.6
3620    FCB 1/4/2018 2.86
3621    FCBP 1/5/2018 1.31
3622    FCCY 5/13/2005 2.16
3623    FCD 3/30/2011 0.1
3624    FCE.A 1/4/2018 3.73
3625    FCE.B 1/2/1998 1.3
3626    FCFC 1/2/1998 2.64
3627    FCFI 6/2/2015 0.02
3628    FCFP 7/20/2015 0.5
3629    FCH 1/2/1998 61
3630    FCH.A 5/16/2007 2.33
3631    FCHI 6/25/2008 0.86
3632    FCL 3/30/2011 0.06
3633    FCLF 7/11/2006 0.51
3634    FCQ 3/30/2011 0.04
3635    FCRD 4/22/2010 19
3636    FCRW 10/9/2018 0.2
3637    FCRZ 12/17/2015 0.37
3638    FCS 8/4/1999 65
3639    FCSC 10/21/2009 9.43
3640    FCSX 3/16/2007 7.77
3641    FCTY 12/19/2007 0.57
3642    FCVA 6/14/2007 0.49
3643    FCY 2/20/2004 0.98
3644    FCZA 2/4/2002 1.23
3645    FDC 1/2/1998 55
3646    FDEF 1/2/1998 10
3647    FDEU 9/25/2015 6.5
3648    FDI 1/18/2005 3.05
3649    FDML 4/23/2008 20
3650    FDO 1/2/1998 65
3651    FDRY 9/28/1999 38
3652    FDUSG 10/17/2019 0.13
3653    FDUSL 2/5/2018 0.22
3654    FDUSZ 2/11/2019 0.24
3655    FEAC.U 3/6/2020 0.34
3656    FED 1/2/1998 20
3657    FEDL 9/15/2021 0.3
3658    FEDX 10/15/2020 0.11
3659    FEED 8/29/2007 13
3660    FEEM 4/25/2022 0.01
3661    FEEU 5/23/2013 0.94
3662    FEFN 7/16/2012 0.1
3663    FEG 3/30/2011 0.3
3664    FEHY 9/21/2021 0.07
3665    FEI 11/28/2012 19
3666    FEIC 1/2/1998 49
3667    FELP 6/18/2014 4.53
3668    FEMA 6/1/2022 0.02
3669    FEN 6/25/2004 18
3670    FENX 5/14/2015 2.41
3671    FEO 8/31/2006 6.24
3672    FES 8/16/2011 2.71
3673    FEU 10/21/2002 5.47
3674    FEUL 5/22/2018 0.23
3675    FEVR 12/8/2020 0.16
3676    FEXD 1/13/2022 0.06
3677    FEXDR 1/13/2022 0.08
3678    FEXDU 10/19/2021 0.02
3679    FEXDW 1/13/2022 0.04
3680    FEYE 9/20/2013 39
3681    FFBCW 6/3/2010 0.09
3682    FFBH 1/2/1998 1.3
3683    FFCH 1/2/1998 13
3684    FFCO 4/7/2005 0.4
3685    FFD 9/18/2008 1.49
3686    FFEU 3/27/2018 0.46
3687    FFEX 1/2/1998 7
3688    FFFD 1/2/1998 0.51
3689    FFG 1/2/1998 23
3690    FFHG 6/6/2017 0.74
3691    FFHL 12/19/2006 6.07
3692    FFI 5/16/2007 0.67
3693    FFKT 1/2/1998 5.73
3694    FFKY 1/5/1998 0.98
3695    FFL 3/30/2011 0.1
3696    FFN 5/11/2011 2.3
3697    FFR 8/30/2007 2.28
3698    FFSG 11/2/2017 0.45
3699    FFTG 11/1/2017 0.63
3700    FFTI 6/6/2017 1.07
3701    FFVX 9/8/2011 0.01
3702    FGC 11/9/2006 3.17
3703    FGE 10/3/2007 2.51
3704    FGEM 9/16/2009 0.17
3705    FGH 5/16/2007 8.71
3706    FGLD 6/30/2022 0.04
3707    FGMCW 4/21/2022 0.03
3708    FGNA 11/20/2020 1.24
3709    FGNA.U 9/30/2020 0.15
3710    FGP 1/2/1998 37
3711    FGRO 2/4/2021 2.08
3712    FGXI 10/25/2007 3.83
3713    FH 7/27/2010 15
3714    FHC 3/30/2011 0.09
3715    FHCO 6/9/2009 9.82
3716    FHK 11/9/2012 0.82
3717    FHL 3/8/2019 1.35
3718    FHLT 12/8/2021 0.05
3719    FHLTU 9/10/2021 0.06
3720    FHLTW 12/9/2021 0.08
3721    FHN.A 2/5/2013 1.3
3722    FHN.D 7/6/2020 0.75
3723    FHS 3/11/2021 1.76
3724    FHY 3/29/2006 6.4
3725    FIA 9/18/2015 0.01
3726    FIAC 12/23/2021 0.11
3727    FIACU 10/28/2021 0.07
3728    FIACW 12/20/2021 0.13
3729    FIBG 11/6/2013 0.16
3730    FIC 1/2/1998 29
3731    FICV 9/14/2021 0.09
3732    FICVU 7/1/2021 0.07
3733    FICVW 9/10/2021 0.11
3734    FIEE 2/18/2016 0.46
3735    FIEG 10/8/2013 0.49
3736    FIEU 9/13/2013 0.58
3737    FIF 9/28/2011 13
3738    FIGY 5/22/2013 1.03
3739    FIHD 2/22/2016 1.38
3740    FII 5/14/1998 75
3741    FIII 9/21/2020 2.43
3742    FIIIU 8/19/2020 0.29
3743    FIIIW 9/21/2020 0.72
3744    FIL 3/30/2011 0.07
3745    FINF 1/12/2012 0.35
3746    FINL 1/2/1998 67
3747    FINM 3/9/2021 0.29
3748    FINMU 1/13/2021 0.32
3749    FINMW 3/8/2021 0.18
3750    FINQ 9/6/2016 0.02
3751    FINU 7/16/2012 1.37
3752    FINZ 7/16/2012 0.71
3753    FIO 6/9/2011 14
3754    FIRE 3/9/2007 19
3755    FISH 7/26/2013 1.77
3756    FISN 5/9/2011 0.02
3757    FISV 1/2/1998 105
3758    FIT 6/18/2015 26
3759    FITS 6/9/2016 0.01
3760    FIV 12/22/2016 4.19
3761    FIVG 3/5/2019 8.98
3762    FIVR 12/29/2021 0.06
3763    FIVZ 11/4/2009 0.14
3764    FIXT 6/1/2022 0.07
3765    FIXX 3/28/2018 13
3766    FIYY 3/16/2018 0.55
3767    FJA 7/13/2007 0.31
3768    FJNK 10/24/2019 0.06
3769    FKO 4/25/2011 0.36
3770    FLAC 2/8/2021 0.17
3771    FLACU 12/9/2020 0.18
3772    FLACW 2/8/2021 0.11
3773    FLAG 1/31/2013 0.57
3774    FLAT 8/10/2010 0.94
3775    FLDDU 12/16/2021 0.12
3776    FLDM 2/10/2011 28
3777    FLE 1/2/1998 25
3778    FLEH 11/19/2018 0.3
3779    FLF 12/24/2018 0.01
3780    FLFR 12/18/2017 0.26
3781    FLFV 8/8/2022 0.11
3782    FLFVR 8/8/2022 0.04
3783    FLFVU 6/16/2022 0.02
3784    FLFVW 8/8/2022 0.03
3785    FLGE 6/11/2014 1.16
3786    FLIO 4/23/2018 0.05
3787    FLIR 1/2/1998 79
3788    FLIY 5/1/2018 0.22
3789    FLJ 11/5/2019 4.11
3790    FLKS 1/29/2015 5.9
3791    FLLC 10/31/2019 0.03
3792    FLLCR 10/31/2019 0.01
3793    FLLCU 7/25/2019 0.06
3794    FLLCW 10/31/2019 0.01
3795    FLLV 9/22/2016 0.99
3796    FLM 10/17/2008 1.28
3797    FLME 4/19/2021 0.5
3798    FLML 1/10/2001 26
3799    FLMN 10/30/2017 9.11
3800    FLMNW 9/20/2017 0.3
3801    FLQD 6/3/2016 0.35
3802    FLQE 6/3/2016 0.6
3803    FLQG 6/3/2016 0.23
3804    FLQH 6/3/2016 0.38
3805    FLRU 2/8/2018 0.43
3806    FLT 12/15/2010 49
3807    FLTX 10/9/2012 12
3808    FLWR 10/9/2018 0.45
3809    FLXN 2/12/2014 22
3810    FLY 9/28/2007 27
3811    FLYA 11/8/2021 0.05
3812    FLYT 2/13/2020 0.17
3813    FLZA 10/11/2018 0.2
3814    FM 9/13/2012 20
3815    FMAC 11/27/2020 1.8
3816    FMAC.U 10/6/2020 0.25
3817    FMBI 1/2/1998 66
3818    FMBIO 7/6/2020 0.33
3819    FMBIP 6/10/2020 0.3
3820    FMCI 5/2/2017 2.34
3821    FMCIR 5/2/2017 0.05
3822    FMCIU 4/7/2017 0.12
3823    FMCIW 5/2/2017 1.49
3824    FMCN 7/13/2005 32
3825    FMD 10/31/2003 29
3826    FMDG 8/21/2017 0.04
3827    FMER 1/2/1998 60
3828    FMER.A 3/5/2013 0.77
3829    FMFC 1/2/1998 1.51
3830    FMI 9/25/2013 12
3831    FMIL 6/5/2020 1.21
3832    FMIV 6/7/2021 0.2
3833    FMIVU 3/18/2021 0.1
3834    FMIVW 5/26/2021 0.09
3835    FMK 5/12/2011 0.51
3836    FMLP 6/11/2014 0.14
3837    FMM 3/30/2011 0.14
3838    FMO 12/23/2004 20
3839    FMR 10/18/2006 8.24
3840    FMSA 10/3/2014 14
3841    FMTX 6/19/2020 5.71
3842    FMU 3/30/2011 0.35
3843    FNB.E 11/11/2013 1.89
3844    FNBC 5/10/2013 7.46
3845    FNBG 1/4/2018 0.15
3846    FNBN 1/5/1998 2.53
3847    FNCB 5/16/2007 2.35
3848    FNCF 5/12/2016 0.09
3849    FNFG 5/16/2000 55
3850    FNFG.B 12/30/2011 2.1
3851    FNFV 6/23/2014 9.18
3852    FNG 7/12/2017 1.11
3853    FNGN 3/16/2010 24
3854    FNGZ 8/2/2018 0.4
3855    FNHC 11/5/1998 19
3856    FNI 5/11/2007 7.22
3857    FNIO 5/16/2007 0.48
3858    FNJN 5/16/2007 16
3859    FNM 1/27/2003 35
3860    FNP 1/2/1998 57
3861    FNSR 11/12/1999 80
3862    FNTC 1/20/2022 0.05
3863    FNTCU 2/13/2015 0.05
3864    FNTCW 4/14/2015 0.03
3865    FNTE 3/27/2017 0.08
3866    FNTEU 1/20/2017 0.05
3867    FNTEW 3/22/2017 0.02
3868    FNVT 12/9/2021 0.07
3869    FNVTU 11/4/2021 0.07
3870    FNVTW 12/8/2021 0.09
3871    FO 1/2/1998 49
3872    FOANC 2/14/2017 0.01
3873    FOCS 7/26/2018 13
3874    FOE 1/2/1998 70
3875    FOGO 6/19/2015 3.59
3876    FOH 1/29/2008 0.73
3877    FOIL 2/25/2013 0.05
3878    FOL 2/24/2011 0.32
3879    FOMO 5/25/2021 0.12
3880    FOMX 9/18/2014 10
3881    FONE 2/18/2011 0.48
3882    FORE 4/6/2021 0.23
3883    FOREU 2/10/2021 0.27
3884    FOREW 4/7/2021 0.12
3885    FORG 9/16/2021 6.13
3886    FORK 11/4/2015 1.46
3887    FORX 2/12/2013 0.22
3888    FOS 3/30/2011 0.16
3889    FOUN 12/6/2021 0.21
3890    FOUNU 10/15/2021 0.14
3891    FOUNW 12/6/2021 0.15
3892    FOXAV 6/19/2013 0.18
3893    FOXBV 3/13/2019 0.03
3894    FOXW 2/25/2021 0.08
3895    FOXWU 1/20/2021 0.09
3896    FOXWW 2/25/2021 0.19
3897    FPAC 6/27/2018 3.71
3898    FPAC.U 6/12/2018 0.79
3899    FPAYW 9/26/2018 0.06
3900    FPFC 1/4/1999 7.97
3901    FPI.B 8/18/2017 1.31
3902    FPIC 1/2/1998 14
3903    FPL 3/27/2014 13
3904    FPO 10/23/2003 33
3905    FPO.A 1/25/2011 0.55
3906    FPP 9/20/2005 4.65
3907    FPRX 9/18/2013 21
3908    FPT 12/20/2002 3.58
3909    FPTB 6/13/2006 1.1
3910    FPU 1/2/1998 0.99
3911    FRAC 1/20/2017 11
3912    FRAK 2/15/2012 3.08
3913    FRAN 7/22/2011 33
3914    FRB 7/28/2004 5.54
3915    FRBK 2/4/2002 16
3916    FRBN 2/1/2022 0.08
3917    FRBNU 12/10/2021 0.04
3918    FRBNW 2/1/2022 0.05
3919    FRC 12/9/2010 49
3920    FRC.A 1/25/2012 1.83
3921    FRC.B 6/4/2012 1.38
3922    FRC.C 11/27/2012 1.59
3923    FRC.D 4/24/2013 2.24
3924    FRC.E 10/30/2013 1.28
3925    FRC.F 5/28/2015 1.26
3926    FRC.G 2/11/2016 1.68
3927    FRC.H 6/9/2017 2.01
3928    FRC.I 6/6/2018 2.62
3929    FRC.J 12/4/2019 2.8
3930    FRC.K 9/17/2020 1.99
3931    FRC.L 2/11/2021 1.77
3932    FRC.M 7/22/2021 2.17
3933    FRC.N 11/30/2021 1.85
3934    FRCCO 10/7/2003 0.68
3935    FRE 10/9/2003 31
3936    FRED 1/2/1998 57
3937    FREE 12/16/2005 27
3938    FREEW 5/16/2007 1.22
3939    FREQ 10/3/2019 8.26
3940    FRES 1/31/2020 3.67
3941    FRF 12/17/2010 1.68
3942    FRG 11/15/2019 8.22
3943    FRGAP 9/21/2020 0.72
3944    FRGI 4/26/2012 24
3945    FRL 3/30/2011 0.09
3946    FRLA 12/27/2021 0.08
3947    FRLAU 11/3/2021 0.03
3948    FRLAW 12/27/2021 0.05
3949    FRLG 4/3/2018 0.7
3950    FRLN 8/7/2020 2.63
3951    FRM 6/18/2003 16
3952    FRN 6/13/2008 5.5
3953    FRNK 4/28/2011 2.11
3954    FRON 5/3/2021 0.17
3955    FRONU 3/11/2021 0.21
3956    FRONW 5/3/2021 0.09
3957    FRP 1/25/2011 9.68
3958    FRS 1/2/1998 2.6
3959    FRSG 4/29/2021 0.34
3960    FRSGU 3/5/2021 0.17
3961    FRSGW 4/29/2021 0.18
3962    FRTA 10/20/2016 14
3963    FRW 5/6/2021 0.07
3964    FRWAU 3/10/2021 0.1
3965    FRWAW 5/6/2021 0.06
3966    FRX 10/8/1999 64
3967    FRX.U 11/25/2020 0.36
3968    FRXB 5/3/2021 0.29
3969    FRZ 8/10/2005 12
3970    FRZA 8/12/2022 1.91
3971    FSA 2/24/2011 0.06
3972    FSAC 9/8/2017 0.11
3973    FSACU 7/19/2017 0.07
3974    FSACW 9/8/2017 0.03
3975    FSB 3/26/2015 6.18
3976    FSBI 8/9/2006 0.25
3977    FSBK 3/15/2000 3.6
3978    FSC 6/12/2008 34
3979    FSCE 11/1/2012 0.73
3980    FSCFL 4/5/2013 0.57
3981    FSCI 5/18/2001 6.96
3982    FSCT 10/27/2017 9.11
3983    FSD 9/28/2010 20
3984    FSDC 8/12/2020 0.29
3985    FSE 2/24/2011 0.1
3986    FSFR 7/12/2013 6.16
3987    FSG 2/24/2011 1.06
3988    FSGI 8/10/2005 3.83
3989    FSIC 4/16/2014 17
3990    FSII 1/2/1998 21
3991    FSIN 9/8/2006 12
3992    FSKR 6/17/2020 3.32
3993    FSL 5/26/2011 18
3994    FSLF 9/20/2013 4.76
3995    FSMO 2/4/2021 0.59
3996    FSNB 4/19/2021 0.35
3997    FSNN 6/18/2009 3.93
3998    FSR 3/30/2007 33
3999    FSRD 4/6/2021 2.1
4000    FSRDW 4/6/2021 0.43
4001    FSRV 10/16/1998 9.26
4002    FSRVU 11/1/2019 0.06
4003    FSRVW 12/27/2019 0.47
4004    FSRX 4/21/2021 0.16
4005    FSRXU 2/18/2021 0.2
4006    FSRXW 4/22/2021 0.1
4007    FSSI 3/22/2021 0.23
4008    FSSIU 1/27/2021 0.24
4009    FSSIW 3/19/2021 0.18
4010    FST 1/2/1998 58
4011    FST.U 8/21/2020 0.21
4012    FSTO 1/2/1998 55
4013    FSTX 5/6/2016 5.75
4014    FSU 2/24/2011 0.05
4015    FSYS 8/25/2006 26
4016    FTAA 4/28/2021 0.21
4017    FTAAU 2/23/2021 0.13
4018    FTAAW 4/23/2021 0.09
4019    FTAC 11/16/2018 0.59
4020    FTACU 11/16/2018 0.12
4021    FTACW 1/11/2019 0.35
4022    FTAI.A 9/17/2019 0.96
4023    FTAI.B 12/2/2019 0.85
4024    FTAI.C 3/30/2021 0.33
4025    FTAIP 9/17/2019 1.5
4026    FTBK 5/7/2007 9.81
4027    FTCH 9/21/2018 24
4028    FTCV 1/25/2021 3.01
4029    FTCVU 12/4/2020 0.26
4030    FTCVW 1/25/2021 0.62
4031    FTD 10/10/2013 12
4032    FTDRV 9/13/2018 0.01
4033    FTE 1/2/1998 36
4034    FTEO 5/16/2013 0.27
4035    FTEV 4/22/2021 0.17
4036    FTGX 4/27/2000 5.68
4037    FTIV 11/20/2020 0.9
4038    FTIVU 9/25/2020 0.13
4039    FTIVW 11/20/2020 0.22
4040    FTLB 1/7/2014 0.45
4041    FTNW 12/29/2015 1.73
4042    FTO 4/29/1998 39
4043    FTOC 10/16/2020 2.28
4044    FTOCU 8/26/2020 0.48
4045    FTOCW 10/16/2020 0.88
4046    FTPA 5/7/2021 0.06
4047    FTPAU 3/12/2021 0.05
4048    FTPAW 5/7/2021 0.09
4049    FTQ 3/30/2011 0.23
4050    FTR 7/25/2008 51
4051    FTRP 7/29/2021 1.27
4052    FTRPR 6/10/2015 2.45
4053    FTSI 2/2/2018 9.65
4054    FTSV 6/28/2018 3.71
4055    FTT 1/27/2010 3.19
4056    FTV.A 7/5/2018 0.14
4057    FTV.WD 9/26/2018 0.01
4058    FTVA 11/1/2017 0.27
4059    FTVI 8/19/2021 0.06
4060    FTVIU 6/24/2021 0.05
4061    FTVIW 8/19/2021 0.05
4062    FTW 7/10/2013 0.18
4063    FTWR 8/30/2006 13
4064    FTXD 10/11/2016 0.24
4065    FTY 5/4/2007 1.82
4066    FU 4/8/2014 0.01
4067    FUBC 9/18/2009 4.48
4068    FUD 4/4/2008 0.85
4069    FUE 2/15/2008 0.45
4070    FUEL 9/20/2013 12
4071    FUI 3/30/2011 0.08
4072    FULL 9/2/2010 4.57
4073    FULLL 6/28/2013 0.18
4074    FUQI 10/23/2007 11
4075    FUR 1/2/1998 23
4076    FURX 6/1/2010 5.51
4077    FUSE 8/14/2020 2.71
4078    FUSE.U 6/26/2020 0.29
4079    FUSN 5/16/2007 3.9
4080    FUT 2/18/2016 0.21
4081    FUTS 10/6/2014 0.34
4082    FUV 9/21/2017 13
4083    FVAC 6/22/2020 1.54
4084    FVAC.U 4/30/2020 0.15
4085    FVAM 10/14/2020 0.19
4086    FVE 1/2/2002 28
4087    FVEVV 12/27/2019 0.01
4088    FVI 4/28/2004 1.15
4089    FVIV 5/7/2021 0.28
4090    FVL 7/15/2003 5.33
4091    FVT 2/25/2021 0.27
4092    FWAA 2/5/2021 0.78
4093    FWAC 5/25/2021 0.36
4094    FWBI 10/11/2016 12
4095    FWDB 6/21/2011 0.42
4096    FWDD 7/1/2011 0.24
4097    FWDI 7/8/2011 0.39
4098    FWF 6/5/2007 5.47
4099    FWLT 6/3/2005 40
4100    FWM 4/17/2013 7.26
4101    FWP 10/15/2014 4.3
4102    FWV 9/21/2005 0.26
4103    FXCB 10/2/2006 4.04
4104    FXCH 10/4/2011 0.17
4105    FXCM 12/2/2010 17
4106    FXCO 1/10/2022 0.03
4107    FXCOR 1/12/2022 0.18
4108    FXCOW 1/10/2022 0.05
4109    FXEN 1/2/1998 28
4110    FXENP 7/17/2014 0.16
4111    FXEP 10/9/2015 0.01
4112    FXEU 5/11/2015 0.65
4113    FXJP 1/12/2016 0.03
4114    FXM 6/26/2006 0.83
4115    FXRE 1/10/2008 0.98
4116    FXRU 9/12/2011 0.01
4117    FXS 9/8/2006 1.35
4118    FXSG 2/13/2013 0.12
4119    FZT 5/6/2021 0.24
4120    GA 11/1/2007 24
4121    GAB.D 5/16/2007 0.65
4122    GAB.J 4/1/2016 0.64
4123    GACQ 8/2/2021 0.1
4124    GACQU 6/9/2021 0.06
4125    GACQW 7/30/2021 0.11
4126    GAF 3/23/2007 2.39
4127    GAGA 10/29/2010 1.25
4128    GAI 4/8/1998 1.81
4129    GAINM 9/27/2016 0.36
4130    GAINO 11/11/2014 0.28
4131    GAINP 3/6/2012 0.37
4132    GALE 3/12/2008 24
4133    GALTU 4/13/2015 0.03
4134    GALTW 3/28/2012 0.29
4135    GAMC 5/7/2021 0.15
4136    GAMCU 3/17/2021 0.15
4137    GAMCW 6/4/2021 0.15
4138    GAPA 5/3/2021 0.12
4139    GAQ 3/14/2022 0.09
4140    GAR 8/1/2007 1.83
4141    GARD 1/14/2016 0.12
4142    GARS 3/27/2013 5.75
4143    GAS 2/9/2009 28
4144    GASL 7/14/2010 24
4145    GASX 12/3/2015 3.22
4146    GASZ 6/16/2011 0.18
4147    GAT 12/9/2008 1.19
4148    GATO 10/28/2020 12
4149    GAZ 10/25/2007 9.12
4150    GAZB 4/4/2017 0.01
4151    GBB 1/2/2008 0.22
4152    GBBKU 5/10/2022 0.01
4153    GBDCR 4/9/2020 0.18
4154    GBDV 12/27/2019 0.17
4155    GBE 6/30/2006 10
4156    GBG 12/17/2008 13
4157    GBGR 7/24/2020 0.08
4158    GBL 2/11/1999 19
4159    GBLIL 4/10/2017 0.84
4160    GBLIZ 8/28/2015 0.65
4161    GBLL 1/4/2022 0.04
4162    GBLO 7/24/2020 0.11
4163    GBNH 3/16/2021 1.11
4164    GBNK 5/12/2008 11
4165    GBOX 2/17/2021 4.54
4166    GBRG 4/16/2021 0.11
4167    GBRGR 4/16/2021 0.12
4168    GBRGU 3/2/2021 0.05
4169    GBRGW 4/16/2021 0.11
4170    GBS 12/23/2020 3.14
4171    GBSN 10/9/2014 7.25
4172    GBSNU 3/3/2015 0.09
4173    GBT 8/12/2015 26
4174    GCA 9/23/2005 28
4175    GCAC 3/25/2021 0.17
4176    GCACU 1/29/2021 0.17
4177    GCACW 3/23/2021 0.12
4178    GCAP 12/15/2010 20
4179    GCE 12/10/2007 0.51
4180    GCF 5/2/2006 2.69
4181    GCH 1/2/1998 13
4182    GCLN 2/10/2022 0.06
4183    GCOM 1/2/1998 14
4184    GCP 1/26/2016 19
4185    GCV.B 5/17/2007 0.29
4186    GCVRZ 3/31/2011 6.29
4187    GDAT 3/7/2019 0.2
4188    GDAY 7/19/2012 0.04
4189    GDEF 10/24/2013 0.15
4190    GDF 1/2/1998 9.14
4191    GDG 11/15/2018 0.08
4192    GDI 1/2/1998 47
4193    GDJJ 2/13/2015 0.43
4194    GDJS 2/13/2015 0.24
4195    GDL.B 4/18/2011 0.3
4196    GDNA 3/7/2019 0.2
4197    GDNR 1/13/2022 0.05
4198    GDNRU 12/22/2021 0.03
4199    GDNRW 1/13/2022 0.06
4200    GDP 1/2/1998 46
4201    GDP.C 4/12/2013 1.19
4202    GDP.D 8/21/2013 1.16
4203    GDSTU 3/17/2022 0.03
4204    GDV.A 5/16/2007 0.97
4205    GDV.D 5/16/2007 0.81
4206    GDV.G 7/5/2016 0.82
4207    GDVD 3/31/2022 0.11
4208    GDXS 2/13/2015 1.29
4209    GDXX 2/13/2015 1.25
4210    GDYNW 10/31/2018 0.25
4211    GEA 10/17/2008 4.17
4212    GEAR 11/27/2024 0.35
4213    GEB 10/12/2012 5.29
4214    GEC 12/12/2002 16
4215    GECCL 9/25/2017 0.31
4216    GECCM 1/26/2018 0.45
4217    GECCN 6/21/2019 0.31
4218    GECXU 4/26/2007 21
4219    GED 10/9/2003 6.48
4220    GEEX 1/25/2022 0.04
4221    GEEXU 12/2/2021 0.05
4222    GEEXW 1/25/2022 0.05
4223    GEH 2/1/2013 4.2
4224    GEHI 5/24/2022 0.18
4225    GEHL 1/2/1998 8.48
4226    GEJ 5/23/2007 5.67
4227    GEK 5/21/2013 4.82
4228    GEMP 8/5/2016 2.87
4229    GENE 1/3/2006 14
4230    GENQ 4/7/2022 0.07
4231    GENQU 2/15/2022 0.02
4232    GENQW 4/7/2022 0.03
4233    GENY 8/22/2016 0.45
4234    GENZ 1/2/1998 56
4235    GEOI 1/2/1998 14
4236    GEOY 9/14/2006 16
4237    GEP 2/24/2005 1.48
4238    GEQ 10/27/2011 3.63
4239    GER 9/26/2014 15
4240    GERJ 4/5/2011 0.17
4241    GERM 6/18/2020 1.39
4242    GET 10/18/2021 0.76
4243    GETI 11/23/2004 4.55
4244    GEUR 2/12/2014 0.51
4245    GEVA 11/4/2011 7.95
4246    GEX 5/9/2007 6.16
4247    GFA 3/16/2007 35
4248    GFED 11/13/2006 0.76
4249    GFG 12/31/2007 4.76
4250    GFGD 2/4/2022 0.15
4251    GFGDR 1/31/2022 0.12
4252    GFGDU 12/10/2021 0.08
4253    GFGDW 1/31/2022 0.09
4254    GFIG 2/1/2005 31
4255    GFIN 3/7/2019 0.17
4256    GFLU 3/3/2020 0.76
4257    GFN 7/6/2006 4.24
4258    GFNCL 8/10/2012 0.01
4259    GFNCP 5/20/2013 0.26
4260    GFNSL 6/13/2014 0.48
4261    GFNSZ 11/3/2020 0.15
4262    GFOF 2/2/2022 0.34
4263    GFOR 7/13/2021 0.18
4264    GFW 11/7/2003 1.41
4265    GFX 2/8/2021 0.57
4266    GFX.U 12/18/2020 0.34
4267    GFY 10/27/2004 4.5
4268    GFZ 1/30/2004 1.07
4269    GG 3/12/1999 82
4270    GGAA 2/3/2022 0.16
4271    GGAAU 12/9/2021 0.04
4272    GGAAW 2/1/2022 0.09
4273    GGAC 7/23/2014 0.04
4274    GGACR 7/23/2014 0.07
4275    GGACU 6/27/2014 0.03
4276    GGACW 7/23/2014 0.08
4277    GGBP 2/12/2014 0.03
4278    GGC 1/2/1998 42
4279    GGE 5/4/2007 12
4280    GGEM 6/23/2011 0.04
4281    GGGG 3/15/2011 0.39
4282    GGGV 8/17/2021 0.03
4283    GGGVR 8/17/2021 0.03
4284    GGGVU 7/1/2021 0.02
4285    GGMC 5/27/2021 0.06
4286    GGMCU 3/19/2021 0.08
4287    GGMCW 5/18/2021 0.08
4288    GGO 11/2/2016 0.14
4289    GGO.A 11/2/2016 0.04
4290    GGO.C 9/9/2016 0.01
4291    GGOV 8/21/2013 0.31
4292    GGP 3/5/2010 38
4293    GGP.A 2/19/2013 1.42
4294    GGPI 5/18/2021 5.21
4295    GGPIU 3/23/2021 0.44
4296    GGPIW 5/17/2021 1.34
4297    GGS 4/22/2010 6.62
4298    GGT.B 5/16/2007 0.25
4299    GGZ.A 5/12/2016 0.28
4300    GHAC 3/29/2021 0.11
4301    GHACU 2/3/2021 0.17
4302    GHACW 3/26/2021 0.07
4303    GHDX 9/29/2005 33
4304    GHE 4/5/2016 0.01
4305    GHEE 11/20/2023 0.01
4306    GHII 2/11/2015 0.6
4307    GHIV 3/24/2020 1.49
4308    GHIVU 1/24/2020 0.23
4309    GHIVW 4/8/2020 0.43
4310    GHIX 3/22/2022 0.2
4311    GHIXU 1/12/2022 0.11
4312    GHIXW 3/11/2022 0.12
4313    GHL 5/6/2004 53
4314    GHS 4/5/2016 0.05
4315    GHSI 4/5/2019 15
4316    GHVI 2/2/2021 2.03
4317    GHVIU 12/11/2020 0.38
4318    GHVIW 2/2/2021 0.4
4319    GI 6/5/2015 2.06
4320    GIA 12/14/2007 0.35
4321    GIAC 11/17/2021 0.05
4322    GIACU 10/12/2021 0.03
4323    GIACW 11/11/2021 0.04
4324    GIG.U 12/8/2017 0.05
4325    GIGE 5/8/2019 0.55
4326    GIIX 4/26/2021 0.4
4327    GIIXU 2/25/2021 0.18
4328    GIIXW 4/23/2021 0.17
4329    GIK 7/2/2020 2.39
4330    GIK.U 5/14/2020 0.13
4331    GIM 1/2/1998 50
4332    GIMO 6/12/2013 15
4333    GIVE 5/24/2012 0.09
4334    GIVN 10/26/2001 20
4335    GIW 12/30/2005 0.69
4336    GIWWU 5/19/2021 0.07
4337    GIWWW 7/12/2021 0.11
4338    GIX 7/1/2019 1.83
4339    GIX.U 6/6/2019 0.07
4340    GIY 2/12/2008 0.16
4341    GJD 12/16/2005 0.64
4342    GJI 12/22/2004 0.13
4343    GJJ 11/4/2004 0.22
4344    GJK 11/21/2005 0.12
4345    GJM 8/28/2002 5.39
4346    GJN 11/21/2005 0.32
4347    GJV 8/1/2007 0.68
4348    GKK 8/2/2004 20
4349    GKM 3/5/2003 8.15
4350    GKNT 11/10/2006 3.08
4351    GKSR 1/23/2006 13
4352    GL.C 4/6/2016 2.42
4353    GLA 6/20/2006 0.41
4354    GLACW 8/8/2018 0.02
4355    GLADD 11/8/2018 0.2
4356    GLADL 10/15/2019 0.09
4357    GLADN 9/28/2017 0.14
4358    GLADO 5/16/2014 0.26
4359    GLAQ 2/5/2021 0.25
4360    GLAQU 12/11/2020 0.1
4361    GLAQW 2/5/2021 0.28
4362    GLBC 1/22/2004 19
4363    GLBLU 2/24/2021 0.22
4364    GLBLW 4/28/2021 0.15
4365    GLBY 12/13/2018 0.06
4366    GLCB 1/31/2013 0.02
4367    GLCH 11/27/2009 7.07
4368    GLCN 10/14/2010 3.25
4369    GLDB 5/18/2021 0.12
4370    GLDC 6/20/2002 1.15
4371    GLDE 2/12/2014 0.05
4372    GLDL 4/10/2014 0.03
4373    GLDS 4/10/2014 0.01
4374    GLDW 1/30/2017 0.14
4375    GLDX 11/4/2010 3.42
4376    GLEE 9/28/2021 0.03
4377    GLEEU 8/5/2021 0.03
4378    GLEEW 9/28/2021 0.06
4379    GLEO 11/14/2019 0.59
4380    GLEO.U 10/18/2019 0.05
4381    GLF 7/20/2007 29
4382    GLG 4/22/2015 9.79
4383    GLGL 11/20/2009 0.62
4384    GLHA 5/18/2021 0.09
4385    GLHAU 3/23/2021 0.09
4386    GLHAW 5/19/2021 0.09
4387    GLIBA 3/12/2018 9.09
4388    GLIBP 3/12/2018 0.56
4389    GLIF 5/23/2019 0.14
4390    GLJ 12/9/2009 0.28
4391    GLOG 3/30/2012 30
4392    GLOG.A 4/8/2015 1.95
4393    GLOP 5/7/2014 20
4394    GLP.A 8/13/2018 1.05
4395    GLPW 2/19/2008 7.11
4396    GLS 5/11/2007 9.55
4397    GLSPT 5/10/2021 0.11
4398    GLSPU 4/9/2021 0.05
4399    GLSPW 5/10/2021 0.13
4400    GLT 11/12/1998 65
4401    GLTA 8/30/2021 0.12
4402    GLUU 3/22/2007 45
4403    GMA 4/10/2001 6.69
4404    GMAN 3/7/2019 0.15
4405    GMBT 3/15/2021 0.35
4406    GMBTU 1/20/2021 0.47
4407    GMBTW 3/15/2021 0.25
4408    GMCR 1/2/1998 43
4409    GMDA 10/26/2018 11
4410    GMETP 3/24/2011 0.05
4411    GMFI 3/3/2022 0.05
4412    GMFIU 12/30/2021 0.02
4413    GMFIW 2/22/2022 0.06
4414    GMFL 9/19/2018 0.01
4415    GMFS 1/12/2012 0.06
4416    GMHI 2/1/2019 1.67
4417    GMHIU 2/1/2019 0.16
4418    GMHIW 3/25/2019 0.48
4419    GMII 3/15/2021 0.47
4420    GMIIU 1/20/2021 0.56
4421    GMIIW 3/15/2021 0.21
4422    GMK 11/6/1998 5.48
4423    GML 3/23/2007 3.67
4424    GMLP 4/8/2011 23
4425    GMLPP 10/31/2017 1.52
4426    GMMB 4/12/2011 0.07
4427    GMO 8/16/2006 27
4428    GMR 6/14/2001 32
4429    GMT 1/2/1998 54
4430    GMTA 5/18/2016 1.62
4431    GMTB 3/4/2011 0.09
4432    GMTN 4/21/2004 6.71
4433    GMTX 8/12/2020 3.08
4434    GMVD 6/25/2021 3.78
4435    GMVDW 6/25/2021 0.21
4436    GMXR 3/16/2001 28
4437    GMZ 11/26/2013 11
4438    GNAC 3/9/2021 0.14
4439    GNACU 1/15/2021 0.2
4440    GNACW 3/9/2021 0.12
4441    GNAF 8/2/2018 0.3
4442    GNAT 5/16/2007 1.73
4443    GNBC 8/8/2014 6.38
4444    GNC 4/1/2011 37
4445    GNCA 2/5/2014 16
4446    GNCMA 1/2/1998 35
4447    GNE.A 10/24/2012 0.98
4448    GNET 3/30/2006 3.17
4449    GNI 1/2/1998 4.34
4450    GNMK 5/28/2010 23
4451    GNMX 4/8/2011 11
4452    GNOG 6/6/2019 8.84
4453    GNOGW 6/6/2019 1.4
4454    GNPK 1/14/2021 1.04
4455    GNPK.U 11/24/2020 0.14
4456    GNRS 5/21/2020 1.29
4457    GNRSU 2/11/2020 0.12
4458    GNRSW 5/13/2020 1.02
4459    GNRT 6/25/2015 7.36
4460    GNRX 1/13/2016 0.08
4461    GNUS 2/3/2012 18
4462    GNVC 12/12/2000 18
4463    GOAC 9/25/2020 0.95
4464    GOAC.U 8/5/2020 0.23
4465    GOAT 10/31/2018 0.23
4466    GOBI 6/29/2021 0.04
4467    GODN 6/28/2023 0.06
4468    GODNR 6/28/2023 0.04
4469    GODNU 5/2/2023 0.03
4470    GOED 7/31/2020 5.68
4471    GOEV 4/16/2019 29
4472    GOEVW 4/16/2019 4.35
4473    GOGN 12/13/2021 0.1
4474    GOK 5/11/2007 7.1
4475    GOL 6/24/2004 71
4476    GOM 5/9/2005 7.73
4477    GOMO 11/22/2013 3.28
4478    GOODM 6/6/2016 0.64
4479    GOODP 9/7/2006 0.49
4480    GOV 6/13/2018 2.3
4481    GOVN 5/31/2016 0.13
4482    GOVNI 5/31/2016 1.23
4483    GPAC 10/29/2015 0.38
4484    GPACU 7/30/2015 0.36
4485    GPACW 8/25/2015 0.35
4486    GPAL 12/15/2021 0.01
4487    GPAQ 3/12/2018 0.32
4488    GPAQU 1/25/2018 0.04
4489    GPAQW 3/12/2018 0.35
4490    GPCO 8/6/2021 0.31
4491    GPCOR 8/5/2021 0.08
4492    GPCOU 6/22/2021 0.02
4493    GPCOW 8/5/2021 0.07
4494    GPE.A 5/17/2007 0.64
4495    GPIA 8/28/2015 0.03
4496    GPIAU 5/20/2015 0.04
4497    GPIAW 7/27/2015 0.06
4498    GPIC 9/2/2004 3.74
4499    GPL 10/27/2008 33
4500    GPM 11/27/2009 15
4501    GPOW 7/14/2023 0.02
4502    GPP 6/26/2015 6.75
4503    GPR 2/15/2007 1.24
4504    GPS 1/2/1998 134
4505    GPT 5/21/2013 19
4506    GPT.A 5/16/2007 1.32
4507    GPT.B 8/19/2014 0.14
4508    GPX 3/27/1998 16
4509    GR 1/2/1998 53
4510    GRA 1/2/1998 72
4511    GRALV 6/12/2024 0.09
4512    GRAY 9/25/2020 3.33
4513    GRB 1/2/1998 15
4514    GRBIC 2/21/2018 0.01
4515    GRCL 1/8/2021 4.16
4516    GRCY 9/8/2020 0.13
4517    GRCYU 7/24/2020 0.03
4518    GRCYW 8/28/2020 0.12
4519    GRDI 1/29/2024 1.08
4520    GRDIW 1/29/2024 0.04
4521    GREI 11/11/2021 0.2
4522    GRES 10/27/2009 2.86
4523    GRH 1/2/2008 4.79
4524    GRH.C 7/31/2012 0.64
4525    GRIF 1/20/2006 1.91
4526    GRIL 5/16/2007 6.08
4527    GRIN 6/18/2018 5.78
4528    GRM 2/11/2010 3.41
4529    GRMH 4/15/2008 0.35
4530    GRMY 10/27/2017 0.02
4531    GRNA 3/8/2021 3.56
4532    GRNAW 3/8/2021 0.39
4533    GRNR 4/18/2022 0.04
4534    GRNV 12/9/2019 0.38
4535    GRNVR 12/9/2019 0.16
4536    GRNVU 11/19/2019 0.04
4537    GRNVW 12/9/2019 0.36
4538    GROMW 6/17/2021 0.21
4539    GRPC 5/19/2011 0.02
4540    GRPH 12/15/2009 5.49
4541    GRR 1/2/1998 4.19
4542    GRRF 3/30/2006 6.22
4543    GRSH 11/30/2015 0.84
4544    GRSHU 8/14/2015 0.1
4545    GRSHW 11/25/2015 0.22
4546    GRSV 9/29/2020 1.61
4547    GRSVU 8/6/2020 0.33
4548    GRSVW 10/1/2020 0.36
4549    GRT 1/2/1998 43
4550    GRTS 9/28/2018 18
4551    GRU 2/15/2008 2.35
4552    GRUB 4/4/2014 34
4553    GRVI 6/24/2021 1.46
4554    GRWN 4/21/2011 0.03
4555    GRX.A 8/20/2010 0.46
4556    GRX.B 9/26/2014 0.26
4557    GRZ 10/3/2003 9.92
4558    GRZZ 12/17/2021 0.03
4559    GS.B 5/16/2007 8.78
4560    GS.I 11/1/2012 5.38
4561    GS.J 4/29/2013 11
4562    GS.K 5/1/2014 9.17
4563    GS.N 2/16/2016 4.29
4564    GSAH 7/30/2018 4.59
4565    GSAH.U 6/8/2018 0.72
4566    GSAQ 3/1/2021 0.11
4567    GSAQU 1/8/2021 0.17
4568    GSAQW 3/1/2021 0.14
4569    GSAX 12/20/2012 0.03
4570    GSB 7/19/2007 7.9
4571    GSD 11/13/2015 0.25
4572    GSDWU 8/5/2021 0.03
4573    GSDWW 9/28/2021 0.1
4574    GSE 2/13/2012 1.92
4575    GSEV 4/15/2021 0.45
4576    GSEVU 2/23/2021 0.32
4577    GSEVW 4/15/2021 0.13
4578    GSF 3/29/2011 6
4579    GSGO 12/20/2012 0.05
4580    GSH 1/2/1998 13
4581    GSHT 3/24/2017 0.28
4582    GSHTU 1/13/2017 0.06
4583    GSHTW 3/6/2017 0.06
4584    GSI 10/3/2007 12
4585    GSIC 5/24/2002 26
4586    GSJ 5/10/2012 6.2
4587    GSJK 6/15/2011 1.69
4588    GSKY 5/24/2018 13
4589    GSLD 11/22/2019 0.67
4590    GSMA 12/20/2012 0.06
4591    GSMG 9/12/2018 3.55
4592    GSP 6/7/2006 4.63
4593    GSQB 8/5/2021 0.07
4594    GSQD 3/26/2021 0.32
4595    GSRA 12/20/2012 0.05
4596    GSRM 4/19/2022 0.17
4597    GSRMR 4/18/2022 0.05
4598    GSRMU 2/25/2022 0.06
4599    GSRMW 4/18/2022 0.23
4600    GSS 6/19/2002 62
4601    GST 1/5/2006 31
4602    GST.A 6/23/2011 2.09
4603    GST.B 11/8/2013 1.24
4604    GSUM 9/23/2016 5.28
4605    GSV 6/8/2012 17
4606    GSVC 4/28/2011 14
4607    GSX 6/6/2019 8.95
4608    GTAA 10/26/2010 1.14
4609    GTAC 12/27/2021 0.05
4610    GTACU 10/21/2021 0.07
4611    GTACW 12/17/2021 0.07
4612    GTAT 7/25/2008 26
4613    GTH 6/19/2020 5.24
4614    GTHX 5/17/2017 22
4615    GTIV 3/16/2000 34
4616    GTPA 5/6/2021 0.11
4617    GTPAU 3/12/2021 0.1
4618    GTPAW 5/6/2021 0.06
4619    GTPB 5/5/2021 0.18
4620    GTPBU 3/12/2021 0.16
4621    GTPBW 5/6/2021 0.07
4622    GTS 12/7/2007 25
4623    GTSI 1/2/1998 3.71
4624    GTT 6/17/2013 19
4625    GTU 9/22/2006 8.83
4626    GTWN 2/28/2011 0.15
4627    GTXAP 5/28/2021 0.83
4628    GTXI 2/3/2004 25
4629    GTYH 11/18/2016 4.08
4630    GTYHU 10/27/2016 0.07
4631    GTYHW 1/3/2017 0.19
4632    GU 12/19/2007 9.05
4633    GUA 5/23/2011 0.98
4634    GUDB 10/31/2017 0.08
4635    GUID 12/13/2006 11
4636    GUL 10/9/2003 0.89
4637    GULF 7/16/2008 2.31
4638    GUR 3/23/2007 5.44
4639    GURI 3/11/2014 0.05
4640    GURX 3/11/2014 0.04
4641    GUT.A 5/16/2007 0.56
4642    GVCI 1/3/2022 0.04
4643    GVCIU 11/9/2021 0.04
4644    GVCIW 12/31/2021 0.05
4645    GVHR 8/20/2001 17
4646    GVP 1/27/1999 8.93
4647    GVT 5/4/2009 0.12
4648    GW 1/2/1998 27
4649    GWAC 12/7/2020 0.98
4650    GWACU 10/20/2020 0.03
4651    GWACW 12/7/2020 0.32
4652    GWAY 2/2/2012 3.16
4653    GWB 10/15/2014 21
4654    GWF 10/9/2003 2.7
4655    GWGH 9/25/2014 1.18
4656    GWII 8/24/2021 0.11
4657    GWIIW 8/23/2021 0.16
4658    GWL 4/26/2007 4.97
4659    GWO 4/4/2008 0.1
4660    GWPH 5/1/2013 27
4661    GWR 9/27/2002 53
4662    GWRU 9/24/2012 0.18
4663    GXDX 10/30/2007 9.13
4664    GXF 8/19/2009 1.92
4665    GXGX 8/8/2019 1.51
4666    GXGXU 5/21/2019 0.09
4667    GXGXW 7/19/2019 0.52
4668    GXII 5/10/2021 0.14
4669    GXIIU 3/18/2021 0.11
4670    GXIIW 5/13/2021 0.15
4671    GXP 10/1/2001 65
4672    GXP.A 5/31/2007 0.1
4673    GXP.B 10/18/2016 0.31
4674    GXP.D 5/16/2007 0.13
4675    GXP.E 5/24/2007 0.12
4676    GY 1/2/1998 40
4677    GYA 5/8/2006 0.63
4678    GYB 6/4/2004 2.49
4679    GYC 4/26/2006 0.75
4680    GYEN 2/12/2014 0.69
4681    GYI 11/5/2002 18
4682    GYMB 1/2/1998 37
4683    GZT 12/14/2011 1.4
4684    HA 1/2/1998 71
4685    HAAC 1/14/2021 2.19
4686    HAACU 11/13/2020 1.06
4687    HAACW 1/14/2021 0.81
4688    HABT 11/20/2014 15
4689    HACV 1/8/2016 0.04
4690    HACW 10/12/2015 0.03
4691    HAHA 10/31/2016 0.01
4692    HAIA 2/1/2022 0.07
4693    HAIAU 12/10/2021 0.06
4694    HAIAW 1/31/2022 0.08
4695    HAIR 10/12/2017 2.65
4696    HAKD 4/1/2016 0.03
4697    HAKK 9/17/2015 0.06
4698    HANS 1/5/1998 33
4699    HAPP 10/25/2019 4.35
4700    HAR 1/2/1998 63
4701    HARP 2/8/2019 8.57
4702    HAST 6/12/1998 4.78
4703    HAUD 7/13/2015 0.11
4704    HAV 12/29/2008 2.56
4705    HAVNP 10/24/2006 0.16
4706    HAWK 4/19/2013 16
4707    HAYN 3/21/2007 28
4708    HAYZ 1/2/1998 12
4709    HBANN 8/19/2016 0.41
4710    HBANO 3/28/2016 3.48
4711    HBC 2/22/2010 17
4712    HBHC 1/2/1998 44
4713    HBHCL 4/1/2015 0.91
4714    HBK 10/10/2012 0.31
4715    HBMD 11/7/2011 2.61
4716    HBNK 1/17/2007 0.65
4717    HBOS 6/30/2005 2.24
4718    HBP 9/24/2010 6.33
4719    HBU 6/23/2015 0.05
4720    HBZ 6/29/2015 0.05
4721    HCAC 3/20/2014 2.45
4722    HCAC.U 6/23/2017 0.06
4723    HCACU 7/23/2015 0.21
4724    HCACW 3/14/2014 1.48
4725    HCAP 5/3/2013 2.54
4726    HCAPL 1/23/2015 0.1
4727    HCAPZ 8/31/2017 0.24
4728    HCAQ 1/27/2021 0.48
4729    HCAR 1/5/2021 0.47
4730    HCARU 12/23/2020 0.2
4731    HCARW 1/5/2021 0.33
4732    HCBK 7/13/1999 57
4733    HCCC 2/21/2017 0.38
4734    HCCCU 1/15/2021 0.22
4735    HCCCW 3/8/2021 0.21
4736    HCCH 7/18/2018 0.83
4737    HCCHR 7/18/2018 0.23
4738    HCCHU 6/28/2018 0.02
4739    HCCHW 7/18/2018 0.5
4740    HCCI 3/12/2008 13
4741    HCCO 1/28/2020 0.32
4742    HCCOU 12/13/2019 0.07
4743    HCCOW 1/28/2020 0.17
4744    HCDI 8/28/2020 4.27
4745    HCDIP 6/10/2021 0.8
4746    HCDIW 6/10/2021 0.15
4747    HCDIZ 10/5/2021 0.31
4748    HCF 6/29/2006 11
4749    HCFT 3/22/2013 8.57
4750    HCFT.A 1/6/2014 0.61
4751    HCHC 6/23/2011 15
4752    HCIC 3/8/2021 1.02
4753    HCICU 1/15/2021 0.64
4754    HCICW 3/8/2021 0.45
4755    HCII 9/15/2008 2.08
4756    HCIIP 3/28/2011 0.11
4757    HCIIU 7/31/2008 0.2
4758    HCIIW 5/30/2012 0.14
4759    HCJ 1/31/2013 0.18
4760    HCLP 8/16/2012 22
4761    HCMA 3/16/2022 0.06
4762    HCMAU 1/21/2022 0.03
4763    HCMAW 3/14/2022 0.05
4764    HCN 1/2/1998 67
4765    HCN.I 3/9/2011 1.51
4766    HCN.J 3/9/2012 1.87
4767    HCNE 8/5/2021 0.13
4768    HCNEU 6/11/2021 0.06
4769    HCNEW 8/5/2021 0.09
4770    HCOR 3/14/2008 0.01
4771    HCR 1/2/1998 32
4772    HCRF 6/21/2016 0.09
4773    HCS 5/15/2008 7.06
4774    HCT 4/7/2014 3.27
4775    HCVIU 9/29/2021 0.08
4776    HCXZ 5/3/2018 0.44
4777    HDAW 8/14/2015 0.5
4778    HDEE 8/18/2015 0.02
4779    HDEZ 8/18/2015 0.03
4780    HDGI 7/19/2013 0.17
4781    HDIV 2/27/2020 0.2
4782    HDIX 9/21/2006 2.69
4783    HDLS 6/4/2015 0.02
4784    HDLV 10/1/2014 0.94
4785    HDNG 1/6/1998 12
4786    HDP 1/4/2018 3.94
4787    HDRA 12/11/2014 0.03
4788    HDRAR 12/11/2014 0.05
4789    HDRAU 10/24/2014 0.05
4790    HDRAW 12/11/2014 0.03
4791    HDRW 12/21/2015 0.04
4792    HDS 6/27/2013 32
4793    HDWM 7/9/2015 0.03
4794    HDWX 9/15/2015 0.04
4795    HDY 5/5/2005 16
4796    HE.U 5/16/2007 0.22
4797    HEAR 11/15/2010 26
4798    HEB 1/2/1998 30
4799    HEBT 12/27/2016 1.66
4800    HEC 7/30/2020 1.84
4801    HECCU 6/9/2020 0.31
4802    HECCW 7/30/2020 0.76
4803    HEET 8/11/2021 0.02
4804    HEFV 11/17/2015 0.08
4805    HEGE 6/10/2015 0.03
4806    HEGJ 6/10/2015 0.03
4807    HEK 11/20/2007 16
4808    HELI 1/17/2014 3.97
4809    HEMV 11/18/2015 0.06
4810    HEOP 4/12/2005 3.49
4811    HEP 7/8/2004 30
4812    HERA 4/26/2021 0.44
4813    HERAU 3/4/2021 0.3
4814    HERAW 4/28/2021 0.3
4815    HES.A 2/17/2016 1.12
4816    HET 1/2/1998 33
4817    HEUS 11/13/2015 0.04
4818    HEUV 11/9/2015 0.05
4819    HEV 5/8/2008 11
4820    HEVY 4/21/2011 0.02
4821    HEW 7/24/2002 26
4822    HEWC 9/8/2015 0.5
4823    HEWG 2/18/2014 13
4824    HEWI 7/10/2015 0.39
4825    HEWL 7/23/2015 0.15
4826    HEWP 7/13/2015 0.64
4827    HEWU 7/20/2015 0.89
4828    HEWW 8/29/2016 0.17
4829    HEWY 9/28/2015 0.21
4830    HEXO 1/23/2019 23
4831    HFB 2/15/2008 0.05
4832    HFBC 12/29/2005 1.22
4833    HFC 4/26/2004 77
4834    HFEN 11/24/2020 0.16
4835    HFEZ 6/10/2015 0.09
4836    HFFC 5/23/2006 1.02
4837    HFGIC 12/7/2017 0.01
4838    HFIN 11/18/2013 0.14
4839    HFXE 7/22/2015 0.44
4840    HFXJ 7/22/2015 0.3
4841    HGEM 6/24/2011 0.07
4842    HGEN 1/13/2016 14
4843    HGEU 10/28/2015 0.04
4844    HGG 7/20/2007 25
4845    HGH 4/25/2012 7.83
4846    HGI 7/11/2007 1.72
4847    HGIC 1/2/1998 16
4848    HGJP 6/25/2015 0.08
4849    HGR 12/15/1998 33
4850    HGRD 1/5/2000 6.29
4851    HGSD 3/14/2016 0.11
4852    HGSH 2/11/2010 5.1
4853    HGSI 1/2/1998 57
4854    HGT 4/9/1999 33
4855    HH 1/2/1998 18
4856    HHC 11/5/2010 31
4857    HHDG 6/2/2015 0.03
4858    HHFR 6/2/2015 0.05
4859    HHGC 11/11/2021 0.25
4860    HHGCR 11/11/2021 0.05
4861    HHGCU 9/21/2021 0.03
4862    HHGCW 11/11/2021 0.08
4863    HHGP 4/1/2003 17
4864    HHHH 2/6/2019 0.05
4865    HHHHR 3/7/2019 0.03
4866    HHHHU 2/6/2019 0.02
4867    HHHHW 3/7/2019 0.02
4868    HHLA 3/29/2021 0.64
4869    HHR 5/9/2019 4.3
4870    HHRS 2/27/2023 0.43
4871    HHRSW 2/27/2023 0.2
4872    HHT 6/16/2008 5.46
4873    HHY 9/8/2009 4.58
4874    HHYX 4/18/2018 0.01
4875    HIBB 1/2/1998 71
4876    HIE 11/26/2014 7.67
4877    HIF 1/2/1998 2.54
4878    HIFR 1/30/2015 11
4879    HIGA 12/11/2020 0.68
4880    HIGA.U 10/21/2020 0.22
4881    HIH 12/29/2008 1.87
4882    HIII 4/20/2021 0.26
4883    HIIIU 2/24/2021 0.32
4884    HIIIW 4/20/2021 0.09
4885    HIIQ 2/8/2013 14
4886    HIL 2/22/2008 21
4887    HILL 7/28/2003 23
4888    HILO 8/4/2011 1.59
4889    HILS 1/12/2022 2.02
4890    HIPR 6/11/2020 0.09
4891    HIS 1/2/1998 13
4892    HITK 1/2/1998 24
4893    HITT 7/22/2005 24
4894    HJA 11/7/2003 0.37
4895    HJAN 1/2/2024 0.02
4896    HJEN 3/25/2021 1.23
4897    HJG 3/10/2006 0.51
4898    HJJ 3/12/2004 1.22
4899    HJL 7/20/2005 0.77
4900    HJLI 5/31/2018 4.64
4901    HJLIW 5/31/2018 0.24
4902    HJN 11/21/2005 0.69
4903    HJO 2/23/2005 0.42
4904    HJPX 10/2/2015 0.18
4905    HJR 8/2/2007 0.35
4906    HJT 8/1/2007 0.28
4907    HJV 3/27/2007 1.5
4908    HK 7/16/2004 52
4909    HKAC 11/29/2010 0.02
4910    HKACU 6/1/2012 0.01
4911    HKACW 5/30/2012 0.02
4912    HKIB 8/5/2019 0.58
4913    HKN 6/6/2007 1.46
4914    HKOR 3/4/2014 0.09
4915    HKTV 11/3/1999 8.78
4916    HLAH 3/18/2021 0.32
4917    HLAHU 1/13/2021 0.28
4918    HLAHW 3/15/2021 0.11
4919    HLBZ 12/9/2019 7.37
4920    HLBZW 12/9/2019 0.91
4921    HLEX 12/14/1999 17
4922    HLG 7/7/2015 2.07
4923    HLMNW 7/15/2021 0.19
4924    HLS 10/26/2006 43
4925    HLSS 2/29/2012 12
4926    HLTH 2/11/1999 57
4927    HLXA 10/20/2020 0.19
4928    HLYS 12/8/2006 6.99
4929    HMA 1/2/1998 60
4930    HMAC 9/12/2022 0.05
4931    HMACR 9/12/2022 0.04
4932    HMACU 8/11/2022 0.02
4933    HMACW 9/12/2022 0.02
4934    HMCO 5/17/2007 0.51
4935    HMCOU 12/9/2020 0.36
4936    HMCOW 2/1/2021 0.17
4937    HME 1/2/1998 46
4938    HMG 4/10/2000 0.49
4939    HMH 12/29/2008 2.61
4940    HMHC 11/14/2013 28
4941    HMI 2/8/2018 6.9
4942    HMIN 10/27/2006 28
4943    HMLP 8/7/2014 11
4944    HMLP.A 10/9/2017 2.22
4945    HMNF 10/31/2006 1.41
4946    HMPR 8/3/2006 6.18
4947    HMPT 1/29/2021 2.59
4948    HMSY 1/2/1998 55
4949    HMTA 10/6/2015 0.13
4950    HMTM 5/27/2011 0.02
4951    HMTV 4/5/2013 6.65
4952    HNB 12/9/2008 0.18
4953    HNBC 1/2/1998 11
4954    HNGR 5/11/2007 31
4955    HNH 11/26/2008 4.32
4956    HNP 1/2/1998 36
4957    HNR 5/21/2002 37
4958    HNRA 4/6/2022 0.74
4959    HNSN 11/16/2006 21
4960    HNT 11/6/2000 58
4961    HNZ 1/2/1998 62
4962    HOC 4/26/2004 28
4963    HOGS 12/27/2007 14
4964    HOKU 8/8/2005 12
4965    HOL 12/17/2007 2.15
4966    HOLD 3/8/2016 0.2
4967    HOLI 8/1/2008 39
4968    HOLL 12/23/1999 5.21
4969    HOLUU 8/5/2020 0.25
4970    HOLUW 10/5/2020 0.5
4971    HOM 9/9/2021 0.06
4972    HOME 12/7/2004 23
4973    HOML 3/11/2015 0.57
4974    HOMX 3/11/2015 0.02
4975    HONR 1/19/2018 0.05
4976    HORI 2/7/2022 0.04
4977    HORIU 12/9/2021 0.04
4978    HORIW 1/31/2022 0.02
4979    HOS 3/26/2004 50
4980    HOT 1/2/1998 73
4981    HOTL 1/13/2022 0.03
4982    HOTR 1/16/2013 2.6
4983    HOTRW 1/24/2013 0.31
4984    HOTT 1/2/1998 50
4985    HOVU 2/28/2011 0.34
4986    HPC 1/2/1998 32
4987    HPCCP 1/4/2005 0.53
4988    HPJ 6/19/2008 7.23
4989    HPLT 11/29/2021 0.05
4990    HPLTU 9/30/2021 0.04
4991    HPLTW 11/29/2021 0.05
4992    HPOL 12/8/1999 16
4993    HPP.B 12/14/2010 0.14
4994    HPR 3/20/2018 11
4995    HPT 1/2/1998 76
4996    HPT.D 1/23/2012 1.96
4997    HPTRP 1/23/2012 2.19
4998    HPTX 7/26/2012 4.22
4999    HPX 9/9/2020 0.5
5000    HPX.U 7/16/2020 0.19
5001    HPY 8/16/2005 31
5002    HQBD 5/1/2017 0.01
5003    HQCL 5/14/2007 29
5004    HQS 5/17/2007 4.86
5005    HRBN 1/31/2007 11
5006    HRC 4/1/2008 48
5007    HREX 9/15/2015 0.01
5008    HRG 12/24/2009 20
5009    HRH 11/20/2001 22
5010    HRLY 1/2/1998 15
5011    HRMN 6/4/2015 0.06
5012    HRMNU 3/24/2015 0.02
5013    HRMNW 4/16/2015 0.14
5014    HRP 1/2/1998 40
5015    HRS 1/2/1998 77
5016    HRT 1/2/1998 13
5017    HRYU 8/1/2023 1.96
5018    HRZ 9/27/2005 18
5019    HS 2/6/2006 22
5020    HSA 12/29/2008 2.11
5021    HSAC 6/21/2019 0.08
5022    HSACU 5/10/2019 0.04
5023    HSACW 6/26/2019 0.02
5024    HSAQ 8/4/2020 0.53
5025    HSBC.A 5/3/2007 12
5026    HSC 1/2/1998 76
5027    HSEA 5/14/2008 11
5028    HSEB 11/15/2013 6.44
5029    HSFC.B 5/16/2007 4.35
5030    HSFT 6/30/2010 4.39
5031    HSGX 12/29/2014 7.11
5032    HSH 1/2/1998 68
5033    HSKA 1/2/1998 16
5034    HSM 7/25/2002 3.47
5035    HSNI 8/21/2008 30
5036    HSOL 5/14/2007 26
5037    HSP 5/3/2004 47
5038    HSPX 6/24/2013 1.59
5039    HSTO 7/25/2013 20
5040    HSTX 2/7/2007 7.37
5041    HSWI 10/3/2007 2.74
5042    HT 1/21/1999 61
5043    HT.B 5/20/2011 0.53
5044    HT.C 3/8/2013 0.99
5045    HT.D 6/2/2016 2.54
5046    HT.E 11/9/2016 1.62
5047    HTA 6/6/2012 41
5048    HTAQ 12/30/2021 0.03
5049    HTBX 7/24/2013 17
5050    HTC 1/2/1998 1.92
5051    HTCH 1/2/1998 44
5052    HTF 3/27/2012 0.28
5053    HTFA 10/4/2017 0.21
5054    HTGM 5/6/2015 14
5055    HTGX 7/17/2014 0.84
5056    HTGY 9/26/2012 0.4
5057    HTGZ 8/3/2012 0.37
5058    HTIA 12/11/2019 1
5059    HTIBP 10/7/2021 0.4
5060    HTLF 5/15/2003 24
5061    HTLFP 6/29/2020 0.49
5062    HTM 4/16/2008 13
5063    HTPA 1/25/2021 0.57
5064    HTPA.U 12/3/2020 0.23
5065    HTR 1/2/1998 13
5066    HTS 4/30/2008 34
5067    HTS.A 8/28/2012 1.58
5068    HTSI 5/2/2007 23
5069    HTV 7/22/1998 17
5070    HTWO 3/22/2013 0.22
5071    HTWR 2/25/2009 16
5072    HTY 9/26/2007 11
5073    HUB.A 1/2/1998 2.38
5074    HUB.B 1/2/1998 43
5075    HUD 2/1/2018 7.63
5076    HUDA 12/27/2022 0.11
5077    HUDAR 12/23/2022 0.04
5078    HUDAU 10/14/2022 0.03
5079    HUGE 10/29/2007 6.98
5080    HUGH 9/22/2006 4.46
5081    HUGS 4/19/2021 1.09
5082    HUNT 2/17/2017 0.06
5083    HUNTU 11/18/2016 0.05
5084    HUNTW 1/26/2017 0.07
5085    HUSE 8/3/2012 1.03
5086    HUSI.F 5/16/2007 2.81
5087    HUSI.G 5/16/2007 3.01
5088    HUSI.H 5/16/2007 2.16
5089    HUSN 8/8/2017 6.36
5090    HUVL 12/20/2004 1.36
5091    HVAL 7/19/2021 0.03
5092    HVB 12/20/2004 4.52
5093    HVBC 1/12/2017 0.28
5094    HVBT 7/1/2021 1.04
5095    HVOL 5/27/2011 0.03
5096    HVPW 2/28/2013 1.05
5097    HW 4/6/2005 42
5098    HWCC 6/15/2006 21
5099    HWCPL 4/1/2015 1.27
5100    HWD 11/19/2007 13
5101    HWEL 9/30/2021 0.09
5102    HWELU 8/3/2021 0.04
5103    HWELW 9/23/2021 0.07
5104    HWG 6/23/2000 0.97
5105    HWK 1/7/2004 3.82
5106    HWKZ 11/29/2021 0.04
5107    HX 11/3/2017 5.09
5108    HXM 6/29/2004 28
5109    HYACU 10/25/2017 0.26
5110    HYACW 11/17/2017 0.31
5111    HYC 1/2/1998 22
5112    HYDD 6/16/2016 0.15
5113    HYF 6/25/1998 20
5114    HYGS 11/1/2000 21
5115    HYH 3/15/2004 13
5116    HYIH 3/4/2015 0.22
5117    HYK 3/17/2004 1.59
5118    HYL 8/24/2006 0.94
5119    HYLD 12/1/2010 7.81
5120    HYLV 2/17/2017 0.69
5121    HYM 5/11/2004 0.39
5122    HYMCZ 2/17/2017 0.86
5123    HYMU 3/19/2021 1.09
5124    HYND 12/18/2013 0.65
5125    HYRE 6/27/2018 9.27
5126    HYV 12/4/2001 14
5127    HYW 3/26/2021 1.1
5128    HYXE 6/17/2016 0.26
5129    HYY 11/23/2005 0.24
5130    HYZN 12/14/2020 13
5131    HYZNW 12/14/2020 1.23
5132    HZAC 10/12/2020 1
5133    HZAC.U 8/21/2020 0.22
5134    HZD 8/2/2007 0.37
5135    HZK 4/23/2007 0.42
5136    HZN 6/23/2015 11
5137    HZNP 7/28/2011 48
5138    HZON 12/10/2020 2.12
5139    HZON.U 10/20/2020 0.29
5140    I 4/18/2013 22
5141    I.A 4/18/2013 0.37
5142    IAA 6/17/2019 15
5143    IAAC 1/2/1998 6.32
5144    IACA 10/27/2020 1.36
5145    IACA.U 10/2/2020 0.25
5146    IACB 4/5/2021 0.24
5147    IACC 4/30/2021 0.22
5148    IACI 6/23/2003 54
5149    IAH 2/25/2000 4.25
5150    IAM 10/9/2017 0.04
5151    IAMXR 10/9/2017 0.02
5152    IAMXU 8/17/2017 0.01
5153    IAMXW 10/9/2017 0.03
5154    IAR 11/20/2006 7.92
5155    IAUF 6/8/2018 0.52
5156    IBA 1/5/1998 7.31
5157    IBACU 3/26/2024 0.02
5158    IBAS 11/19/1999 12
5159    IBBJ 8/4/2020 0.15
5160    IBCA 6/3/1998 6.43
5161    IBCB 4/19/2013 0.08
5162    IBCC 4/19/2013 0.27
5163    IBCD 4/19/2013 0.46
5164    IBCE 4/19/2013 0.53
5165    IBCPO 2/19/2004 0.52
5166    IBDA 7/10/2013 0.11
5167    IBDB 7/10/2013 0.4
5168    IBDC 7/10/2013 0.73
5169    IBDD 7/10/2013 0.72
5170    IBDF 7/21/2014 0.17
5171    IBDH 5/30/2014 1.47
5172    IBDJ 3/12/2015 0.64
5173    IBDK 3/12/2015 3.03
5174    IBDL 12/5/2014 4.8
5175    IBDM 3/12/2015 6.49
5176    IBDN 3/12/2015 7.51
5177    IBDO 3/12/2015 9.51
5178    IBDP 3/12/2015 12
5179    IBER 4/20/2021 0.09
5180    IBET 11/16/2021 0.06
5181    IBHA 5/9/2019 0.27
5182    IBHB 5/9/2019 0.52
5183    IBHC 5/9/2019 1.09
5184    IBHD 5/9/2019 2.9
5185    IBI 12/16/2004 18
5186    IBIA 10/5/2023 0.04
5187    IBKC 5/15/2000 37
5188    IBKCN 4/5/2019 0.3
5189    IBKCO 5/23/2016 0.27
5190    IBKCP 8/31/2015 0.48
5191    IBLN 8/1/2014 0.69
5192    IBMD 1/14/2010 0.5
5193    IBME 1/14/2010 0.69
5194    IBMF 1/14/2010 1.05
5195    IBMG 3/21/2013 1.02
5196    IBMH 2/7/2014 1.18
5197    IBMI 8/14/2014 1.52
5198    IBMJ 9/4/2015 1.58
5199    IBMK 9/10/2015 2.11
5200    IBML 4/17/2017 2.17
5201    IBMM 3/22/2018 2.64
5202    IBNK 5/22/2000 9.44
5203    IBTB 3/3/2020 0.3
5204    IBTD 3/3/2020 2.75
5205    IBTE 3/3/2020 5.74
5206    IBTX 4/4/2013 22
5207    ICA 1/2/1998 23
5208    ICAN 4/19/2017 0.09
5209    ICB 2/7/2000 4.98
5210    ICBK 1/16/2015 1.36
5211    ICD 8/8/2014 13
5212    ICEL 7/25/2013 1.89
5213    ICGE 8/5/1999 39
5214    ICH 3/19/2001 0.98
5215    ICI 4/17/2008 0.75
5216    ICLDW 11/13/2014 0.05
5217    ICN 5/22/2008 1.05
5218    ICNC 12/13/2021 0.08
5219    ICO 11/21/2005 21
5220    ICOC 1/2/1998 12
5221    ICOG 9/13/2006 7.61
5222    ICOL 6/20/2013 1.38
5223    ICPT 10/11/2012 38
5224    ICS 1/2/1998 1.11
5225    ICVX 7/29/2021 4.33
5226    ICXT 11/8/2007 2.75
5227    ID 8/30/2006 21
5228    IDBA 3/1/2021 0.08
5229    IDC 12/10/2002 20
5230    IDEX 5/19/2009 38
5231    IDG 10/9/2007 12
5232    IDHB 7/5/2012 0.18
5233    IDHD 12/8/2016 0.4
5234    IDI 1/2/2008 3.24
5235    IDIV 2/14/2018 0.72
5236    IDIX 7/22/2004 27
5237    IDLB 11/5/2015 0.44
5238    IDME 7/23/2021 0.4
5239    IDRA 12/10/2007 30
5240    IDSA 7/1/2003 8.3
5241    IDSY 6/30/1999 11
5242    IDTI 1/2/1998 87
5243    IDW 8/4/2021 0.45
5244    IDXJ 3/21/2012 0.64
5245    IDY 10/24/2019 0.05
5246    IEA 10/6/2016 9.09
5247    IEAWW 8/30/2016 1.25
5248    IEC 6/9/2009 5.92
5249    IECS 3/23/2018 0.32
5250    IEFN 3/23/2018 0.21
5251    IEH 8/19/2013 1.12
5252    IEHS 3/23/2018 0.48
5253    IEIH 3/23/2018 0.51
5254    IEIL 2/27/2014 0.33
5255    IEIS 2/27/2014 0.15
5256    IELG 4/18/2013 0.37
5257    IEMD 9/6/2018 0.05
5258    IEME 3/23/2018 0.36
5259    IEMV 8/15/2018 0.05
5260    IEPRR 1/9/2012 0.06
5261    IESM 4/18/2013 0.2
5262    IF 10/6/2003 6.2
5263    IFAS 1/7/2008 0.8
5264    IFEU 12/27/2007 1.2
5265    IFFT 9/19/2018 1.19
5266    IFIN 1/10/2022 0.12
5267    IFIX 11/3/2016 0.04
5268    IFLO 1/2/1998 18
5269    IFLY 3/9/2016 0.65
5270    IFMI 1/24/2011 1.36
5271    IFNA 12/27/2007 0.38
5272    IFO 5/10/2012 0.01
5273    IFON 8/3/2006 7.29
5274    IFSIA 1/2/1998 35
5275    IFSM 12/27/2007 0.55
5276    IFT 2/8/2011 3.76
5277    IGAC 12/1/2020 1.01
5278    IGACU 10/1/2020 0.36
5279    IGACW 11/23/2020 0.84
5280    IGAP 4/25/2013 0.12
5281    IGEM 6/26/2018 0.01
5282    IGICW 4/10/2018 0.27
5283    IGIH 3/5/2015 0.19
5284    IGK 6/27/2008 10
5285    IGN 8/27/2001 13
5286    IGNY 3/15/2021 0.08
5287    IGNYU 1/28/2021 0.06
5288    IGNYW 3/12/2021 0.04
5289    IGS 3/29/2011 0.19
5290    IGTE 3/7/2000 28
5291    IGU 4/14/2011 0.22
5292    IGVT 11/3/2016 0.05
5293    IGW 7/17/2001 12
5294    IHC 7/15/2004 5.88
5295    IHIT 11/23/2016 4.5
5296    IHTA 11/30/2017 2.33
5297    IHYD 9/7/2018 0.07
5298    IHYV 10/26/2018 0.06
5299    IIAC 1/11/2021 0.51
5300    IIAC.U 11/19/2020 0.21
5301    IIC 1/2/1998 2.75
5302    IID 9/26/2007 7.47
5303    IIG 8/16/2004 10
5304    IIGV 12/10/2018 0.68
5305    IIH 2/25/2000 6.66
5306    IIII 2/8/2021 0.18
5307    IIIIU 2/6/2008 0.25
5308    IIIIW 2/1/2008 0.26
5309    IIJI 8/4/1999 16
5310    IILG 8/21/2008 22
5311    IILGV 4/12/2016 0.15
5312    IIN 4/4/2005 7.61
5313    IIT 1/2/1998 8.63
5314    IIVI 2/23/2023 0.07
5315    IIVIP 8/7/2020 0.2
5316    IJNK 3/13/2014 0.08
5317    IKAN 9/22/2005 13
5318    IKGH 2/22/2010 6.29
5319    IKJ 11/4/2002 2.67
5320    IKL 7/28/2003 1.3
5321    IKM 12/19/2003 1.56
5322    IKN 1/2/1998 28
5323    IKNX 1/26/2004 1.31
5324    IKR 8/9/2004 1.38
5325    IL 8/6/2010 17
5326    ILA 5/10/2002 20
5327    ILB 5/3/2012 0.93
5328    ILG 1/4/2018 2.51
5329    ILLM 6/10/2021 2.28
5330    ILMNV 6/18/2024 0.01
5331    IM 1/2/1998 67
5332    IMA 7/5/2000 21
5333    IMAC 2/13/2019 3.57
5334    IMACW 2/13/2019 0.15
5335    IMAQU 7/29/2021 0.05
5336    IMB 8/26/2002 6.36
5337    IMBI 5/1/2007 27
5338    IMBIL 9/29/2021 0.27
5339    IMC 1/2/1998 7.73
5340    IMCI 5/16/2007 0.66
5341    IMCL 3/6/2014 0.01
5342    IMDZ 7/24/2014 7.59
5343    IMED 9/13/2016 0.01
5344    IMF 5/26/2004 3.88
5345    IMFC 8/9/2018 0.05
5346    IMFD 5/17/2007 0.05
5347    IMFI 12/6/2018 0.02
5348    IMFP 9/7/2018 0.06
5349    IMGN 1/2/1998 78
5350    IMGO 7/16/2021 2.7
5351    IMH 6/11/2003 29
5352    IMI 11/18/2011 5.9
5353    IMLP 1/4/2013 1
5354    IMMU 1/2/1998 61
5355    IMMY 9/28/2007 3.94
5356    IMN 1/2/1998 41
5357    IMNP 5/16/2007 9.56
5358    IMPL 4/23/2021 2.95
5359    IMPR 6/25/2014 3.57
5360    IMPV 11/9/2011 21
5361    IMPX 11/23/2020 1.42
5362    IMPX.U 10/1/2020 0.29
5363    IMRA 3/12/2020 3.36
5364    IMRNW 6/9/2017 0.22
5365    IMRS 3/19/2010 3.31
5366    IMS 4/4/2014 9.02
5367    IMT 1/2/1998 4.12
5368    IMV 6/1/2018 4.97
5369    IMVTU 5/10/2019 0.05
5370    IMVTW 6/26/2019 0.13
5371    IN 1/3/2006 24
5372    INAG 6/5/2019 0.02
5373    INAP 9/19/2006 36
5374    INAQ 11/9/2020 1.13
5375    INAQU 9/3/2020 0.12
5376    INAQW 11/20/2020 0.39
5377    INAU 6/5/2019 0.02
5378    INAV 1/31/2024 0.02
5379    INB 7/27/2007 13
5380    INBKL 10/21/2016 0.12
5381    INC 11/3/2022 0.01
5382    INCB 5/6/2008 0.37
5383    IND 10/9/2003 8.97
5384    INDIW 6/11/2021 1.36
5385    INDM 3/14/2005 8.49
5386    INDT 5/17/2007 3.18
5387    INDU 8/21/2017 0.08
5388    INDUU 7/27/2017 0.05
5389    INDUW 8/21/2017 0.09
5390    INDZ 3/12/2010 0.45
5391    INET 11/16/2007 4.11
5392    INF 8/29/2011 7.78
5393    INFI 9/13/2006 36
5394    INHX 6/4/2004 7.85
5395    ININ 9/23/1999 24
5396    INKA 3/1/2021 0.23
5397    INKAU 1/7/2021 0.13
5398    INKAW 3/1/2021 0.16
5399    INN.A 11/1/2011 0.3
5400    INN.B 12/13/2012 0.38
5401    INN.C 3/21/2013 0.38
5402    INN.D 6/30/2016 0.5
5403    INNL 7/25/2014 1.49
5404    INNO 12/2/2021 0.15
5405    INNT 7/11/2016 5.35
5406    INOC 5/7/1998 2.29
5407    INP 12/20/2006 18
5408    INPH 1/2/1998 7.41
5409    INPX 2/11/2013 37
5410    INPXV 3/6/2023 0.01
5411    INS 1/2/1998 4.96
5412    INSD 12/9/2011 0.07
5413    INSI 5/16/2007 8.35
5414    INST 11/13/2015 17
5415    INSU 7/31/2002 27
5416    INSUU 3/20/2019 0.03
5417    INSUW 6/4/2019 0.17
5418    INSW.A 6/20/2018 0.3
5419    INSY 4/19/2007 22
5420    INT 1/2/1998 68
5421    INTEU 11/3/2021 0.05
5422    INTLL 8/7/2013 0.15
5423    INTX 4/30/2004 12
5424    INVO 11/13/2020 3.07
5425    INWK 8/16/2006 32
5426    INXN 1/28/2011 27
5427    INXX 8/11/2010 2.98
5428    INY 10/18/2007 0.6
5429    INZ 12/17/2002 12
5430    IO 1/2/1998 64
5431    IOAC 1/4/2022 0.1
5432    IOACU 10/27/2021 0.07
5433    IOACW 1/4/2022 0.05
5434    IOC 9/8/2004 39
5435    IOIL 5/5/2011 0.3
5436    IOTS 10/27/2015 7.4
5437    IPAS 9/29/2003 27
5438    IPAX 11/17/2021 0.06
5439    IPAXU 9/22/2021 0.14
5440    IPAXW 11/16/2021 0.07
5441    IPCC 2/12/2003 23
5442    IPCI 10/26/2009 7.32
5443    IPCM 1/25/2008 15
5444    IPCR 4/5/1999 21
5445    IPCS 3/17/2006 6.63
5446    IPD 2/23/2009 0.53
5447    IPE 5/30/2007 8.09
5448    IPF 7/23/2008 0.49
5449    IPFF 11/17/2011 3.99
5450    IPHI 11/12/2010 34
5451    IPHS 11/2/2006 28
5452    IPIC 2/1/2018 0.36
5453    IPK 7/24/2008 0.57
5454    IPL.D 3/22/2013 1.04
5455    IPLDP 12/31/2018 0.48
5456    IPN 7/25/2008 0.75
5457    IPOA 9/29/2017 1.49
5458    IPOA.U 9/14/2017 0.47
5459    IPOB 6/18/2020 2.18
5460    IPOB.U 4/28/2020 0.48
5461    IPOC 6/12/2020 2.52
5462    IPOC.U 4/22/2020 0.7
5463    IPOD 11/30/2020 4.49
5464    IPOD.U 10/9/2020 0.9
5465    IPOE 11/30/2020 3.2
5466    IPOE.U 10/9/2020 0.79
5467    IPOF 11/30/2020 8.06
5468    IPOF.U 10/9/2020 1.29
5469    IPS 7/25/2008 0.62
5470    IPSU 4/17/2003 18
5471    IPT 1/3/2000 1.6
5472    IPU 7/25/2008 0.81
5473    IPV 2/27/2020 1.54
5474    IPV.U 2/4/2020 0.15
5475    IPVA 4/26/2021 0.22
5476    IPVF 4/26/2021 0.19
5477    IPVI 4/30/2021 0.06
5478    IPVIU 3/5/2021 0.14
5479    IPVIW 4/30/2021 0.06
5480    IPXL 8/8/2005 35
5481    IQC 1/5/1998 2.18
5482    IQDE 4/16/2013 1.34
5483    IQIN 12/13/2018 0.44
5484    IQMD 12/27/2021 0.08
5485    IQMDU 11/5/2021 0.1
5486    IQMDW 12/27/2021 0.1
5487    IQN 1/2/1998 1.25
5488    IQNT 11/2/2007 29
5489    IQT 1/2/1998 3.78
5490    IRBA 2/1/2022 0.05
5491    IRBO 6/28/2018 6.12
5492    IRC 6/9/2004 36
5493    IRC.A 10/10/2011 0.26
5494    IRC.B 10/17/2014 0.05
5495    IRCP 5/16/2007 1.66
5496    IRDMB 5/16/2014 0.06
5497    IRDMU 5/15/2012 0.01
5498    IRDMW 5/30/2012 0.07
5499    IRDMZ 10/21/2009 0.1
5500    IRE 1/6/1998 26
5501    IRET.B 8/8/2012 0.55
5502    IRET.C 10/4/2017 0.3
5503    IRETP 4/26/2004 0.16
5504    IRETS 1/2/1998 7.94
5505    IRF 1/2/1998 60
5506    IRG 5/11/2012 4.84
5507    IRIS 4/7/2004 14
5508    IRL 1/2/1998 5.89
5509    IRNT 3/23/2020 8.76
5510    IRO 2/1/2008 0.12
5511    IRR 10/25/2006 17
5512    IRV 7/25/2008 0.69
5513    IRY 7/25/2008 1.19
5514    IS 6/29/2021 5.56
5515    ISAA 6/9/2021 0.29
5516    ISBC 10/12/2005 59
5517    ISCA 1/2/1998 44
5518    ISDR 4/9/2009 2.28
5519    ISDS 9/14/2018 0.02
5520    ISDX 3/15/2019 0.9
5521    ISEE 5/16/2007 23
5522    ISEM 9/13/2018 0.28
5523    ISF 7/10/2007 13
5524    ISG 10/3/2005 12
5525    ISH 1/2/1998 8.94
5526    ISH.A 2/25/2013 0.1
5527    ISH.B 8/2/2013 0.09
5528    ISI 11/30/2005 3.23
5529    ISIG 1/2/1998 8.7
5530    ISIL 2/25/2000 73
5531    ISIS 5/8/2002 50
5532    ISL 5/11/2006 2.4
5533    ISLE 10/1/1998 38
5534    ISLEW 3/30/2021 0.09
5535    ISLN 12/18/2006 9.53
5536    ISM 9/8/2006 1.3
5537    ISNS 10/9/2001 5.41
5538    ISO 5/16/2007 2.18
5539    ISOS 4/23/2021 0.2
5540    ISP 11/7/2003 8.43
5541    ISPH 8/3/2000 23
5542    ISR 4/19/2007 19
5543    ISRLU 1/13/2023 0.06
5544    ISS 12/14/2010 5.46
5545    ISSI 1/2/1998 40
5546    IST 7/25/2008 1.14
5547    ISTA 8/23/2000 13
5548    ISUN 4/26/2016 7.55
5549    ISYS 1/5/1998 12
5550    ISZE 5/11/2017 0.26
5551    ITAC 6/28/2007 0.47
5552    ITACU 9/9/2020 0.08
5553    ITACW 10/30/2020 0.5
5554    ITAQ 3/4/2022 0.08
5555    ITAQU 1/12/2022 0.04
5556    ITAQW 3/4/2022 0.05
5557    ITC 7/26/2005 38
5558    ITCB 5/16/2007 7.31
5559    ITCL 5/16/2007 6.84
5560    ITDA 6/7/2024 0.02
5561    ITE 5/30/2007 4.8
5562    ITEK 2/18/2015 6.38
5563    ITF 7/7/2003 2.79
5564    ITG 4/28/1999 60
5565    ITHX 3/24/2021 0.21
5566    ITHXU 1/28/2021 0.11
5567    ITHXW 3/22/2021 0.16
5568    ITI 12/9/2004 15
5569    ITIP 5/20/2011 0.95
5570    ITLN 12/17/2007 1.61
5571    ITLT 3/23/2011 0.27
5572    ITLY 3/23/2011 0.15
5573    ITMN 3/24/2000 49
5574    ITMR 3/7/2019 1.15
5575    ITQ 4/1/2021 0.16
5576    ITQRU 2/4/2021 0.14
5577    ITQRW 3/31/2021 0.11
5578    ITR 2/20/2009 7.5
5579    ITUS 5/16/2007 4.21
5580    IUSA 11/22/1999 18
5581    IUSS 10/18/2018 0.51
5582    IVAN 10/9/2000 31
5583    IVC 6/25/1999 57
5584    IVCAU 5/10/2022 0.06 INVESTCORP AI ACQUISITION CORP. UNIT Blank Checks Finance
5585    IVCB 2/8/2022 0.13
5586    IVCBU 12/15/2021 0.06
5587    IVCBW 2/4/2022 0.08
5588    IVCP 2/22/2022 0.08
5589    IVCPU 12/15/2021 0.06
5590    IVCPW 2/14/2022 0.08
5591    IVD 3/21/2001 1.62
5592    IVDG 12/22/2020 0.09
5593    IVENC 10/18/2016 0.01
5594    IVES 4/8/2020 0.49
5595    IVFGC 2/9/2018 0.01
5596    IVFVC 2/9/2018 0.01
5597    IVGN 2/26/1999 33
5598    IVH 5/29/2013 9.84
5599    IVLC 12/22/2020 0.12
5600    IVN 1/18/2005 27
5601    IVOP 9/19/2011 0.19
5602    IVR.A 7/27/2012 2.5
5603    IVR.B 9/12/2014 2.47
5604    IVSG 12/22/2020 0.09
5605    IVTY 6/16/2015 3.85
5606    IWA 11/22/2004 17
5607    IWFH 10/2/2020 0.16
5608    IWIN 2/2/2022 0.19
5609    IWOV 10/8/1999 28
5610    IWW 8/4/2000 6.71
5611    IWZ 7/28/2000 6.06
5612    IXAQ 11/30/2021 0.09
5613    IXAQU 10/7/2021 0.05
5614    IXAQW 11/30/2021 0.07
5615    IXSE 4/4/2019 0.14
5616    IXYS 10/2/2006 22
5617    JACQ 10/16/2013 0.05
5618    JAG 7/23/2007 28
5619    JAGG 12/14/2018 2.66
5620    JAH 6/3/2002 53
5621    JAN 5/16/2007 7.68
5622    JAND 1/2/2024 0.02
5623    JANQ 1/2/2024 0.03
5624    JAQC 6/25/2007 0.13
5625    JAQCU 8/13/2021 0.11
5626    JAQCW 10/4/2021 0.07
5627    JAS 11/5/2003 22
5628    JASN 12/26/2013 3.94
5629    JASNW 10/3/2013 0.68
5630    JASO 2/7/2007 43
5631    JATT 9/3/2021 0.09
5632    JAV 7/20/2006 7.26
5633    JAX 2/7/2002 6.34
5634    JAXB 10/23/2002 0.68
5635    JBJ 5/9/2006 0.55
5636    JBN 6/17/2009 1.52
5637    JBO 10/13/2004 0.47
5638    JBR 11/2/2017 0.2
5639    JBRI 12/19/2017 0.03
5640    JBT 8/1/2008 38
5641    JBX 10/4/1999 25
5642    JCAP 3/27/2015 9.61
5643    JCAP.B 1/30/2018 0.31
5644    JCDA 10/18/1999 3.43
5645    JCG 7/6/2006 19
5646    JCIC 3/17/2021 0.4
5647    JCICU 1/22/2021 0.31
5648    JCICW 3/15/2021 0.34
5649    JCO 3/29/2017 2.87
5650    JCOM 8/14/2000 66
5651    JCP 1/2/1998 98
5652    JCS 1/27/2003 6.07
5653    JCTCF 12/8/2004 1.51
5654    JDAS 1/2/1998 38
5655    JDD 9/29/2003 15
5656    JDG 5/28/2015 0.02
5657    JDSU 7/6/1999 78
5658    JE 1/30/2012 24
5659    JE.A 2/14/2017 1.03
5660    JEC 1/2/1998 75
5661    JEM 4/4/2008 0.24
5662    JEMD 10/9/2017 2.11
5663    JEPY 9/19/2023 1.88
5664    JFBI 7/2/2003 0.74
5665    JFC 1/2/1998 4.24
5666    JFK 5/16/2019 0.17
5667    JFKKR 5/16/2019 0.09
5668    JFKKU 3/28/2019 0.03
5669    JFKKW 5/16/2019 0.13
5670    JFP 3/29/2005 3.09
5671    JFT 8/22/2008 0.06
5672    JFWD 7/14/2021 0.15
5673    JGBB 12/18/2013 0.07
5674    JGBD 11/9/2011 1.41
5675    JGBL 3/24/2011 0.13
5676    JGBS 11/9/2011 0.69
5677    JGBT 3/23/2011 0.76
5678    JGG 7/6/2006 4.42
5679    JGGC 4/4/2022 0.33
5680    JGGCR 4/4/2022 0.11
5681    JGGCU 2/11/2022 0.05
5682    JGGCW 4/4/2022 0.07
5683    JGLD 12/1/2020 0.12
5684    JGT 4/30/2007 11
5685    JGV 7/26/2006 11
5686    JGW 11/8/2013 4.12
5687    JHA 11/13/2015 1.57
5688    JHAA 12/19/2018 0.84
5689    JHB 9/9/2016 4.51
5690    JHCS 3/13/2019 0.18
5691    JHD 5/11/2016 1.89
5692    JHDG 4/9/2015 0.25
5693    JHMA 3/29/2016 0.22
5694    JHMC 10/1/2015 0.45
5695    JHME 3/29/2016 0.55
5696    JHMF 9/29/2015 0.6
5697    JHMH 9/30/2015 0.62
5698    JHMI 10/11/2016 0.34
5699    JHMS 5/4/2016 0.46
5700    JHMT 9/30/2015 0.7
5701    JHP 12/19/2002 9.12
5702    JHY 7/29/2015 1.97
5703    JIB 9/9/2021 0.03
5704    JIDA 7/8/2021 0.06
5705    JIGB 12/17/2018 0.22
5706    JIH 12/20/2019 1.64
5707    JIH.U 11/8/2019 0.11
5708    JJA 2/1/2018 0.39
5709    JJAB 1/31/2018 0.01
5710    JJC 1/29/2018 1.46
5711    JJCB 1/29/2018 0.03
5712    JJE 10/25/2007 0.76
5713    JJEB 1/23/2018 0.01
5714    JJG 10/25/2007 9.57
5715    JJGB 1/30/2018 0.04
5716    JJM 12/27/2007 1.25
5717    JJMB 1/29/2018 0.01
5718    JJN 1/18/2018 0.94
5719    JJP 6/25/2008 0.84
5720    JJPB 1/18/2018 0.01
5721    JJS 6/25/2008 0.94
5722    JJSB 1/18/2018 0.01
5723    JJT 6/25/2008 1.16
5724    JJTB 2/16/2018 0.01
5725    JJU 6/25/2008 0.87
5726    JJUB 1/18/2018 0.01
5727    JKD 7/13/2004 6.3
5728    JKE 7/13/2004 8.43
5729    JKF 7/13/2004 5.87
5730    JKG 7/13/2004 4.4
5731    JKH 7/13/2004 5.28
5732    JKI 7/13/2004 3.76
5733    JKJ 7/13/2004 4.06
5734    JKK 7/13/2004 3.23
5735    JKL 7/13/2004 5.07
5736    JLA 5/26/2005 10
5737    JMAC 11/26/2021 0.09
5738    JMACU 10/8/2021 0.05
5739    JMACW 11/26/2021 0.07
5740    JMBA 11/29/2006 26
5741    JMEI 5/16/2014 17
5742    JMF 2/25/2011 15
5743    JMG 3/23/2015 1.55
5744    JMI 10/3/2012 6.39
5745    JMIN 6/27/2018 0.46
5746    JMLP 3/27/2014 5.47
5747    JMP 5/11/2007 10
5748    JMPB 2/7/2013 0.48
5749    JMPC 2/13/2014 0.29
5750    JMPD 11/30/2017 0.25
5751    JMPE 9/27/2019 0.1
5752    JMPNL 1/2/2020 0.15
5753    JMPNZ 1/2/2020 0.24
5754    JMT 2/24/2010 2.83
5755    JMU 4/8/2015 1.99
5756    JNCE 1/27/2017 14
5757    JNGW 6/7/2007 0.48
5758    JNMF 1/13/2020 0.01
5759    JNP 5/9/2007 14
5760    JNS 1/2/2003 64
5761    JNY 1/2/1998 59
5762    JO 6/25/2008 16
5763    JOAN 3/12/2021 6.84
5764    JOBS 9/29/2004 31
5765    JOEZ 10/15/2007 12
5766    JOFF 3/30/2021 0.43
5767    JOFFU 2/5/2021 0.35
5768    JOFFW 3/29/2021 0.21
5769    JOSB 1/2/1998 42
5770    JOY 8/1/2001 62
5771    JOYG 8/1/2001 39
5772    JOYY 12/31/2019 0.23
5773    JP 7/16/2015 6.17
5774    JPBI 11/1/2018 0.01
5775    JPED 6/25/2018 0.07
5776    JPEH 4/4/2016 0.03
5777    JPEP 10/2/2014 2.72
5778    JPEU 1/5/2016 0.23
5779    JPG 11/23/2005 7.08
5780    JPGB 4/13/2017 0.57
5781    JPGE 6/17/2014 0.96
5782    JPHF 9/16/2016 0.73
5783    JPHY 9/15/2016 2.23
5784    JPIH 11/8/2016 0.09
5785    JPLS 1/25/2018 0.1
5786    JPM.A 2/28/2013 7.04
5787    JPM.B 12/24/2009 8.31
5788    JPM.E 7/15/2008 5.07
5789    JPM.F 7/15/2008 6.28
5790    JPM.G 7/16/2008 6.76
5791    JPM.H 7/27/2015 6.56
5792    JPMF 12/7/2017 0.16
5793    JPMV 6/5/2014 0.8
5794    JPN 6/24/2015 0.64
5795    JPNH 8/19/2015 0.01
5796    JPNL 6/26/2013 1.52
5797    JPNS 6/26/2013 0.12
5798    JPP 11/14/2006 0.79
5799    JPS 1/2/2009 37
5800    JPT 1/27/2017 1.64
5801    JPW 6/26/2013 1.19
5802    JPX 6/23/2009 0.19
5803    JPZ 10/27/2004 12
5804    JRCC 1/25/2005 32
5805    JRJC 10/15/2004 19
5806    JRJR 11/16/2009 2.52
5807    JRN 9/24/2003 25
5808    JRNY 9/9/2021 0.09
5809    JRO 7/28/2004 28
5810    JRT 7/14/2005 7.85
5811    JSC 11/14/2006 1.96
5812    JSD 5/26/2011 9.67
5813    JSN 1/27/2005 17
5814    JST 1/29/2002 10
5815    JSYN 4/26/2016 0.06
5816    JSYNR 4/26/2016 0.07
5817    JSYNU 3/3/2016 0.04
5818    JSYNW 4/26/2016 0.07
5819    JT 11/16/2017 7.54
5820    JTA 1/29/2004 13
5821    JTAIW 10/1/2021 0.22
5822    JTAIZ 8/21/2023 0.11
5823    JTD 8/1/2007 9.5
5824    JTP 6/27/2002 19
5825    JTPY 1/4/2018 0.23
5826    JTX 6/22/2004 22
5827    JUGG 8/11/2021 0.13
5828    JUGGU 6/18/2021 0.06
5829    JUGGW 8/11/2021 0.08
5830    JUN 12/23/2021 0.17
5831    JUNO 1/4/2018 0.76
5832    JUNR 3/17/2011 0.36
5833    JUPW 10/30/2020 4.91
5834    JUPWW 10/30/2020 0.26
5835    JUSA 7/8/2021 0.04
5836    JW.A 1/2/1998 47
5837    JW.B 1/2/1998 1.19
5838    JWAC 1/7/2022 0.28
5839    JWACR 1/7/2022 0.11
5840    JWF 4/26/2004 5.08
5841    JWS 7/6/2020 2.28
5842    JWS.U 5/14/2020 0.38
5843    JWSM 3/26/2021 1.04
5844    JXJT 6/22/2015 5.09
5845    JXSB 12/18/2006 0.19
5846    JYAC 11/19/2020 0.19
5847    JYF 5/22/2008 0.21
5848    JYN 12/27/2007 0.34
5849    JZC 3/18/2004 1.13
5850    JZH 6/6/2006 0.38
5851    JZJ 12/5/2003 0.53
5852    JZK 11/7/2003 0.51
5853    JZL 8/16/2010 0.1
5854    JZRO 9/10/2021 0.07
5855    JZS 7/21/2005 0.39
5856    JZT 3/16/2004 0.5
5857    JZV 7/12/2006 0.39
5858    KA 2/11/2016 15
5859    KAAC 5/2/2017 0.2
5860    KAACU 3/30/2017 0.09
5861    KAACW 5/1/2017 0.04
5862    KACL 1/21/2022 0.04
5863    KACLR 1/25/2022 0.06
5864    KACLU 12/14/2021 0.02
5865    KACLW 1/24/2022 0.06
5866    KAHC 5/7/2021 0.78
5867    KAII 4/14/2021 0.16
5868    KAIIU 2/18/2021 0.19
5869    KAIIW 4/15/2021 0.09
5870    KAIR 2/26/2021 0.22
5871    KAIRU 1/6/2021 0.2
5872    KAIRW 2/26/2021 0.15
5873    KAL 6/29/2022 2.27
5874    KALWW 6/29/2022 0.3
5875    KAMN 11/4/2005 36
5876    KANG 4/9/2014 12
5877    KAP 10/17/2012 0.34
5878    KARB 9/13/2022 0.01
5879    KATE 1/2/1998 71
5880    KAZ 9/21/2006 4.9
5881    KBAL 4/25/2007 30
5882    KBALB 1/2/1998 22
5883    KBIO 1/31/2013 4.3
5884    KBLM 6/27/2017 0.09
5885    KBLMR 6/27/2017 0.24
5886    KBLMU 6/2/2017 0.04
5887    KBLMW 6/27/2017 0.31
5888    KBND 12/4/2014 0.92
5889    KBNTW 8/12/2020 0.28
5890    KBSF 6/22/2015 3.05
5891    KBUY 12/9/2020 0.2
5892    KBW 11/9/2006 18
5893    KBWC 11/6/2012 0.16
5894    KBWI 9/13/2012 0.13
5895    KBWX 12/21/2010 0.03
5896    KBX 12/22/2005 4.16
5897    KCAC 8/17/2020 1.67
5898    KCAC.U 6/26/2020 0.71
5899    KCAL 12/22/2022 0.01
5900    KCAP 12/12/2006 23
5901    KCAPL 12/18/2020 0.02
5902    KCC 10/9/2003 1.11
5903    KCCB 11/19/2018 0.13
5904    KCG 6/28/2013 12
5905    KCGI 10/4/2021 0.31
5906    KCI 3/2/2004 29
5907    KCNY 12/4/2014 0.82
5908    KCP 1/2/1998 22
5909    KCW 12/16/2003 0.52
5910    KDIV 9/15/2022 0.03
5911    KDMN 7/27/2016 16
5912    KDN 1/2/1998 37
5913    KDNY 4/15/2015 23
5914    KED 9/21/2006 13
5915    KEF 1/2/1998 5.57
5916    KEG 10/3/2007 40
5917    KEJI 2/24/2021 0.1
5918    KEMP 2/13/2015 0.04
5919    KERN 2/26/2018 10
5920    KERNW 2/27/2018 1.12
5921    KERX 7/28/2000 52
5922    KESG 7/29/2020 0.2
5923    KEY.G 6/26/2008 0.81
5924    KEY.H 8/1/2016 0.25
5925    KEYN 9/24/1999 22
5926    KEYW 10/1/2010 21
5927    KFED 3/31/2004 1.67
5928    KFFG 3/19/2010 0.86
5929    KFH 11/18/2011 2.3
5930    KFI 3/26/2012 1.22
5931    KFN 6/28/2005 31
5932    KFT 6/14/2001 49
5933    KFVG 11/24/2020 0.59
5934    KFX 12/5/2013 3.01
5935    KFYP 7/23/2013 0.91
5936    KG 5/23/2000 43
5937    KGHG 3/16/2022 0.03
5938    KGN 1/2/2008 5.24
5939    KGRO 10/7/2021 0.06
5940    KH 8/17/2010 2.77
5941    KHI 1/2/1998 9.99
5942    KID 9/23/2009 3.51
5943    KIII 4/15/2021 0.14
5944    KIIIU 2/18/2021 0.24
5945    KIIIW 4/26/2021 0.1
5946    KIM.H 9/20/2010 1.61
5947    KIM.I 3/23/2012 3.06
5948    KIM.J 7/27/2012 2.66
5949    KIM.K 12/13/2012 1.8
5950    KIN 12/12/2013 11
5951    KING 3/26/2014 7.98
5952    KINZ 2/4/2021 0.42
5953    KINZU 12/15/2020 0.23
5954    KINZW 2/4/2021 0.42
5955    KIOR 6/24/2011 7.32
5956    KIPO 12/12/2011 0.53
5957    KIPS 2/11/2011 1.27
5958    KIQ 10/14/2014 5.33
5959    KITD 8/13/2009 9.19
5960    KITE 6/20/2014 13
5961    KKD 5/17/2001 53
5962    KKR.A 3/28/2016 2.59
5963    KKR.B 6/27/2016 1.53
5964    KKR.C 8/21/2020 0.81
5965    KL 8/16/2017 19
5966    KLAQ 3/1/2021 0.2
5967    KLAQU 1/8/2021 0.23
5968    KLAQW 3/1/2021 0.14
5969    KLCD 6/13/2019 0.3
5970    KLD 1/28/2005 2.47
5971    KLDW 7/10/2015 1.25
5972    KLDX 10/27/2008 8.16
5973    KLEM 7/10/2015 0.04
5974    KLNE 7/30/2021 0.52
5975    KLR 1/17/2018 7
5976    KLRE 3/31/2016 0.07
5977    KLREU 3/11/2016 0.03
5978    KLREW 3/29/2016 0.09
5979    KLXEV 8/29/2018 0.09
5980    KLXI 12/3/2014 12
5981    KLXIV 12/3/2014 0.08
5982    KME 6/3/2009 0.09
5983    KMED 10/18/2018 0.2
5984    KMET 10/13/2022 0.05
5985    KMF 11/24/2010 20
5986    KMG 12/12/2003 14
5987    KMGB 12/12/2003 6.57
5988    KMI.A 11/4/2015 4.44
5989    KMM 11/2/2017 0.27
5990    KMP 12/13/1999 52
5991    KMPA 1/29/2015 0.56
5992    KMPH 4/16/2015 13
5993    KMR 5/16/2001 35
5994    KNAB 4/3/2019 0.07
5995    KNBE 4/22/2021 6.31
5996    KND 10/27/2004 51
5997    KNDL 1/2/1998 20
5998    KNGS 3/13/2024 0.02
5999    KNL 12/14/2004 47
6000    KNM 10/1/2002 1.56
6001    KNOL 12/18/2003 16
6002    KNOT 3/29/2005 16
6003    KNR 7/6/2005 0.56
6004    KNSW 3/14/2022 0.12
6005    KNSY 1/2/1998 21
6006    KNTE 12/3/2020 5.5
6007    KNXA 6/28/2005 19
6008    KOG 6/21/2006 29
6009    KOIN 1/30/2018 0.71
6010    KOL 1/15/2008 21
6011    KONA 8/16/2005 10
6012    KONE 5/17/2010 2.02
6013    KOR 9/29/2016 1.59
6014    KORS 12/15/2011 32
6015    KORZ 5/1/2013 0.03
6016    KOSN 10/5/2000 8.33
6017    KPFS 10/4/2018 0.01
6018    KPPC 3/13/2007 3.61
6019    KRA 12/17/2009 34
6020    KRAT 5/6/2008 0.01
6021    KRC.G 3/28/2012 0.64
6022    KRC.H 8/16/2012 0.59
6023    KRFT 9/17/2012 12
6024    KRG.A 12/9/2010 0.44
6025    KRJ 6/29/2004 0.36
6026    KRNL 4/1/2021 0.33
6027    KRNLU 2/3/2021 0.23
6028    KRNLW 3/26/2021 0.32
6029    KROO 3/23/2010 0.69
6030    KRS 4/22/2010 0.61
6031    KRTX 6/28/2019 11
6032    KRU 4/22/2010 1.11
6033    KS 1/4/2010 31
6034    KSCD 6/13/2019 0.25
6035    KSE 1/2/1998 28
6036    KSET 4/27/2022 0.17
6037    KSI 5/18/2021 0.14
6038    KSICU 3/17/2021 0.1
6039    KSICW 5/17/2021 0.09
6040    KSK 3/15/2001 4.13
6041    KSM 1/2/1998 9.12
6042    KSMT 10/5/2020 0.6
6043    KSMTU 8/6/2020 0.11
6044    KSMTW 10/2/2020 0.19
6045    KSPN 5/4/2007 5.99
6046    KST 11/2/2017 0.1
6047    KSU 1/2/1998 87
6048    KSW 5/3/2006 1.94
6049    KSWS 1/5/1998 32
6050    KTII 1/5/1998 1.74
6051    KTOV 11/20/2015 7.79
6052    KTOVW 11/20/2015 0.83
6053    KTP 7/6/1999 3.93
6054    KTRA 2/22/2013 16
6055    KTWO 5/8/2014 11
6056    KUB 1/2/1998 8
6057    KUN 7/25/2007 1.46
6058    KURI 4/1/2021 0.36
6059    KURIU 2/5/2021 0.38
6060    KURIW 4/5/2021 0.13
6061    KUTV 2/11/2010 3.5
6062    KV.A 3/25/1999 27
6063    KVSA 3/4/2021 1.01
6064    KVSB 3/24/2021 1.06
6065    KVSC 3/24/2021 0.68
6066    KWAC 2/17/2021 0.17
6067    KWAC.U 11/20/2020 0.11
6068    KWK 10/22/2001 47
6069    KWKA 10/22/2001 48
6070    KWKAQ 10/22/2001 48
6071    KWN 12/10/2012 0.3
6072    KXINW 11/6/2017 0.2
6073    KXM 10/1/2009 0.34
6074    KYCH 3/4/2022 0.1
6075    KYCHR 3/3/2022 0.07
6076    KYCHU 1/25/2022 0.04
6077    KYCHW 3/3/2022 0.03
6078    KYE 6/28/2005 20
6079    KYN.E 3/22/2012 0.43
6080    KYN.F 4/8/2013 0.64
6081    KYN.G 9/17/2013 0.24
6082    KYO 1/2/1998 11
6083    KYTH 10/16/2012 6.61
6084    KZ 4/24/2007 18
6085    LAAA 7/28/2021 0.06
6086    LAAAU 6/11/2021 0.03
6087    LAAAW 7/23/2021 0.07
6088    LAAC 10/4/2023 5.31
6089    LABC 7/10/2007 0.32
6090    LABL 1/5/1998 16
6091    LABP 2/4/2021 2.33
6092    LABS 12/4/2015 0.04
6093    LACK 11/29/2018 0.16
6094    LACO 3/23/2006 7.94
6095    LACQ 2/26/2018 0.17
6096    LACQU 12/1/2017 0.08
6097    LACQW 1/5/2018 0.45
6098    LAG 5/30/2007 3.28
6099    LAIX 9/27/2018 4.18
6100    LAQ 5/11/2006 3.2
6101    LARE 12/3/2015 0.08
6102    LAS 12/10/2010 2.59
6103    LATG 3/18/2022 0.08
6104    LATGU 1/25/2022 0.06
6105    LATGW 3/17/2022 0.03
6106    LATM 4/7/2010 0.54
6107    LATN 12/9/2019 0.48
6108    LATNU 10/18/2019 0.04
6109    LATNW 12/9/2019 0.54
6110    LAVA 11/21/2001 27
6111    LAWS 1/2/1998 9.16
6112    LAX 12/14/2021 0.05
6113    LAXXR 12/14/2021 0.06
6114    LAXXU 11/22/2021 0.03
6115    LAXXW 12/14/2021 0.05
6116    LAYN 1/2/1998 31
6117    LAZRW 3/25/2019 1.15
6118    LAZY 3/16/2018 5.44
6119    LBAI 2/22/2000 29
6120    LBBB 4/14/2022 0.09
6121    LBBBR 4/14/2022 0.06
6122    LBBBU 3/9/2022 0.02
6123    LBBBW 4/14/2022 0.04
6124    LBC 12/8/2017 5.1
6125    LBDC 10/9/2015 0.32
6126    LBF 1/2/1998 4.85
6127    LBIO 2/9/2011 6.33
6128    LBIX 10/27/1999 5.87
6129    LBJ 12/3/2009 5.99
6130    LBMH 9/5/2007 4.72
6131    LBND 8/2/2010 0.41
6132    LBPH 3/12/2021 3.99
6133    LBPS 3/22/2021 0.47
6134    LBPSW 3/23/2021 0.11
6135    LBTA 5/27/2011 0.03
6136    LBY 1/4/2010 17
6137    LBYAV 11/4/2024 0.01
6138    LBYKV 9/12/2019 0.01
6139    LCA 5/26/2016 3.66
6140    LCAA 5/6/2021 0.45
6141    LCAAU 3/11/2021 0.12
6142    LCAAW 5/11/2021 0.15
6143    LCAHU 5/26/2016 0.37
6144    LCAHW 9/7/2016 1.33
6145    LCAP 10/21/2020 0.54
6146    LCAPA 5/15/2006 21
6147    LCAPU 8/14/2020 0.14
6148    LCAPW 10/21/2020 0.4
6149    LCAV 1/2/1998 29
6150    LCC 9/29/2005 35
6151    LCI 5/10/2002 38
6152    LCIDW 9/18/2020 3.28
6153    LCM 3/15/2018 0.25
6154    LCRY 1/2/1998 12
6155    LCW 11/29/2021 0.13
6156    LCY 12/3/2020 1.5
6157    LCYAU 10/9/2020 0.38
6158    LCYAW 11/27/2020 0.47
6159    LD 6/25/2008 0.53
6160    LDF 1/2/1998 6.27
6161    LDG 8/1/2005 12
6162    LDHA 5/13/2021 0.14
6163    LDHAU 3/19/2021 0.18
6164    LDHAW 5/17/2021 0.07
6165    LDK 6/1/2007 28
6166    LDL 1/2/1998 25
6167    LDR 1/15/2002 16
6168    LDRS 12/22/2017 0.74
6169    LDSH 3/10/1998 16
6170    LDX 4/16/2010 0.03
6171    LEAF 10/16/2013 11
6172    LEAP 6/29/2005 35
6173    LEAP.U 9/11/2020 0.26
6174    LEDD 8/1/2013 0.03
6175    LEDR 11/10/2008 2.4
6176    LEGA 5/26/2021 0.14
6177    LEGAU 3/23/2021 0.1
6178    LEGAW 5/17/2021 0.11
6179    LEGC 10/26/2005 1.28
6180    LEGO 3/4/2021 0.9
6181    LEGOU 1/20/2021 0.46
6182    LEGOW 3/4/2021 0.67
6183    LEH 1/2/1998 45
6184    LEHMQ 1/2/1998 51
6185    LEI 2/15/2008 8.27
6186    LEJU 4/17/2014 12
6187    LEMF 8/25/2014 0.01
6188    LEND 5/9/2019 0.12
6189    LETB 2/9/2022 0.08
6190    LEV 5/7/2021 11
6191    LEVB 11/17/2017 1.05
6192    LEVL 4/20/2018 1.08
6193    LEVLP 8/18/2020 0.04
6194    LEXEA 11/4/2016 7.73
6195    LEXEB 12/7/2016 0.01
6196    LF 7/25/2002 44
6197    LFAC 6/29/2018 0.38
6198    LFACU 6/20/2018 0.08
6199    LFACW 6/29/2018 0.25
6200    LFC 12/17/2003 61
6201    LFG 3/2/1998 28
6202    LFGR 1/26/2011 13
6203    LFL 1/2/1998 38
6204    LFTR 12/18/2020 1.15
6205    LFTRU 10/21/2020 0.19
6206    LFTRW 12/16/2020 0.49
6207    LG 1/2/1998 31
6208    LGAC 4/6/2021 0.59
6209    LGACU 2/10/2021 0.44
6210    LGACW 4/6/2021 0.17
6211    LGBT 5/18/2021 0.04
6212    LGC 12/1/2017 0.22
6213    LGC.U 11/17/2017 0.1
6214    LGCYO 6/12/2014 2.27
6215    LGCYP 4/14/2014 0.91
6216    LGEM 6/23/2011 0.08
6217    LGF 8/9/2004 45
6218    LGLZ 9/19/2023 0.01
6219    LGN 1/30/2003 6.29
6220    LGP 10/25/2012 1.71
6221    LGST 1/5/2022 0.1
6222    LGSTU 11/4/2021 0.05
6223    LGSTW 1/3/2022 0.11
6224    LGTO 12/23/2021 0.11
6225    LGTOU 11/22/2021 0.06
6226    LGTOW 12/22/2021 0.09
6227    LGV 5/10/2021 0.53
6228    LGVC 1/3/2022 0.16
6229    LGVCU 11/11/2021 0.08
6230    LGVCW 1/3/2022 0.08
6231    LGVW 7/13/2020 1.52
6232    LGVW.U 5/21/2020 0.17
6233    LHAA 3/5/2021 0.19
6234    LHB 12/3/2009 1.18
6235    LHC 4/16/2018 0.81
6236    LHC.U 2/13/2018 0.36
6237    LHCG 6/9/2005 39
6238    LHDX 2/5/2021 4.19
6239    LHO 4/24/1998 60
6240    LHO.H 1/31/2011 0.39
6241    LHO.I 3/7/2013 0.76
6242    LHO.J 5/25/2016 0.47
6243    LIAN 11/1/2021 4.2
6244    LIBY 12/27/2021 0.07
6245    LIBYU 11/4/2021 0.04
6246    LIBYW 12/27/2021 0.09
6247    LIFE 5/7/2015 13
6248    LIFW 10/21/2020 6.89
6249    LIFWW 5/24/2022 0.56
6250    LIFWZ 10/21/2020 0.55
6251    LIII 4/19/2021 0.18
6252    LILAR 9/10/2020 0.15
6253    LILAV 6/22/2015 0.01
6254    LILKV 6/23/2015 0.01
6255    LILM 9/15/2021 15
6256    LILMW 9/15/2021 0.74
6257    LINDW 7/2/2013 0.47
6258    LINTA 5/10/2006 37
6259    LINTB 5/10/2006 0.22
6260    LINU 2/22/2010 7.88
6261    LINX 6/26/2019 2.64
6262    LIONU 11/4/2021 0.04
6263    LIONW 12/7/2021 0.09
6264    LIOX 8/20/1999 33
6265    LIQD 7/26/2013 2.51
6266    LITT 8/12/2021 0.16
6267    LITTU 6/11/2021 0.08
6268    LITTW 8/11/2021 0.08
6269    LIV 10/15/2020 0.06
6270    LIVB 3/15/2022 0.03
6271    LIVBU 2/8/2022 0.03
6272    LIVBW 3/11/2022 0.03
6273    LIVK 1/14/2020 0.12
6274    LIVKU 12/11/2019 0.03
6275    LIVKW 1/14/2020 0.12
6276    LIVX 12/14/2017 7.1
6277    LIZ 1/2/1998 49
6278    LIZI 1/17/2020 6.46
6279    LJAQ 3/2/2021 0.15
6280    LJAQU 1/8/2021 0.14
6281    LJAQW 3/2/2021 0.12
6282    LJPC 5/14/2007 25
6283    LK 5/17/2019 5.98
6284    LKM 5/5/2011 21
6285    LKQX 10/6/2003 28
6286    LKSD 9/28/2016 9.82
6287    LL 11/9/2007 58
6288    LLAP 4/26/2021 11
6289    LLDM 12/24/2015 0.01
6290    LLEM 12/24/2015 0.01
6291    LLEX 10/26/2009 9.89
6292    LLIT 6/14/2010 6.45
6293    LLL 5/19/1998 79
6294    LLNW 6/8/2007 43
6295    LLQD 9/18/2017 0.08
6296    LLSC 6/29/2016 0.02
6297    LLSP 1/9/2015 0.16
6298    LLTC 1/2/1998 85
6299    LM 1/2/1998 82
6300    LMACA 3/16/2021 1
6301    LMACU 1/22/2021 0.91
6302    LMACW 3/15/2021 0.35
6303    LMAO 3/18/2021 0.21
6304    LMAOU 1/26/2021 0.13
6305    LMAOW 3/18/2021 0.21
6306    LMCA 1/10/2013 15
6307    LMCB 1/24/2013 0.02
6308    LMCK 7/8/2014 9.02
6309    LMDIA 3/4/2008 8.84
6310    LMDX 9/29/2021 3.99
6311    LMDXW 9/29/2021 0.22
6312    LMFAU 10/23/2015 0.01
6313    LMFAW 12/10/2015 0.12
6314    LMHA 3/24/2016 1.58
6315    LMHB 8/19/2016 2.81
6316    LMIA 6/30/1998 16
6317    LMLP 7/10/2014 1.98
6318    LMNL 11/18/2019 3.45
6319    LMNS 2/27/2014 1.87
6320    LMNX 4/6/2000 52
6321    LMOS 10/31/2011 9.93
6322    LMRK 11/14/2014 5.76
6323    LMRKN 4/20/2018 0.39
6324    LMRKO 8/31/2016 0.73
6325    LMRKP 3/31/2016 0.54
6326    LMST 5/16/2007 2.13
6327    LMZ 4/14/2010 0.03
6328    LN 7/14/2016 7.36
6329    LNBB 2/4/2002 1.97
6330    LNCE 1/2/1998 42
6331    LNCO 10/12/2012 15
6332    LNCR 1/2/1998 52
6333    LNDC 1/2/1998 28
6334    LNET 1/2/1998 21
6335    LNFA 1/7/2021 0.54
6336    LNFA.U 11/19/2020 0.15
6337    LNGG 9/22/2023 0.04
6338    LNGR 8/5/2016 0.41
6339    LNKD 5/19/2011 27
6340    LNY 12/14/1999 23
6341    LO 6/10/2008 31
6342    LOAC 10/16/2018 0.36
6343    LOACR 10/15/2018 0.1
6344    LOACU 8/29/2018 0.02
6345    LOACW 10/15/2018 0.24
6346    LOAK 5/28/2020 0.71
6347    LOAK.U 5/6/2020 0.16
6348    LOCC 11/15/2021 0.2
6349    LOCK 10/3/2012 16
6350    LOGM 7/1/2009 34
6351    LOGO 10/18/2017 0.02
6352    LOJN 1/2/1998 18
6353    LOKB 1/25/2021 0.77
6354    LOKB.U 12/3/2020 0.3
6355    LOKM 4/22/2021 0.12
6356    LON 4/26/2010 0.18
6357    LONE 7/5/2016 5.7
6358    LONG 10/28/2004 7.94
6359    LOOK 8/20/1999 19
6360    LOPX 7/22/2021 0.08
6361    LOR 6/28/2005 6.94
6362    LORL 12/8/2005 20
6363    LOTZ 5/9/2019 9.02
6364    LOTZW 4/15/2019 1.08
6365    LOV 2/14/2006 9.47
6366    LOWC 11/26/2014 0.45
6367    LOXO 8/1/2014 9.69
6368    LPAL 10/25/2011 0.03
6369    LPDX 1/25/2013 1.25
6370    LPH 11/27/2009 3.78
6371    LPHI 10/21/2003 13
6372    LPI 12/15/2011 43
6373    LPLT 10/20/2011 0.06
6374    LPNT 5/12/1999 63
6375    LPR 5/27/2011 5.99
6376    LPS 7/3/2008 22
6377    LPSB 10/15/2007 0.44
6378    LPT 1/2/1998 73
6379    LPTN 5/16/2007 3.25
6380    LQ 4/9/2014 16
6381    LQR 8/10/2023 3.19
6382    LRAD 8/4/2009 6.04
6383    LRET 5/6/2015 0.55
6384    LRY 1/2/1998 48
6385    LSAC 5/27/2020 0.08
6386    LSACU 3/6/2020 0.02
6387    LSACW 5/21/2020 0.05
6388    LSAQ 11/20/2020 0.23
6389    LSBG 5/16/2007 1.19
6390    LSBI 9/12/2005 0.21
6391    LSC 6/11/2008 1.65
6392    LSDI 2/9/2023 1.35
6393    LSG 2/13/2009 6.87
6394    LSI 8/15/2016 23
6395    LSKY 10/5/2011 0.02
6396    LSLT 3/13/2019 0.16
6397    LSPR 2/10/2022 0.02
6398    LSPRU 12/21/2021 0.02
6399    LSPRW 2/11/2022 0.03
6400    LSR 10/15/2003 1.75
6401    LSST 12/28/2017 0.45
6402    LSTK 9/9/2013 0.06
6403    LSTZA 11/20/2009 6.42
6404    LSVX 7/14/2016 0.03
6405    LSXMA 4/18/2016 29
6406    LSXMB 4/21/2016 0.07
6407    LSXMK 4/18/2016 31
6408    LSXMR 5/15/2020 0.18
6409    LTCHW 12/31/2020 0.74
6410    LTD 1/2/1998 65
6411    LTEA 10/29/2009 1
6412    LTHM 10/11/2018 24
6413    LTN 3/22/2018 0.05
6414    LTN.U 2/28/2018 0.03
6415    LTON 3/4/2004 10
6416    LTS 5/8/2001 28
6417    LTS.A 5/29/2013 3.23
6418    LTXB 5/16/2007 26
6419    LTXC 9/2/2008 15
6420    LTXX 1/2/1998 30
6421    LUB 1/2/1998 23
6422    LUFK 1/2/1998 27
6423    LUK 1/2/1998 64
6424    LUMO 11/11/2011 23
6425    LUXA 12/18/2020 1.04
6426    LUXAU 10/27/2020 0.39
6427    LUXAW 12/22/2020 0.43
6428    LUXE 11/25/2020 0.12
6429    LUXX 8/23/2023 0.03
6430    LVAC 12/22/2021 0.06
6431    LVACU 10/27/2021 0.04
6432    LVACW 12/17/2021 0.05
6433    LVB 1/2/1998 9.33
6434    LVGO 7/25/2019 5.88
6435    LVHB 10/21/2016 0.78
6436    LVHE 11/21/2016 0.16
6437    LVIN 5/11/2017 0.05
6438    LVL 6/25/2007 2.94
6439    LVLT 4/1/1998 84
6440    LVNTA 8/10/2012 19
6441    LVNTB 5/5/2015 0.01
6442    LVOX 4/18/2019 4.17
6443    LVOXU 3/8/2019 0.07
6444    LVOXW 4/17/2019 0.69
6445    LVRA 5/14/2021 0.16
6446    LVRAU 3/19/2021 0.08
6447    LVRAW 5/14/2021 0.12
6448    LVUS 5/11/2017 0.07
6449    LWAC 3/1/2021 0.11
6450    LWACU 1/8/2021 0.1
6451    LWACW 3/1/2021 0.08
6452    LWC 3/11/2009 3.03
6453    LWPE 5/19/2011 0.02
6454    LWSN 1/31/2002 28
6455    LXFT 6/26/2013 13
6456    LXK 1/2/1998 74
6457    LYFE 11/18/2020 0.18
6458    LYG.A 7/22/2010 5.31
6459    LYL 10/20/2017 2.55
6460    LYLT 11/2/2021 3.9
6461    LZEN 11/19/2010 0.13
6462    MAAC 12/8/2020 0.68
6463    MAACU 10/7/2020 0.24
6464    MAACW 12/9/2020 0.38
6465    MAAQ 1/14/2022 0.03
6466    MAAQR 1/14/2022 0.04
6467    MAAQU 11/23/2021 0.02
6468    MAAQW 1/14/2022 0.02
6469    MAAX 5/16/2019 0.14
6470    MAB 8/26/2005 0.86
6471    MACA 4/7/2021 0.11
6472    MACAU 2/17/2021 0.11
6473    MACAW 4/9/2021 0.11
6474    MACC 5/18/2007 0.21
6475    MACIU 6/18/2024 0.03
6476    MACK 3/29/2012 26
6477    MACQ 12/6/2016 0.31
6478    MACQU 9/14/2016 0.24
6479    MACQW 11/14/2016 0.25
6480    MACU 12/11/2020 0.08
6481    MACUU 10/27/2020 0.03
6482    MACUW 11/30/2020 0.18
6483    MAGQ 2/29/2024 0.03
6484    MAKO 2/20/2008 16
6485    MALL 1/2/1998 16
6486    MAMS 7/11/2007 0.9
6487    MANT 2/7/2002 48
6488    MAQC 6/7/2021 0.29
6489    MAQCU 5/5/2021 0.05
6490    MARX 3/14/2023 0.1
6491    MARXR 3/14/2023 0.05
6492    MARXU 2/14/2023 0.04
6493    MASB 1/2/1998 0.89
6494    MASC 3/25/2009 2.24
6495    MATF 5/12/2016 0.05
6496    MATK 1/2/1998 33
6497    MATL 6/15/2011 0.65
6498    MATR 2/16/2000 8.33
6499    MATS 6/15/2011 0.24
6500    MAUI 6/1/2015 0.07
6501    MAXR 7/13/2009 21
6502    MAXY 12/16/1999 24
6503    MAY 6/20/2007 2.09
6504    MB 6/19/2015 10
6505    MBA 4/11/2008 0.2
6506    MBAC 4/26/2021 0.41
6507    MBF 5/14/2012 0.04
6508    MBFI 3/1/1999 43
6509    MBFIO 11/27/2017 0.43
6510    MBFIP 6/9/2015 0.15
6511    MBG 1/30/2009 2.69
6512    MBHI 6/3/1998 11
6513    MBII 8/2/2013 12
6514    MBINO 8/19/2019 1.15
6515    MBINP 3/29/2019 0.33
6516    MBIS 2/24/2009 1.85
6517    MBL 5/10/2012 0.01
6518    MBLX 11/10/2006 17
6519    MBNAA 8/29/2018 0.01
6520    MBNAB 8/29/2018 0.01
6521    MBRG 3/2/2006 2.23
6522    MBRK 6/29/2007 4.6
6523    MBSC 12/13/2021 0.14
6524    MBT 6/30/2000 84
6525    MBTC 5/13/2021 0.08
6526    MBTCR 5/3/2021 0.1
6527    MBTCU 3/31/2021 0.06
6528    MBTF 5/1/2003 8.24
6529    MBVT 1/2/1998 3.84
6530    MBVX 8/17/2016 1.62
6531    MCA 1/2/1998 16
6532    MCAA 12/29/2021 0.11
6533    MCAAU 11/5/2021 0.04
6534    MCAAW 12/29/2021 0.11
6535    MCAC 8/31/2020 0.63
6536    MCACR 8/27/2020 0.13
6537    MCACU 6/5/2020 0.06
6538    MCACW 7/5/2022 0.04
6539    MCAD 3/17/2021 0.12
6540    MCADR 3/24/2021 0.13
6541    MCADU 1/8/2021 0.08
6542    MCAE 6/23/2021 0.09
6543    MCAER 6/21/2021 0.11
6544    MCAEU 5/18/2021 0.02
6545    MCAF 7/29/2021 0.2
6546    MCAFR 7/29/2021 0.1
6547    MCAFU 6/30/2021 0.07
6548    MCAG 12/3/2021 0.06
6549    MCBC 12/23/1999 17
6550    MCBF 9/3/2002 0.62
6551    MCC 1/21/2011 21
6552    MCCC 3/13/2000 27
6553    MCEF 9/29/2016 0.27
6554    MCEP 12/15/2011 9.57
6555    MCF 1/18/2001 33
6556    MCFE 10/22/2020 5.42
6557    MCG 7/15/2021 3.67
6558    MCGC 11/30/2001 39
6559    MCLD 11/24/2021 0.93
6560    MCLDP 12/30/2022 0.01
6561    MCLDW 2/15/2022 0.04
6562    MCMJ 12/12/2019 1.02
6563    MCMJU 11/5/2019 0.01
6564    MCMJW 12/12/2019 0.35
6565    MCOX 10/26/2010 3.28
6566    MCP 7/29/2010 24
6567    MCQ 3/23/2012 0.33
6568    MCRL 1/2/1998 57
6569    MCRN 6/25/2015 12
6570    MCRO 6/9/2009 0.81
6571    MCRS 1/2/1998 44
6572    MCUR 7/31/2014 1.78
6573    MCV 3/22/2013 0.72
6574    MCX 12/24/2015 0.49
6575    MCZ 9/17/2001 14
6576    MDA 10/28/2008 0.11
6577    MDAS 12/13/2007 26
6578    MDC 1/2/1998 87
6579    MDCA 8/1/2005 28
6580    MDCI 1/2/1998 18
6581    MDCO 8/8/2000 66
6582    MDD 5/22/2008 0.93
6583    MDF 11/22/2004 11
6584    MDGN 4/8/2011 5.12
6585    MDGS 8/5/2015 6.6
6586    MDGSW 7/23/2018 0.16
6587    MDH 12/17/2004 2.22
6588    MDIAV 1/6/2020 0.01
6589    MDJH 1/8/2019 1.91
6590    MDLA 7/19/2019 9.54
6591    MDLL 7/29/2014 0.04
6592    MDLQ 2/14/2017 1.09
6593    MDLX 8/19/2016 1.12
6594    MDLY 9/24/2014 5.11
6595    MDM 5/11/2000 2.9
6596    MDMD 8/11/2010 1.16
6597    MDNA 9/20/2017 2.97
6598    MDP 1/2/1998 69
6599    MDR 1/2/1998 80
6600    MDRRP 2/13/2020 0.09
6601    MDS 1/30/1998 16
6602    MDSO 6/25/2009 31
6603    MDSY 5/16/2007 6.59
6604    MDTH 8/1/2001 19
6605    MDTL 6/23/2000 14
6606    MDVA 9/20/2021 0.1
6607    MDVL 3/4/2011 6.37
6608    MDVN 3/20/2007 37
6609    MDVXW 2/6/2015 0.07
6610    MDW 1/3/2008 12
6611    MDWT 9/2/2015 0.55
6612    MEA 8/17/2005 20
6613    MEAC 9/17/2021 0.07
6614    MEACU 7/28/2021 0.07
6615    MEACW 9/20/2021 0.06
6616    MEAD 1/2/1998 4.89
6617    MEAS 9/13/2005 13
6618    MEDQ 3/10/2006 2.03
6619    MEDS 2/13/2020 3.91
6620    MEDW 1/2/1998 2.55
6621    MEE 12/1/2000 40
6622    MEET 10/24/2006 29
6623    MEILW 11/13/2014 0.01
6624    MEILZ 11/19/2014 0.01
6625    MEKA 9/29/2021 0.51
6626    MELA 3/9/2006 14
6627    MELR 10/22/2014 0.2
6628    MELT 7/29/2016 0.17
6629    MEME 12/8/2021 0.17
6630    MEMP 12/9/2011 15
6631    MEN 1/2/1998 14
6632    MEND 6/16/2005 8.63
6633    MENT 1/2/1998 68
6634    MENV 5/16/2007 0.46
6635    MEOA 10/18/2021 0.05
6636    MEOAU 8/26/2021 0.03
6637    MEOAW 10/18/2021 0.07
6638    MEP 11/7/2013 5.3
6639    MER 1/12/2007 11
6640    MER.D 5/16/2007 6.13
6641    MER.E 5/16/2007 4
6642    MER.F 5/16/2007 6.72
6643    MER.M 5/16/2007 8.28
6644    MER.P 8/29/2007 6.88
6645    MERU 3/31/2010 7.56
6646    MES 8/21/2008 1.16
6647    MESG 10/18/2012 7.33
6648    MET.B 5/16/2007 10
6649    METR 6/15/2009 5.06
6650    METX 10/17/2018 11
6651    METXW 5/28/2020 0.38
6652    MEUSW 6/17/2021 0.41
6653    MEXS 5/5/2011 0.01
6654    MF 6/25/2021 5.43
6655    MFAC 9/21/2018 0.53
6656    MFAC.U 8/24/2018 0.06
6657    MFB 7/22/2005 20
6658    MFCB 7/15/2010 8.86
6659    MFD 3/26/2004 10
6660    MFE 7/1/2004 28
6661    MFGLQ 7/20/2007 18
6662    MFGP 8/17/2017 19
6663    MFINL 4/22/2016 0.26
6664    MFL 1/2/1998 19
6665    MFLA 11/30/2010 0.03
6666    MFLR 10/25/2006 0.22
6667    MFN 1/21/2003 19
6668    MFNC 8/11/2006 1.76
6669    MFO 4/17/2012 1.58
6670    MFRI 1/5/1998 4.46
6671    MFRM 11/18/2011 12
6672    MFS 2/18/2016 3.6
6673    MFSA 6/12/2013 0.01
6674    MFSF 12/30/1999 2.8
6675    MFT 1/2/1998 6.5
6676    MFV 1/2/1998 4.88
6677    MFW 1/2/1998 15
6678    MGCD 7/15/2003 4.3
6679    MGEN 6/18/2014 8.9
6680    MGH 2/1/2007 5.05
6681    MGI 8/12/2004 55
6682    MGJ 5/10/2012 0.02
6683    MGLN 2/25/2004 48
6684    MGN 3/24/2004 7.88
6685    MGP 4/20/2016 22
6686    MGT 4/13/2006 4.66
6687    MGTA 6/21/2018 8.33
6688    MGU 8/26/2005 16
6689    MH.A 8/31/2012 2.15
6690    MH.C 1/15/2010 1.81
6691    MH.D 6/19/2017 1.32
6692    MHC 5/10/2012 0.03
6693    MHE 8/14/2002 1.12
6694    MHFI 1/2/1998 71
6695    MHG 1/28/2014 4.34
6696    MHGC 2/14/2006 21
6697    MHLDO 9/30/2013 0.29
6698    MHM 3/30/2011 0.07
6699    MHNA 7/27/2011 0.72
6700    MHNB 3/29/2012 0.99
6701    MHO.A 5/16/2007 0.54
6702    MHP 1/2/1998 59
6703    MHR 8/2/2006 24
6704    MHR.C 12/14/2009 1.76
6705    MHR.D 3/21/2011 1.91
6706    MHR.E 12/13/2012 0.36
6707    MHS 8/21/2003 38
6708    MHW 5/11/2010 0.09
6709    MHY 1/2/1998 19
6710    MIC 12/16/2004 56
6711    MICC 4/7/1999 30
6712    MICR 4/16/2007 2.16
6713    MICS 5/24/2022 1.31
6714    MICT 3/20/2013 9.52
6715    MICTW 11/21/2014 0.1
6716    MIDF 6/6/2019 0.13
6717    MIDZ 1/9/2009 6.78
6718    MIE 3/26/2013 13
6719    MIFI 5/1/2007 26
6720    MIGP 12/16/2003 2.48
6721    MIII 10/6/2016 0.09
6722    MIIIU 7/7/2016 0.08
6723    MIIIW 8/30/2016 0.15
6724    MIK 6/27/2014 28
6725    MIL 7/15/2010 8.07
6726    MILE 11/9/2020 6.85
6727    MILEW 11/20/2020 0.78
6728    MILL 12/31/1998 13
6729    MILL.C 10/8/2012 0.95
6730    MILL.D 10/1/2013 0.68
6731    MIM 9/29/2003 12
6732    MIME 11/19/2015 20
6733    MIMO 11/19/2020 3.5
6734    MINC 3/20/2013 2.42
6735    MINDP 6/14/2016 0.88
6736    MINI 1/2/1998 48
6737    MIPI 2/2/2007 3.57
6738    MIPS 6/30/1998 35
6739    MIRN 10/1/2015 0.58
6740    MIRO 6/24/2021 0.97
6741    MIT 3/22/2021 0.49
6742    MITA 8/17/2021 0.12
6743    MITAU 6/23/2021 0.1
6744    MITAW 8/17/2021 0.09
6745    MITC 3/12/2021 0.9
6746    MITL 4/22/2010 16
6747    MITO 2/15/2019 3.97
6748    MIW 7/19/2006 0.59
6749    MIXT 8/9/2013 8.6
6750    MJC 5/14/2012 0.03
6751    MJCO 6/29/2015 1.14
6752    MJH 1/4/2007 0.53
6753    MJI 1/2/1998 3.27
6754    MJIN 10/6/2021 0.08
6755    MJJ 12/11/2019 0.1
6756    MJN 2/11/2009 35
6757    MJO 12/11/2019 0.15
6758    MJUS 5/13/2021 1.13
6759    MJXL 7/7/2021 0.26
6760    MKD 12/31/2019 7.59
6761    MKF 5/10/2012 0.01
6762    MKGI 2/22/2018 1.89
6763    MKH 8/30/2000 1.43
6764    MKN 6/18/2012 0.01
6765    MKS 11/25/2005 0.65
6766    MKTG 4/21/2011 7.08
6767    MKTO 5/17/2013 10
6768    MKTWW 9/14/2020 0.54
6769    MKTY 4/24/2007 2.71
6770    MKTYP 8/20/2021 0.06
6771    MKUL 11/24/2021 3.81
6772    MKV 9/7/2006 1.46
6773    MKZ 5/10/2012 0.01
6774    MLA 10/9/2009 0.04
6775    MLACW 8/6/2020 0.35
6776    MLAI 12/23/2021 0.04
6777    MLAIU 11/3/2021 0.05
6778    MLAIW 12/23/2021 0.03
6779    MLG 12/12/2003 2.29
6780    MLHR 1/2/1998 73
6781    MLND 11/12/2012 16
6782    MLNT 2/6/2012 21
6783    MLNX 2/8/2007 42
6784    MLPC 9/26/2013 0.82
6785    MLPE 8/10/2016 0.08
6786    MLPG 7/14/2010 0.65
6787    MLPI 4/1/2010 21
6788    MLPJ 1/15/2013 0.43
6789    MLPL 7/7/2010 4.71
6790    MLPN 4/14/2010 6.35
6791    MLPO 10/3/2018 0.19
6792    MLPQ 2/9/2016 1.89
6793    MLPS 9/29/2010 0.38
6794    MLPV 7/20/2015 0.05
6795    MLPW 11/16/2010 0.52
6796    MLPY 3/17/2011 1.01
6797    MLPZ 2/9/2016 0.2
6798    MLQD 9/14/2017 0.06
6799    MLTI 9/30/2015 0.08
6800    MLU 3/14/2011 1.51
6801    MLVF 5/21/2008 1.6
6802    MM 3/29/2012 13
6803    MMAC 2/6/2008 3.55
6804    MMAT 6/28/2021 17
6805    MMDM 6/7/2017 0.2
6806    MMDMR 6/7/2017 0.1
6807    MMDMU 5/12/2017 0.04
6808    MMDMW 6/7/2017 0.08
6809    MMF 5/31/2012 0.05
6810    MMMB 5/22/2013 1.93
6811    MMP 9/2/2003 68
6812    MMPI 1/25/2007 4.03
6813    MMR 11/18/1998 35
6814    MMSB 7/26/2022 0.01
6815    MMUS 4/15/2005 1.05
6816    MMV 11/15/2004 3.14
6817    MMVWW 6/10/2021 0.33
6818    MMX 6/25/2019 6.13
6819    MN 11/18/2011 13
6820    MNCL 2/7/2019 0.2
6821    MNCLU 2/7/2019 0.02
6822    MNCLW 2/28/2019 0.34
6823    MNDL 11/21/2007 2.58
6824    MNDT 9/20/2013 43
6825    MNE 7/30/2003 2.61
6826    MNEL 5/11/2011 0.3
6827    MNGA 11/19/2008 12
6828    MNGLU 7/15/2011 0.01
6829    MNI 1/2/1998 38
6830    MNK 6/17/2013 33
6831    MNLO 1/25/2018 4.64
6832    MNM 12/16/2021 0.41
6833    MNP 1/2/1998 7.6
6834    MNR.A 11/27/2009 0.22
6835    MNR.B 6/7/2012 0.25
6836    MNR.C 9/14/2016 2.74
6837    MNRK 5/10/2006 1.76
6838    MNRKP 12/1/2009 0.04
6839    MNRL 4/18/2019 10
6840    MNRTA 1/2/1998 4.24
6841    MNT 1/2/1998 19
6842    MNTA 6/22/2004 52
6843    MNTG 1/2/1998 18
6844    MNTV 9/26/2018 17
6845    MNTX 5/28/2008 13
6846    MOBI 12/10/2010 9.33
6847    MOBL 5/1/2007 19
6848    MOBV 9/26/2022 0.13
6849    MOBVU 8/4/2022 0.05
6850    MOBVW 9/26/2022 0.04
6851    MOC 6/8/2007 1.62
6852    MOCO 1/2/1998 2.42
6853    MODN 3/20/2013 23
6854    MOGLC 12/1/2016 0.01
6855    MOHO 11/8/2019 4.11
6856    MOHR 11/3/2021 0.48
6857    MOKO 10/1/2013 0.16
6858    MOL 5/10/2012 0.03
6859    MOLG 10/9/2014 1.13
6860    MOLX 3/24/2005 36
6861    MOLXA 3/24/2005 20
6862    MOM 9/7/2011 0.56
6863    MON 10/18/2000 76
6864    MONCU 1/14/2021 0.17
6865    MONCW 3/16/2021 0.13
6866    MONDW 3/22/2021 0.22
6867    MONT 9/26/2013 2.58
6868    MONY 2/17/2012 0.13
6869    MOON 11/12/2020 3.31
6870    MOR 4/7/2006 7.01
6871    MORE 8/1/2023 0.01
6872    MORF 6/27/2019 10
6873    MORL 10/17/2012 13
6874    MOSC 10/19/2017 0.35
6875    MOSC.U 10/19/2017 0.09
6876    MOSY 7/17/2001 28
6877    MOT 1/2/1998 62
6878    MOTN 12/17/2020 0.27
6879    MOTNU 10/15/2020 0.07
6880    MOTNW 12/17/2020 0.09
6881    MOTR 6/18/2010 7.5
6882    MOTV 2/1/2021 0.73
6883    MOTV.U 12/11/2020 0.44
6884    MOU 1/24/2012 0.03
6885    MOXC 4/10/2014 5.4
6886    MP.D 6/4/2007 0.31
6887    MPAC 10/15/2003 1.49
6888    MPACR 6/11/2021 0.07
6889    MPACU 3/10/2017 0.15
6890    MPACW 5/5/2017 0.18
6891    MPCT 4/22/2016 0.13
6892    MPE 4/28/2009 0.09
6893    MPEL 12/19/2006 48
6894    MPET 1/2/1998 12
6895    MPG 12/12/2014 4.42
6896    MPJ 10/9/2003 1.03
6897    MPO 4/20/2012 15
6898    MPR 6/18/1998 7.73
6899    MPRA 12/29/2021 0.07
6900    MPRAU 11/4/2021 0.05
6901    MPRAW 12/29/2021 0.09
6902    MPS 10/6/1998 30
6903    MPSX 10/22/2015 3.09
6904    MPVD 5/16/2007 4.14
6905    MQC 5/25/2010 0.02
6906    MR 6/20/2014 21
6907    MRAC 2/4/2021 0.39
6908    MRACU 12/15/2020 0.21
6909    MRACW 2/4/2021 0.17
6910    MRAD 12/31/2020 0.1
6911    MRCCL 9/18/2018 0.27
6912    MRD 6/13/2014 9.46
6913    MRDB 12/19/2022 1.29
6914    MRDN 5/16/2007 0.91
6915    MRDNW 1/25/2017 0.03
6916    MRF 1/2/1998 3.23
6917    MRH 10/10/2002 41
6918    MRH.A 5/12/2011 0.9
6919    MRIC 5/21/2012 1.59
6920    MRKT 6/19/2014 6.38
6921    MRLN 11/12/2003 12
6922    MRND 2/8/2022 0.02
6923    MRO 1/2/1998 134
6924    MRRL 10/9/2015 2.54
6925    MRTX 7/15/2013 28
6926    MRVC 1/2/1998 36
6927    MS.G 5/1/2014 3.51
6928    MSAC 4/7/2021 0.13
6929    MSACW 4/8/2021 0.05
6930    MSBF 6/21/2007 0.73
6931    MSCA 4/8/2013 0.47
6932    MSCC 1/2/1998 66
6933    MSCS 9/5/2006 8.88
6934    MSDA 5/25/2021 0.24
6935    MSDAU 3/25/2021 0.22
6936    MSDAW 5/27/2021 0.14
6937    MSDI 7/8/2016 1.22
6938    MSDIW 7/8/2016 0.05
6939    MSDXP 8/20/2001 0.15
6940    MSF 1/2/1998 9.09
6941    MSFG 5/10/2002 14
6942    MSG 2/10/2010 28
6943    MSGN 2/10/2010 38
6944    MSGR 12/9/2021 0.1
6945    MSHL 12/18/2003 2.9
6946    MSJ 2/3/2006 8.76
6947    MSK 5/16/2007 7.98
6948    MSL 9/7/2006 5.56
6949    MSLI 5/16/2007 1.57
6950    MSO 10/19/1999 40
6951    MSON 1/2/1998 7.46
6952    MSP 4/27/2005 9.13
6953    MSPD 12/15/2003 26
6954    MSPRV 5/24/2022 0.01
6955    MSSAU 4/1/2022 0.03 METAL SKY STAR ACQUISITION CORPORATION UNIT Blank Checks Finance
6956    MSSR 7/20/2004 10
6957    MSUS 4/4/2018 0.05
6958    MSVX 5/15/2020 0.38
6959    MSY 1/2/1998 4.79
6960    MSZ 11/9/2006 9.73
6961    MTAC 2/8/2021 0.42
6962    MTACU 12/18/2020 0.27
6963    MTACW 2/8/2021 0.22
6964    MTB.C 8/29/2012 0.02
6965    MTBC 7/23/2014 7.17
6966    MTBCO 2/3/2022 0.09
6967    MTBCP 4/25/2016 1.57
6968    MTBL 5/4/2011 26
6969    MTCN 1/22/2013 2.16
6970    MTCR 9/16/2020 4.16
6971    MTE 10/9/2003 12
6972    MTEC 2/26/2018 0.22
6973    MTECU 1/30/2018 0.03
6974    MTECW 2/27/2018 0.07
6975    MTFB 11/18/2016 1.07
6976    MTFBW 11/18/2016 0.06
6977    MTGE 8/4/2011 22
6978    MTGEP 5/19/2014 0.39
6979    MTK 10/2/2000 4.71
6980    MTL 10/29/2004 47
6981    MTMT 5/16/2007 4.88
6982    MTOR 4/30/2007 60
6983    MTOX 2/16/2006 5.11
6984    MTP 12/7/2015 4.99
6985    MTRY 11/22/2021 0.04
6986    MTRYU 10/1/2021 0.04
6987    MTRYW 11/22/2021 0.08
6988    MTS 1/2/1998 4.26
6989    MTSC 1/7/2003 32
6990    MTSL 12/5/2005 4.5
6991    MTSN 1/2/1998 39
6992    MTT 3/27/2009 5.81
6993    MTTRW 2/2/2021 1.01
6994    MTU 4/2/2001 47
6995    MTVC 1/27/2022 0.13
6996    MTVR 10/28/2021 0.19
6997    MTXX 6/20/2002 12
6998    MTY 5/10/2012 0.04
6999    MUAA 1/14/2010 0.16
7000    MUAB 1/14/2010 0.23
7001    MUAC 1/14/2010 0.43
7002    MUAD 1/14/2010 0.41
7003    MUAE 1/14/2010 0.42
7004    MUAF 1/14/2010 0.48
7005    MUAG 3/26/2013 0.18
7006    MUAH 2/7/2014 0.04
7007    MUDS 3/12/2018 2.47
7008    MUDSU 2/8/2018 0.3
7009    MUDSW 3/12/2018 1.05
7010    MUH 3/3/1998 7.19
7011    MUK 5/11/2012 0.03
7012    MULE 3/17/2017 4.26
7013    MULT 6/1/2015 0.01
7014    MURF 3/28/2022 0.09
7015    MURFU 2/3/2022 0.02
7016    MURFW 3/31/2022 0.04
7017    MUS 5/4/1998 9.49
7018    MUTE 1/14/2019 0.18
7019    MV 11/2/2007 7.72
7020    MVC 6/26/2000 18
7021    MVCB 3/1/2013 0.53
7022    MVCD 11/20/2017 0.52
7023    MVG 7/9/2007 11
7024    MVIN 10/27/2016 0.19
7025    MVISW 5/30/2012 0.02
7026    MVL 10/2/1998 32
7027    MVLAW 4/13/2021 0.23
7028    MVNR 11/7/2013 2.67
7029    MVP 3/17/2021 0.13
7030    MVSN 1/2/1998 34
7031    MW 10/2/2000 55
7032    MWE 5/22/2002 32
7033    MWIV 8/3/2005 15
7034    MWJ 1/8/2009 6.73
7035    MWK 6/12/2019 2.7
7036    MWN 1/9/2009 3.62
7037    MWO 10/9/2003 7.19
7038    MWR 3/26/2003 11
7039    MWRX 6/27/2013 0.07
7040    MWV 1/30/2002 56
7041    MWW 4/27/2007 38
7042    MWY 1/2/1998 19
7043    MXA 1/2/1998 1.16
7044    MXB 11/15/2007 9.71
7045    MXDE 3/27/2018 0.08
7046    MXDU 9/19/2017 0.17
7047    MXGL 5/7/2007 11
7048    MXH 9/19/2008 0.01
7049    MXIM 1/2/1998 104
7050    MXN 5/25/2006 0.45
7051    MXPT 3/6/2015 1.73
7052    MXT 10/19/2007 1.4
7053    MXWL 1/2/1998 37
7054    MY 10/4/2010 14
7055    MYC 1/2/1998 12
7056    MYCC 9/20/2013 12
7057    MYF 1/2/1998 8.22
7058    MYJ 1/2/1998 8.73
7059    MYL 1/2/1998 96
7060    MYM 1/2/1998 4.14
7061    MYMD 1/23/2014 17
7062    MYNDW 7/14/2017 0.04
7063    MYOK 10/29/2015 12
7064    MYOS 2/24/2010 3.1
7065    MYOV 10/27/2016 16
7066    MYP 5/10/2012 0.04
7067    MYT 2/20/2019 4.01
7068    MZA 1/2/1998 2.19
7069    MZF 2/7/2018 0.18
7070    MZG 8/23/2007 0.04
7071    MZN 8/23/2007 0.03
7072    MZO 8/23/2007 0.04
7073    MZOR 5/28/2013 11
7074    N 12/20/2007 29
7075    NAAC 3/18/2021 0.41
7076    NAACU 1/22/2021 0.22
7077    NAACW 3/16/2021 0.19
7078    NABI 1/2/1998 31
7079    NADL 1/29/2014 8.91
7080    NAFC 5/30/2003 22
7081    NAGS 2/1/2011 0.2
7082    NAI 4/27/2005 6.4
7083    NAKD 2/12/2013 21
7084    NAL 3/13/2007 17
7085    NAME 7/23/2014 2.58
7086    NANO 1/2/1998 38
7087    NAO 6/12/2014 7.17
7088    NAP 9/3/2015 3.59
7089    NAPA 3/18/2021 12
7090    NARA 7/7/2005 16
7091    NASH 8/1/2013 0.17
7092    NASI 5/19/2010 0.07
7093    NATI 1/2/1998 76
7094    NAV 6/30/2008 51
7095    NAV.D 6/30/2008 0.08
7096    NAVG 2/6/2002 21
7097    NAVR 1/2/1998 20
7098    NBA 11/19/2020 0.32
7099    NBA.U 10/30/2020 0.06
7100    NBAC 5/1/2020 1.2
7101    NBACR 4/30/2020 0.21
7102    NBACU 2/14/2020 0.06
7103    NBACW 4/30/2020 0.57
7104    NBBC 8/1/2007 4.19
7105    NBCB 5/10/2013 2.2
7106    NBCT 4/7/2022 0.05
7107    NBD 11/24/2010 2.83
7108    NBEV 8/7/2014 21
7109    NBG 10/20/1999 36
7110    NBG.A 7/2/2008 4.92
7111    NBGR 10/25/2023 0.01
7112    NBJ 6/27/2006 0.51
7113    NBL 1/2/1998 88
7114    NBLX 9/15/2016 9.55
7115    NBO 9/26/2002 4.19
7116    NBR.A 5/17/2018 0.96
7117    NBRV 6/23/2017 15
7118    NBS 8/9/2007 12
7119    NBSE 10/5/2009 15
7120    NBSTW 5/18/2021 0.17
7121    NBTF 5/16/2005 0.24
7122    NBW 10/22/2002 5.55
7123    NCAC 12/10/2021 0.07
7124    NCACU 10/20/2021 0.05
7125    NCACW 12/10/2021 0.1
7126    NCB 4/28/2009 1.76
7127    NCBC 6/30/2006 0.31
7128    NCBS 5/17/2013 3.29
7129    NCC 12/31/2007 4.71
7130    NCFT 11/7/2013 1.35
7131    NCIT 10/24/2005 11
7132    NCNC 8/28/2023 3.07
7133    NCNCW 8/28/2023 0.06
7134    NCO 1/2/1998 2.62
7135    NCOC 4/22/2005 5.8
7136    NCOM 3/19/2015 2.62
7137    NCP 1/2/1998 3.69
7138    NCQ 5/1/2012 4.37
7139    NCR 1/2/1998 100
7140    NCS 8/13/1998 49
7141    NCT 10/10/2002 47
7142    NCT.B 5/16/2007 0.95
7143    NCT.C 5/16/2007 0.42
7144    NCT.D 5/16/2007 0.56
7145    NCU 1/2/1998 1.97
7146    NDAC 4/23/2021 0.4
7147    NDACU 3/2/2021 0.33
7148    NDACW 4/22/2021 0.17
7149    NDJI 12/17/2021 0.37
7150    NDN 1/2/1998 40
7151    NDP 7/27/2012 9.21
7152    NDRAU 5/9/2017 0.01
7153    NDRAW 6/28/2017 0.33
7154    NDRM 11/14/2014 5.18
7155    NDRO 11/3/2011 7.59
7156    NDZ 2/26/2010 9.18
7157    NEBC 2/1/2021 0.62
7158    NEBCU 12/9/2020 0.25
7159    NEBCW 2/4/2021 0.17
7160    NEBS 1/30/2006 0.43
7161    NEBU 3/6/2018 0.23
7162    NEBUU 1/10/2018 0.07
7163    NEBUW 3/22/2018 0.06
7164    NED 10/19/2007 4.48
7165    NEE.C 11/27/2009 2.29
7166    NEE.G 4/11/2012 3.06
7167    NEE.H 6/19/2012 2.89
7168    NEE.I 11/26/2012 5.13
7169    NEE.J 1/22/2013 4.83
7170    NEE.K 6/9/2016 4.45
7171    NEE.O 9/13/2012 1.52
7172    NEE.P 9/27/2013 1.8
7173    NEE.Q 9/18/2015 1.88
7174    NEED 11/29/2018 0.41
7175    NEFF 11/21/2014 3.42
7176    NEI 2/11/2010 4.29
7177    NEOP 7/28/1999 5.99
7178    NEOS 7/23/2015 11
7179    NEOT 11/20/2014 3.42
7180    NEP 6/27/2014 35
7181    NEPT 8/13/2007 25
7182    NES 11/21/2007 25
7183    NETC 1/2/1998 18
7184    NETE 11/22/2010 11
7185    NETI 12/12/2013 28
7186    NETS 4/12/2017 2.29
7187    NETZ 2/3/2022 0.42
7188    NEV 10/12/2009 10
7189    NEW 6/15/2018 7.76
7190    NEWA 7/28/2017 2.27
7191    NEWL 12/21/2009 6.25
7192    NEWM 2/4/2014 18
7193    NEWN 11/18/2009 2.74
7194    NEWR 12/12/2014 30
7195    NEWS 12/14/2006 15
7196    NEWTL 4/25/2016 0.44
7197    NEX 10/31/2019 15
7198    NFC 6/28/2018 0.18
7199    NFC.U 6/28/2018 0.05
7200    NFEC 8/26/2009 3.11
7201    NFH 6/28/2018 2.64
7202    NFIN 8/14/2019 0.99
7203    NFINU 7/31/2019 0.06
7204    NFINW 8/14/2019 0.63
7205    NFM 3/20/2001 0.85
7206    NFNT 1/10/2022 0.15
7207    NFO 9/21/2006 3.34
7208    NFP 9/18/2003 29
7209    NFS 12/6/2007 3.96
7210    NFSB 7/7/2006 0.25
7211    NFTG 2/15/2023 1.1
7212    NFTZ 12/2/2021 0.29
7213    NFX 1/2/1998 75
7214    NFYS 11/30/2021 0.13
7215    NFZ 2/2/2001 0.5
7216    NGA 7/2/2003 9.28
7217    NGA.U 8/18/2020 0.33
7218    NGAB 3/5/2021 0.42
7219    NGAC 12/8/2020 1.61
7220    NGACU 10/7/2020 0.32
7221    NGACW 12/7/2020 0.54
7222    NGB 3/20/2001 0.71
7223    NGC 5/18/2021 0.1
7224    NGCA 5/19/2021 1.29
7225    NGCAU 3/23/2021 0.19
7226    NGCAW 5/21/2021 0.4
7227    NGE 4/3/2013 4.13
7228    NGHC 2/20/2014 17
7229    NGHCN 7/11/2016 1.78
7230    NGHCO 3/30/2015 2.08
7231    NGHCP 6/20/2014 0.6
7232    NGHCZ 8/20/2015 0.96
7233    NGK 9/13/2002 0.42
7234    NGLS 2/9/2007 29
7235    NGLS.A 10/20/2015 1.6
7236    NGM 4/4/2019 11
7237    NGMS 11/19/2020 5.26
7238    NGO 9/27/2002 0.81
7239    NGPC 11/10/2004 15
7240    NGSX 5/2/2007 3.27
7241    NGT 1/2/1998 3.02
7242    NGX 11/4/2005 0.79
7243    NGZ 10/2/2007 4.1
7244    NH 6/2/2016 9.64
7245    NHA 1/27/2016 0.92
7246    NHC.A 11/1/2007 0.38
7247    NHF 6/26/2006 29
7248    NHF.A 1/8/2021 0.24
7249    NHIC 9/22/2020 0.71
7250    NHICW 9/22/2020 0.34
7251    NHLD 3/3/2015 1.1
7252    NHLDW 1/23/2017 0.11
7253    NHP 1/2/1998 37
7254    NHTB 7/14/2006 0.81
7255    NHWK 2/9/2006 30
7256    NI.B 1/4/2019 3.36
7257    NIB 6/25/2008 6.41
7258    NICK 5/4/1999 6.4
7259    NID 12/6/2012 10
7260    NIF 1/2/1998 4.58
7261    NIFE 6/11/2020 0.11
7262    NIHD 2/28/2003 60
7263    NIHDQ 2/28/2003 47
7264    NII 9/27/2002 0.78
7265    NILE 5/20/2004 57
7266    NILE.D 6/7/2022 0.02
7267    NIMC 4/22/2021 0.42
7268    NINI 5/30/2012 0.1
7269    NIQ 2/8/2013 3.78
7270    NIR 3/1/2021 2.15
7271    NIRWW 3/1/2021 0.24
7272    NIV 3/13/2009 3.27
7273    NIWM 6/28/2022 0.03
7274    NJ 3/11/2002 11
7275    NJV 4/28/2009 1.36
7276    NK 7/28/2015 14
7277    NKA 5/12/2010 9.69
7278    NKBP 12/10/2009 0.59
7279    NKEL 7/14/2022 0.04
7280    NKEQ 7/14/2022 0.05
7281    NKG 1/2/2009 2.77
7282    NKL 9/13/2002 2.42
7283    NKLAW 6/11/2018 1.6
7284    NKO 9/13/2002 1.86
7285    NKR 9/16/2002 0.54
7286    NKY 7/13/2011 3.68
7287    NLC 11/16/2004 27
7288    NLCI 12/8/1998 1.42
7289    NLIT 8/20/2021 0.12
7290    NLITU 6/24/2021 0.02
7291    NLITW 8/20/2021 0.1
7292    NLNK 11/11/2011 22
7293    NLOK 4/27/2007 74
7294    NLP 2/3/2005 0.49
7295    NLS 5/21/2002 57
7296    NLSN 1/27/2011 50
7297    NLTX 3/7/2014 14
7298    NLY.A 5/16/2007 2.4
7299    NLY.C 5/29/2012 3.24
7300    NLY.D 9/19/2012 5.46
7301    NLY.E 7/12/2016 0.64
7302    NLY.H 9/7/2018 0.06
7303    NM 2/22/2007 43
7304    NM.G 1/29/2014 0.98
7305    NM.H 7/9/2014 1.49
7306    NMA 1/2/1998 11
7307    NMBL 12/13/2013 12
7308    NMCI 12/10/2018 1.93
7309    NMD 12/27/2007 2.91
7310    NMFCL 9/28/2018 0.19
7311    NMFX 9/28/2018 0.16
7312    NMK.B 5/30/2007 0.27
7313    NMK.C 6/4/2007 0.25
7314    NMMC 11/18/2020 0.22
7315    NMMCU 9/18/2020 0.08
7316    NMMCW 11/13/2020 0.13
7317    NMO 1/2/1998 12
7318    NMP 1/2/1998 1.61
7319    NMRKV 11/20/2018 0.01
7320    NMRX 1/2/1998 6.01
7321    NMTR 7/11/2016 16
7322    NMX 11/17/2006 7.78
7323    NMY 1/2/1998 6.09
7324    NNA 7/7/2008 18
7325    NNAG 10/9/2023 0.06
7326    NNAGR 10/9/2023 0.03
7327    NNAGU 8/18/2023 0.03
7328    NNAGW 10/9/2023 0.03
7329    NNB 9/13/2002 0.9
7330    NNC 1/2/1998 3.86
7331    NNF 1/2/1998 2.01
7332    NNJ 1/2/1998 3.41
7333    NNN.D 2/27/2012 2.27
7334    NNN.E 6/3/2013 2.56
7335    NNN.F 10/13/2016 2.71
7336    NNO 9/19/2006 0.46
7337    NNP 1/2/1998 4.27
7338    NOAC 1/29/2021 0.45
7339    NOACU 11/11/2020 0.36
7340    NOACW 1/29/2021 0.43
7341    NOGN 9/20/2021 1.99
7342    NOGNW 9/21/2021 0.67
7343    NOIZ 1/2/1998 4.25
7344    NOMO 9/7/2011 0.02
7345    NOOF 2/13/1998 13
7346    NOPE 9/29/2022 0.72
7347    NOR 5/14/2010 17
7348    NOVB 4/7/1998 2.26
7349    NOVL 1/2/1998 55
7350    NOVN 9/21/2016 14
7351    NOVS 1/17/2008 1.45
7352    NOVSU 5/15/2020 0.06
7353    NOVSW 6/16/2020 0.45
7354    NOVV 10/1/2021 0.04
7355    NOVVR 9/30/2021 0.07
7356    NOVVU 8/6/2021 0.04
7357    NOVVW 10/1/2021 0.06
7358    NP 12/1/2004 31
7359    NPA 11/1/2019 1.7
7360    NPAB 12/30/2021 0.08
7361    NPABU 11/5/2021 0.09
7362    NPABW 12/30/2021 0.14
7363    NPAUU 9/11/2019 0.11
7364    NPAWW 11/1/2019 0.67
7365    NPBC 1/2/1998 40
7366    NPBCO 10/18/2006 0.22
7367    NPC 1/2/1998 1.28
7368    NPD 11/9/2007 11
7369    NPF 1/2/1998 7.21
7370    NPG 1/2/1998 0.81
7371    NPI 1/2/1998 16
7372    NPM 1/2/1998 15
7373    NPN 4/28/2009 0.73
7374    NPP 1/2/1998 16
7375    NPSP 1/2/1998 47
7376    NPT 1/2/1998 13
7377    NPTN 2/2/2011 30
7378    NPX 1/2/1998 7.42
7379    NPY 1/2/1998 3.22
7380    NQ 5/5/2011 20
7381    NQC 1/2/1998 3.66
7382    NQI 1/2/1998 9.87
7383    NQJ 1/2/1998 4.95
7384    NQM 1/2/1998 9.92
7385    NQN 1/2/1998 4.48
7386    NQS 1/2/1998 9.85
7387    NQU 1/2/1998 14
7388    NR 1/2/1998 72
7389    NRAC 4/1/2021 0.24
7390    NRACU 2/2/2021 0.26
7391    NRACW 3/26/2021 0.13
7392    NRB 1/26/2001 0.47
7393    NRBO 8/5/2016 9.03
7394    NRCG 8/1/2017 0.59
7395    NRCI 4/17/2006 1.19
7396    NRCIA 5/23/2013 2
7397    NRCIB 4/17/2006 1.85
7398    NRE 11/2/2015 11
7399    NRF 10/26/2004 45
7400    NRF.A 5/23/2007 1.35
7401    NRF.B 5/16/2007 4.1
7402    NRF.C 10/15/2012 1.24
7403    NRF.D 4/11/2013 1.51
7404    NRF.E 5/16/2014 1.24
7405    NRGM 12/16/2011 2.66
7406    NRGO 4/10/2019 0.09
7407    NRGX 1/30/2019 7.16
7408    NRGY 7/31/2001 26
7409    NRGZ 4/10/2019 0.08
7410    NRU 4/27/2005 1.41
7411    NRX 2/11/2014 1.4
7412    NRZ 5/2/2013 43
7413    NRZ.A 7/5/2019 1.37
7414    NRZ.B 8/19/2019 1.98
7415    NRZ.C 2/20/2020 2.02
7416    NRZ.D 9/22/2021 0.79
7417    NS 4/2/2007 54
7418    NS.A 11/30/2016 3.03
7419    NS.B 5/3/2017 3.86
7420    NS.C 12/4/2017 2.68
7421    NSAM 6/27/2014 11
7422    NSAT 2/10/2015 0.29
7423    NSCO 10/6/2017 1.78
7424    NSEC 2/1/2006 0.55
7425    NSH 4/2/2007 23
7426    NSH.U 9/10/2020 0.14
7427    NSL 10/27/1999 28
7428    NSLP 2/8/2013 2.35
7429    NSLP.A 5/27/2015 0.09
7430    NSM 3/8/2012 22
7431    NSPH 11/1/2007 13
7432    NSPI 12/17/2021 0.2
7433    NSPL 10/6/2022 0.07
7434    NSPRW 8/1/2016 0.38
7435    NSPRZ 4/10/2017 0.68
7436    NSPY 6/28/2022 0.07
7437    NSR 8/31/2021 0.44
7438    NSS 1/29/2013 6.13
7439    NST 9/27/1999