BANK OF AMERICA NA

Taken From the combined 2021-09-30 13F-HR Filing of BANK OF AMERICA CORP

Stock Symbol Security Type Shares Market Value
VANGUARD 500 INDEX FUND-ETF Shares VOO SH 38684937 15.257 Trillion
iShares Core S&P 500 ETF- IVV SH 22498180 9.693 Trillion
SPDR S&P 500 ETF TRUST SPY SH 14838413 6.368 Trillion
Apple Inc AAPL SH 44766701 6.334 Trillion
Microsoft Corp. MSFT SH 20625176 5.815 Trillion
iShares Russell 2000 ETF- IWM SH 19042265 4.165 Trillion
VANGUARD DEVELOPED MARKETS INDEX FUND-ETF Shares VEA SH 81326541 4.106 Trillion
iShares Russell Mid-Cap ETF- IWR SH 49919765 3.905 Trillion
Amazon.com Inc. AMZN SH 932851 3.064 Trillion
BTC iShares Core MSCI EAFE ETF IEFA SH 33906980 2.518 Trillion
VANGUARD MID-CAP INDEX FUND-ETF Shares VO SH 9753603 2.309 Trillion
iShares Core S&P Mid-Cap ETF- IJH SH 8640859 2.273 Trillion
JPMorgan Chase & Co. (Chemical Bank) JPM SH 13371219 2.189 Trillion
Alphabet Inc. Class C GOOG SH 809788 2.158 Trillion
iShares Russell 1000 Growth ETF- IWF SH 7333286 2.01 Trillion
Alphabet Inc. Class A GOOGL SH 717688 1.919 Trillion
VANGUARD SMALL-CAP INDEX FUND-ETF Shares VB SH 8682515 1.899 Trillion
iShares Core S&P Small-Cap ETF- IJR SH 16884888 1.844 Trillion
iShares MSCI EAFE ETF EFA SH 22974962 1.792 Trillion
Johnson & Johnson Co. JNJ SH 10517924 1.699 Trillion
Vanguard FTSE Emerging Markets ETF VWO SH 32755574 1.638 Trillion
Home Depot, Inc. (The) HD SH 4793220 1.573 Trillion
Procter & Gamble Co. (OH) (1905) PG SH 11243674 1.572 Trillion
Invesco QQQ Trust, Series 1 QQQ SH 4221433 1.511 Trillion
iShares Core U.S. Aggregate Bond ETF- AGG SH 12737385 1.463 Trillion
VISA Inc V SH 6540845 1.457 Trillion
Meta Platforms Inc META SH 4195945 1.424 Trillion
Pepsico Inc. (Loft, Inc.) PEP SH 9210323 1.385 Trillion
Cisco Systems, Inc. CSCO SH 22840711 1.243 Trillion
Apple Inc AAPL PUT 8751200 1.238 Trillion
Berkshire Hathaway Inc Class B BRK.B SH 4526062 1.235 Trillion
VANGUARD VALUE INDEX FUND-ETF Shares VTV SH 8843711 1.197 Trillion
NVIDIA Corp. NVDA SH 5583374 1.157 Trillion
Schwab US Dividend Equity ETF SCHD SH 15361908 1.14 Trillion
Walt Disney Co. (The) DIS SH 6580053 1.113 Trillion
Amazon.com Inc. AMZN PUT 338100 1.111 Trillion
Morgan Stanley MS SH 10846123 1.055 Trillion
United Parcel Service, Inc. Class B UPS SH 5634502 1.026 Trillion
Accenture Plc ACN SH 3202204 1.024 Trillion
iShares Russell 1000 Value ETF- IWD SH 6518279 1.02 Trillion
iShares Core MSCI Emerging Markets ETF IEMG SH 16111813 995.066 Billion
BlackRock Inc. Class A BLK SH 1185212 993.99 Billion
Abbott Laboratories ABT SH 8307277 981.338 Billion
iShares National Muni Bond ETF- MUB SH 8310582 965.44 Billion
Adobe Systems, Inc. ADBE SH 1644611 946.836 Billion
Vanguard Total World Stock ETF VT SH 9089057 925.539 Billion
Honeywell International Inc. (Allied Chemical and Dye - Allied Signal) HON SH 4190709 889.604 Billion
ExxonMobil Corp. (Standard Oil of New Jersey) XOM SH 15094861 887.879 Billion
PayPal Holdings Inc PYPL SH 3319277 863.709 Billion
Merck & Co MRK SH 11481530 862.378 Billion
Target Corp. TGT SH 3736549 854.81 Billion
Texas Instruments, Inc. TXN SH 4377791 841.455 Billion
Broadcom Ltd. (Avago Technologies) AVGO SH 1722768 835.422 Billion
Chevron Corp. (Standard Oil of California) CVX SH 7981367 809.709 Billion
McDonalds Corp. MCD SH 3334250 803.921 Billion
iShares 7-10 Year Treasury Bond ETF- IEF PUT 6950000 800.779 Billion
Pfizer, Inc. PFE SH 18428113 792.593 Billion
Automatic Data Processing Inc ADP SH 3959503 791.584 Billion
UnitedHealth Group Inc. UNH SH 2009309 785.117 Billion
Costco Co. COST SH 1726795 775.935 Billion
Comcast Corp. Class A CMCSA SH 13644872 763.157 Billion
VANGUARD REAL ESTATE INDEX FUND-ETF Shares VNQ SH 7362207 749.325 Billion
AbbVie Inc ABBV SH 6885861 742.778 Billion
Danaher Corp. DHR SH 2386921 726.674 Billion
VANGUARD TOTAL STOCK MARKET INDEX FUND-ETF Shares VTI SH 3217635 714.508 Billion
Salesforce.com Inc. CRM SH 2627421 712.609 Billion
Citigroup, Inc. C SH 10051186 705.392 Billion
SPDR S&P MIDCAP 400 ETF TRUST MDY SH 1464854 704.419 Billion
NextEra Energy Inc. NEE SH 8864420 696.034 Billion
Mastercard Inc MA SH 1964891 683.154 Billion
iShares MSCI Emerging Markets ETF EEM SH 13531317 681.708 Billion
Coca Cola Co. KO SH 12787063 670.937 Billion
Union Pacific Corp. UNP SH 3339677 654.61 Billion
iShares S&P 100 ETF- OEF SH 3281280 647.856 Billion
Verizon Communications (Bell Atlantic Corp.) VZ SH 11943686 645.079 Billion
Intel Corp. INTC SH 11761398 626.647 Billion
CVS Health Corp. (Melville Shoe) CVS SH 7265347 616.537 Billion
iShares 7-10 Year Treasury Bond ETF- IEF CALL 5273500 607.613 Billion
Thermo Fisher Scientific, Inc. TMO SH 1057515 604.19 Billion
Tesla Inc TSLA SH 765158 593.365 Billion
NIKE Inc. NKE SH 4041925 587.009 Billion
Walmart Inc WMT SH 4196802 584.95 Billion
iShares Russell Mid-Cap Growth ETF- IWP SH 5130761 575.004 Billion
State Street Corp. (State Street Bank & Trust Co., Boston, MA) STT SH 6740461 571.052 Billion
Raytheon Technologies Corp. (United Technologies) RTX SH 6614888 568.615 Billion
Starbucks Corp. SBUX SH 5148659 567.949 Billion
Lilly (Eli) & Co. LLY SH 2387981 551.743 Billion
Technology Select Sector SPDR ETF XLK SH 3689679 550.943 Billion
SSgA SPDR Gold Shares GLD SH 3288898 540.103 Billion
PACCAR Inc. PCAR SH 6807442 537.244 Billion
Consolidated Edison Co. of New York Inc. (Consolidated Gas Co. of New York) ED SH 7389923 536.435 Billion
SSgA SPDR S&P 500 Value ETF SPYV SH 13659047 532.703 Billion
Lowes Companies, Inc. LOW SH 2576832 522.736 Billion
Bank of America Corp. (North Carolina National Bank) BAC SH 12255661 520.253 Billion
VANGUARD DIVIDEND APPRECIATION INDEX FUND-ETF Shares VIG SH 3305187 507.676 Billion
SPDR Bloomberg 1-3 Month T-Bill ETF BIL SH 5448589 498.328 Billion
iShares Russell 2000 Growth ETF- IWO SH 1689275 495.954 Billion
SSgA SPDR Russell 1000 ETF SPLG SH 9701056 489.515 Billion
TJX Companies Inc. TJX SH 7382030 487.066 Billion
Eaton Corp. (Torbenson Axle Co. - Eaton Axle & Spring) ETN SH 3245911 484.646 Billion
Vanguard Short-Term Corporate Bond ETF VCSH SH 5870142 483.758 Billion
iShares Select Dividend ETF- DVY SH 4215465 483.598 Billion
iShares 7-10 Year Treasury Bond ETF- IEF SH 4089658 471.21 Billion
VANGUARD GROWTH INDEX FUND-ETF Shares VUG SH 1616393 469.029 Billion
Bristol-Myers Squibb Co BMY SH 7915587 468.365 Billion
iShares Russell 1000 ETF- IWB SH 1841185 445.033 Billion
Amazon.com Inc. AMZN CALL 135000 443.48 Billion
Medtronic Plc MDT SH 3529580 442.433 Billion
Air Products & Chemicals Inc APD SH 1726777 442.245 Billion
Invesco QQQ Trust, Series 1 QQQ CALL 1225000 438.501 Billion
PNC Financial Services Group, Inc. (The) (Provident National Trust Co.) PNC SH 2235048 437.265 Billion
Goldman Sachs Group Inc GS SH 1153673 436.123 Billion
BTC iShares MSCI USA Min Vol Factor ETF USMV SH 5847968 429.826 Billion
Philip Morris International Inc PM SH 4528300 429.238 Billion
VANGUARD SMALL-CAP VALUE INDEX FUND-ETF Shares VBR SH 2478570 419.523 Billion
3M Co. (Minnesota Mining & Manufacturing) MMM SH 2384206 418.237 Billion
International Business Machines Corp. IBM SH 3008589 417.984 Billion
Deere & Co. DE SH 1244436 416.973 Billion
ConocoPhillips (Phillips Petroleum) COP SH 6107862 413.93 Billion
Oracle Corp ORCL SH 4683673 408.089 Billion
Financial Select Sector SPDR XLF SH 10472930 393.049 Billion
AT&T Inc. (Southwestern Bell - SBC Corp.) T SH 13866040 374.521 Billion
Lockheed Martin Corp. LMT SH 1079828 372.649 Billion
Chubb Limited CB SH 2118326 367.487 Billion
BTC iShares MSCI ACWI ETF ACWI SH 3661467 365.854 Billion
VANGUARD LARGE-CAP INDEX FUND-ETF Shares VV SH 1816241 364.919 Billion
Wells Fargo & Co. (Northwest Bancorporation) WFC SH 7831154 363.444 Billion
Alibaba Group Holding Ltd ADR BABA SH 2452231 363.053 Billion
Zoetis, Inc. ZTS SH 1868549 362.76 Billion
Emerson Electric Co. EMR SH 3798288 357.799 Billion
Vanguard Total International Bond ETF BNDX SH 6280016 357.71 Billion
iShares Preferred and Income Securities ETF- PFF SH 9190701 356.691 Billion
iShares Russell 2000 Value ETF- IWN SH 2193630 351.485 Billion
MPLX L.P. MPLX SH 11859645 337.644 Billion
iShares Core High Dividend ETF- HDV SH 3579254 337.38 Billion
U.S. Bancorp (First National Bank of Cincinnati) USB SH 5655932 336.189 Billion
Taiwan Semiconductor Manufacturing Co Ltd ADR TSM SH 3003416 335.331 Billion
Mondelez International Inc. (Kraft Foods) MDLZ SH 5698972 331.566 Billion
ServiceNow Inc NOW SH 514789 320.337 Billion
Palo Alto Networks Inc PANW SH 668610 320.265 Billion
Illinois Tool Works Inc ITW SH 1537855 317.767 Billion
BTC iShares MSCI EAFE Min Vol Factor ETF EFAV SH 4173597 314.439 Billion
Amgen, Inc. AMGN SH 1448907 308.11 Billion
Blackstone Group Inc BX SH 2609200 303.554 Billion
American Express Co AXP SH 1810922 303.383 Billion
Caterpillar Inc. CAT SH 1580002 303.313 Billion
SPDR S&P 500 ETF TRUST SPY PUT 705600 302.801 Billion
VANGUARD SMALL-CAP GROWTH INDEX FUND-ETF Shares VBK SH 1073600 300.78 Billion
Analog Devices Inc ADI SH 1795171 300.655 Billion
Waste Management, Inc. WM SH 1992829 297.649 Billion
Microsoft Corp. MSFT PUT 1043300 294.127 Billion
American Tower Corp., Class A AMT SH 1083453 287.56 Billion
Truist Financial Corp TFC SH 4832517 283.427 Billion
ASML Holding NV (ADR) ASML SH 379418 282.708 Billion
QUALCOMM Inc. QCOM SH 2184641 281.775 Billion
IDEXX Laboratories Inc. IDXX SH 452843 281.623 Billion
Invesco S&P 500 Equal Weight ETF- RSP SH 1870230 280.198 Billion
BTC iShares Floating Rate Bond ETF FLOT SH 5492257 279.226 Billion
ProLogis, Inc. PLD SH 2212899 277.564 Billion
VANGUARD MID-CAP GROWTH INDEX FUND-ETF Shares VOT SH 1165469 275.4 Billion
Invesco QQQ Trust, Series 1 QQQ PUT 767500 274.734 Billion
Applied Materials Inc. AMAT SH 2130105 274.208 Billion
Weibo Corp ADR WB SH 5764898 273.775 Billion
Colgate-Palmolive Co. CL SH 3586742 271.086 Billion
American Water Works Co Inc AWK SH 1595648 269.729 Billion
Northrop Grumman Corp. NOC SH 748795 269.679 Billion
Novo-Nordisk A/S ADS NVO SH 2767398 265.698 Billion
TE Connectivity Ltd TEL SH 1929359 264.746 Billion
Berkshire Hathaway Inc Class A BRK.A SH 642 264.105 Billion
iShares TIPS Bond ETF TIP SH 2066094 263.819 Billion
Intercontinental Exchange Inc ICE SH 2274253 261.13 Billion
Boeing Company BA SH 1186657 260.993 Billion
Netflix Inc NFLX SH 424524 259.104 Billion
Vanguard Intermediate-Term Corporate Bond ETF VCIT SH 2737943 258.489 Billion
Akamai Technologies Inc. AKAM SH 2455351 256.806 Billion
NewMarket Corp. (Albermarle Paper Manufacturing - Ethyl Corp.) NEU SH 756231 256.188 Billion
IHS Markit Ltd INFO SH 2194200 255.888 Billion
iShares Gold Trust IAU SH 7649817 255.58 Billion
Netflix Inc NFLX PUT 417900 255.061 Billion
Williams Cos. (The) WMB SH 9722090 252.191 Billion
iShares Russell Mid-Cap Value ETF- IWS SH 2209540 250.23 Billion
Marsh & McLennan Companies, Inc. MMC SH 1635726 247.698 Billion
VanEck Gold Miners ETF- GDX SH 8398576 247.506 Billion
Alphabet Inc. Class A GOOGL CALL 92000 245.964 Billion
Linde PLC (Praxair Inc.) LIN SH 821118 240.899 Billion
Yum! Brands, Inc. (Tricon Global Restaurants) YUM SH 1948582 238.331 Billion
iShares S&P 500 Growth ETF- IVW SH 3184918 235.397 Billion
Autodesk, Inc. ADSK SH 822358 234.512 Billion
Becton, Dickinson and Co. BDX SH 953581 234.409 Billion
T. Rowe Price Group TROW SH 1190610 234.193 Billion
S&P Global Inc. (McGraw-Hill Inc.) SPGI SH 547640 232.687 Billion
Meta Platforms Inc META PUT 679600 230.649 Billion
Charles Schwab Corp SCHW SH 3166503 230.648 Billion
Dover Corp. DOV SH 1461089 227.199 Billion
SPDR Nuveen Bloomberg Short Term Municipal Bond ETF SHM SH 4559346 225.232 Billion
Ecolab Inc. ECL SH 1078709 225.041 Billion
VANGUARD SHORT-TERM BOND INDEX FUND-ETF Shares BSV SH 2732591 223.909 Billion
Albemarle Corp. ALB SH 1021777 223.739 Billion
Trane Technologies Plc TT SH 1279614 220.925 Billion
SPDR Dividend ETF SDY SH 1872950 220.165 Billion
Albemarle Corp. ALB PUT 1000000 218.97 Billion
iShares Short-Term National Muni Bond ETF- SUB SH 2009996 216.215 Billion
iShares 1-5 Year Investment Grade Corporate Bond ETF- IGSB SH 3920305 214.205 Billion
BTC iShares MSCI EAFE Growth ETF EFG SH 1982231 211.048 Billion
Meta Platforms Inc META CALL 613000 208.046 Billion
Boston Scientific Inc. BSX SH 4777648 207.302 Billion
Global X Funds Global X Robotics & Artificial Intelligence ETF BOTZ SH 5660116 206.99 Billion
Cigna Holding Co CI SH 1023180 204.8 Billion
Estee Lauder Companies Inc. EL SH 680697 204.162 Billion
Tesla Inc TSLA PUT 262200 203.331 Billion
General Motors Co GM SH 3841777 202.5 Billion
Kimberly-Clark Corp. KMB SH 1528591 202.446 Billion
Lam Research Corp. LRCX SH 355577 202.377 Billion
BTC iShares MSCI USA Quality Factor ETF QUAL SH 1531009 201.68 Billion
SPDR Portfolio S&P 500 High Dividend ETF SPYD SH 5140613 201.101 Billion
iShares iBoxx $ Investment Grade Corporate Bond ETF- LQD SH 1492879 198.598 Billion
Intuit, Inc. INTU SH 348732 188.145 Billion
The Energy Select Sector SPDR Fund XLE SH 3568322 185.874 Billion
Sysco Corp. SYY SH 2352591 184.678 Billion
Xilinx, Inc XLNX SH 1195204 180.464 Billion
BTC iShares MSCI Emerging Markets Min Vol Factor ETF EEMV SH 2878999 180.427 Billion
VanEck High Yield Muni ETF- HYD SH 2869593 179.292 Billion
Otis Worldwide Corp OTIS SH 2167400 178.334 Billion
Align Technology Inc ALGN SH 267764 178.178 Billion
Health Care Select Sector SPDR XLV SH 1378368 175.466 Billion
General Electric Co GE SH 1692932 174.423 Billion
NVIDIA Corp. NVDA PUT 841000 174.222 Billion
Elevance Health Inc ELV SH 464587 173.198 Billion
Teladoc Health Inc TDOC SH 1362507 172.779 Billion
Fortive Corp FTV SH 2427868 171.334 Billion
Fidelity National Information Services Inc FIS SH 1407314 171.242 Billion
L3harris Technologies Inc LHX SH 776627 171.044 Billion
Norfolk Southern Corp. NSC SH 714288 170.894 Billion
Rockwell Automation, Inc. ROK SH 578046 169.968 Billion
Electronic Arts, Inc. EA SH 1194327 169.893 Billion
Dominion Energy Inc D SH 2326322 169.868 Billion
Crown Castle International Corp CCI SH 967564 167.698 Billion
DowDuPont Inc. (Dow Chemical) DD SH 2433404 165.447 Billion
EOG Resources Inc EOG SH 2060687 165.412 Billion
Activision Blizzard Inc ATVI SH 2132273 165.016 Billion
Agilent Technologies Inc A SH 1039598 163.768 Billion
Huntsman Corp HUN SH 5532468 163.706 Billion
NXP Semiconductors N.V. NXPI SH 834698 163.493 Billion
Marvell Technology Group Ltd MRVL SH 2695754 162.581 Billion
FirstEnergy Corp. FE SH 4562632 162.521 Billion
KKR & Co. Inc KKR SH 2668906 162.483 Billion
iShares China Large-Cap ETF FXI SH 4158357 161.885 Billion
KLA Corp KLAC SH 483332 161.679 Billion
Dow Inc DOW SH 2804757 161.442 Billion
Workday Inc WDAY SH 642994 160.678 Billion
Hershey Company (The) HSY SH 937646 158.696 Billion
Allstate Corp (The) ALL SH 1242240 158.149 Billion
Sea Ltd ADR SE SH 495947 158.073 Billion
Pinduoduo Inc PDD SH 1743024 158.04 Billion
Repligen Corp. RGEN SH 542242 156.703 Billion
Xylem Inc XYL SH 1260890 155.946 Billion
Vulcan Materials Company VMC SH 919705 155.577 Billion
AstraZeneca PLC AZN SH 2575036 154.657 Billion
Intuitive Surgical Inc ISRG SH 154850 153.944 Billion
Stryker Corp. SYK SH 581560 153.369 Billion
Expeditors International of Washington Inc EXPD SH 1286529 153.264 Billion
Novartis AG ADS NVS SH 1868630 152.816 Billion
Public Storage, Inc. PSA SH 513650 152.606 Billion
Phillips 66 PSX SH 2171242 152.052 Billion
Diageo Plc ADR DEO SH 787338 151.956 Billion
VANGUARD MID-CAP VALUE INDEX FUND-ETF Shares VOE SH 1084537 151.412 Billion
General Dynamics Corp. (Electric Boat) GD SH 768548 150.659 Billion
iShares International Select Dividend ETF- IDV SH 4926886 149.876 Billion
Gilead Sciences Inc. GILD SH 2145041 149.831 Billion
Barnes Group Inc B SH 3581906 149.473 Billion
SEA LTD NOTE 2.375%12/0 DEBT-SEA PRN 41850000 148.551 Billion
iShares U.S. Real Estate ETF- IYR SH 1447308 148.19 Billion
KraneShares CSI China Internet ETF- KWEB SH 3122687 147.766 Billion
American Electric Power Company Inc AEP SH 1816843 147.492 Billion
MSCI Inc MSCI SH 242006 147.222 Billion
SPDR Bloomberg Barclays Short Term Corporate Bond ETF SPSB SH 4706492 147.078 Billion
Enterprise Products Partners LP EPD SH 6774451 146.599 Billion
Invesco FTSE RAFI US 1000 ETF- PRF SH 919795 145.659 Billion
Freeport-McMoRan Copper & Gold, Inc FCX SH 4420665 143.804 Billion
CSX Corp CSX SH 4830980 143.673 Billion
iShares Biotechnology ETF- IBB SH 875192 141.501 Billion
Match Group Inc. MTCH SH 899965 141.285 Billion
Paychex Inc. PAYX SH 1243458 139.826 Billion
McKesson Corp. MCK SH 699840 139.534 Billion
AutoZone Inc. AZO SH 82082 139.374 Billion
Micron Technology, Inc. MU SH 1948413 138.299 Billion
MetLife Inc. MET SH 2224636 137.327 Billion
Laboratory Corp of America Holdings LH SH 487040 137.072 Billion
Industrial Select Sector SPDR XLI SH 1389476 135.946 Billion
Capital One Financial Corp COF SH 835372 135.305 Billion
Duke Energy Corp. DUK SH 1383772 135.042 Billion
Constellation Brands, Inc. STZ SH 640853 135.021 Billion
SPDR Biotech ETF XBI SH 1073294 134.924 Billion
Ross Stores Inc. (DE) ROST SH 1239201 134.887 Billion
Altice USA Inc ATUS PUT 6500000 134.68 Billion
Hill-Rom Holdings HRC SH 893174 133.976 Billion
Unilever PLC ADR UL SH 2470221 133.935 Billion
Parker-Hannifin Corp. PH SH 478487 133.794 Billion
Altria Group, Inc. (Philip Morris) MO SH 2936649 133.677 Billion
Hartford Financial Services Group HIG SH 1902137 133.625 Billion
General Mills Co. GIS SH 2233050 133.581 Billion
Chegg Inc CHGG SH 1932103 131.422 Billion
iShares Global Tech ETF- IXN SH 2315618 131.203 Billion
iShares Russell 3000 ETF- IWV SH 509983 129.969 Billion
Regeneron Pharmaceuticals Inc. REGN SH 214503 129.813 Billion
Stanley Black & Decker Inc. SWK SH 737964 129.373 Billion
Vanguard Short-Term Treasury ETF VGSH SH 2095705 128.697 Billion
Schlumberger Ltd. SLB SH 4340271 128.646 Billion
Illumina Inc ILMN SH 316948 128.557 Billion
iShares Trust iShares ESG Aware MSCI EAFE ETF ESGD SH 1637380 128.338 Billion
Carrier Global Corp. CARR SH 2459470 127.303 Billion
iShares MSCI USA ESG Select ETF- SUSA SH 1324231 127.06 Billion
Insulet Corp PODD SH 444707 126.399 Billion
Weyerhaeuser Corp. WY SH 3549258 126.247 Billion
Roper Technologies Inc ROP SH 281135 125.423 Billion
iShares iBoxx USD High Yield Corporate Bond ETF HYG SH 1431058 125.203 Billion
First Trust NASDAQ Cybersecurity ETF CIBR SH 2566625 125.046 Billion
Church & Dwight Co., Inc. CHD SH 1507619 124.484 Billion
Humana, Inc. HUM SH 319260 124.24 Billion
eBay Inc. EBAY SH 1778934 123.938 Billion
Sempra Energy, Inc. SRE SH 972477 123.019 Billion
Cedar Fair LP FUN SH 2642195 122.545 Billion
Ball Corp. BALL SH 1354625 121.875 Billion
Aptiv PLC APTV SH 816433 121.624 Billion
Etsy Inc ETSY SH 583136 121.269 Billion
First Trust Cloud Computing ETF SKYY SH 1142843 120.41 Billion
Aon PLC AON SH 420563 120.184 Billion
Zimmer Biomet Holdings Inc ZBH SH 818520 119.798 Billion
MercadoLibre Inc MELI SH 71083 119.377 Billion
Discover Financial Services DFS SH 944844 116.075 Billion
VANGUARD EXTENDED MARKET INDEX FUND-ETF Shares VXF SH 632871 115.41 Billion
iQIYI Inc IQ SH 14167708 113.767 Billion
Corteva Inc CTVA SH 2696953 113.488 Billion
Shopify Inc SHOP SH 83433 113.116 Billion
Booking Holdings Inc. (Priceline) BKNG SH 47573 112.932 Billion
Equinix Inc EQIX SH 141948 112.158 Billion
Macquarie Infrastructure Holdings LLC MIC SH 2762826 112.06 Billion
iShares 1-3 Year Treasury Bond ETF- SHY SH 1297534 111.783 Billion
Grainger (W.W.) Inc. GWW SH 283661 111.496 Billion
Edwards Lifesciences Corp. EW SH 981893 111.161 Billion
Square Inc SQ SH 462350 110.89 Billion
DexCom Inc DXCM SH 201466 110.174 Billion
Southern Co. SO SH 1768889 109.618 Billion
Corning Inc. GLW SH 2997912 109.394 Billion
Kinder Morgan Inc. (DE) KMI SH 6527689 109.208 Billion
BTC iShares MSCI EAFE Value ETF EFV SH 2140924 108.866 Billion
Brookfield Asset Management Inc BAM SH 2029567 108.602 Billion
iShares MBS ETF- MBB SH 998772 108.007 Billion
SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUST DIA SH 317771 107.499 Billion
Vertex Pharmaceuticals, Inc. VRTX SH 591508 107.294 Billion
FedEx Corporation FDX SH 478213 104.867 Billion
Quanta Services, Inc. PWR SH 921263 104.858 Billion
OReilly Automotive Inc. ORLY SH 171189 104.607 Billion
Devon Energy Corp. DVN SH 2944166 104.547 Billion
Ameriprise Financial, Inc. AMP SH 395057 104.342 Billion
Cummins Inc CMI SH 462848 103.937 Billion
Invesco DB Commodity Index Tracking Fund DBC SH 5112977 103.18 Billion
Booz Allen Hamilton Holding Corp BAH SH 1292463 102.556 Billion
iShares Semiconductor ETF- SOXX SH 229040 102.122 Billion
Xtrackers MSCI EAFE Hedged Equity ETF- DBEF SH 2682090 101.276 Billion
Middleby Corp (The) MIDD SH 592098 100.958 Billion
iShares Global Clean Energy ETF- ICLN SH 4651107 100.696 Billion
Invesco S&P 500 Low Volatility ETF SPLV SH 1654922 100.685 Billion
General Motors Co GM PUT 1910000 100.676 Billion
JD.com Inc ADR JD SH 1390179 100.427 Billion
Ford Motor Co. F SH 7084612 100.318 Billion
Sanofi SA SNY SH 2076903 100.128 Billion
Nuvasive Inc NUVA SH 1659065 99.295 Billion
VANGUARD INTERMEDIATE-TERM BOND INDEX FUND-ETF Shares BIV SH 1104416 98.779 Billion
iShares U.S. Medical Devices ETF- IHI SH 1573370 98.776 Billion
Baxter International Inc. BAX SH 1226885 98.679 Billion
CBRE Group Inc Common Stock Class A CBRE SH 1010034 98.337 Billion
iShares U.S. Technology ETF- IYW SH 966052 97.822 Billion
iShares 20+ Year Treasury Bond ETF- TLT SH 677247 97.74 Billion
Monster Beverage Corp. MNST SH 1096448 97.398 Billion
Vanguard FTSE All-World ex-US ETF VEU SH 1576381 96.096 Billion
Progressive Corp. PGR SH 1062114 96.004 Billion
STERIS Corp. STE SH 467504 95.501 Billion
Johnson Controls International plc (Tyco Laboratories) JCI SH 1397684 95.154 Billion
Cerner Corp. CERN SH 1345319 94.871 Billion
Dollar General Corp. DG SH 447050 94.838 Billion
Celanese Corp CE SH 627263 94.491 Billion
Energy Transfer Equity LP ET SH 9856084 94.421 Billion
SPDR Bloomberg Convertible Securities ETF CWB SH 1104548 94.273 Billion
Cognizant Technology Solutions Corp CTSH SH 1265985 93.948 Billion
Invesco FTSE RAFI US 1500 Small-Mid ETF- PRFZ SH 513502 93.709 Billion
CoStar Group Inc CSGP SH 1077492 92.729 Billion
SBA Communications Corp. SBAC SH 278151 91.948 Billion
iShares MSCI Japan ETF EWJ SH 1305974 91.745 Billion
VANGUARD TOTAL BOND MARKET INDEX FUND-ETF Shares BND SH 1069094 91.354 Billion
iShares S&P Mid-Cap 400 Growth ETF- IJK SH 1144369 90.623 Billion
IDEX Corp. IEX SH 436306 90.294 Billion
iShares Expanded Tech-Software Sector ETF- IGV SH 224643 89.664 Billion
Diamondback Energy Inc FANG SH 946863 89.639 Billion
KBR Inc KBR SH 2265850 89.274 Billion
Splunk Inc SPLK SH 615695 89.097 Billion
CarMax Inc. KMX SH 695918 89.049 Billion
Sun Communities, Inc. SUI SH 480523 88.944 Billion
Invesco High Yield Equity Dividend AchieversTM ETF- PEY SH 4474390 88.62 Billion
Moodys Corp MCO SH 244945 86.982 Billion
Travelers Companies, Inc. (The) (St. Paul Fire and Marine Insurance) TRV SH 571230 86.832 Billion
Paramount Global PARA SH 2194652 86.71 Billion
Athene Holding Ltd Class A ATH SH 1257809 86.625 Billion
MGM Resorts International, Inc. MGM SH 2006330 86.573 Billion
BTC iShares MSCI EMU ETF EZU SH 1792860 86.272 Billion
Huntington Bancshares, Inc. (Huntington National Bank, Columbus, OH) HBAN SH 5562765 86 Billion
Cadence Design Systems, Inc. CDNS SH 564530 85.492 Billion
Valero Energy Corp. VLO SH 1210763 85.444 Billion
Liberty Broadband Corp Class C LBRDK SH 494533 85.405 Billion
Okta Inc OKTA SH 359069 85.222 Billion
BTC iShares MSCI EAFE Small-Cap ETF SCZ SH 1141212 84.918 Billion
Coherent Inc. COHR SH 338916 84.76 Billion
Fortress Transportation and Infrastructure Investors LLC FTAI SH 3335502 84.655 Billion
Waters Corporation WAT SH 236831 84.619 Billion
iShares Expanded Tech Sector ETF- IGM SH 209096 84.402 Billion
WEC Energy Group (Wisconsin Electric Power) WEC SH 946510 83.482 Billion
BP Plc ADR (British Petroleum) BP SH 3023707 82.638 Billion
Hilton Worldwide Holdings Inc HLT SH 624388 82.488 Billion
iShares 5-10 Year Investment Grade Corporate Bond ETF- IGIB SH 1365027 81.984 Billion
BTC iShares Silver Trust SLV SH 3991024 81.896 Billion
WisdomTree U.S. Quality Dividend Growth Fund-N/A DGRW SH 1384427 81.46 Billion
Copart Inc. CPRT SH 586961 81.423 Billion
Microchip Technology Inc MCHP SH 529991 81.348 Billion
West Pharmaceutical Services Inc WST SH 191380 81.249 Billion
SVB Financial Group SIVB SH 125410 81.125 Billion
Yum China Holdings Inc YUMC SH 1380509 80.221 Billion
Uber Technologies Inc UBER SH 1788763 80.137 Billion
Jacobs Engineering Group Inc J SH 604438 80.106 Billion
Vanguard FTSE Europe ETF VGK SH 1218196 79.926 Billion
Wayfair Inc Class A W SH 312392 79.819 Billion
Texas Roadhouse Inc, Class A TXRH SH 865557 79.052 Billion
Consumer Discretionary Select Sector SPDR XLY SH 440345 79.02 Billion
Wix.com Ltd WIX SH 402493 78.876 Billion
Guidewire Software, Inc. GWRE SH 661189 78.595 Billion
iShares S&P Small-Cap 600 Growth ETF- IJT SH 601792 78.257 Billion
Centene Corp CNC SH 1249672 77.867 Billion
American International Group, Inc. AIG SH 1406150 77.184 Billion
ICICI Bank Ltd. ADS ADR IBN SH 4058507 76.584 Billion
Avery Dennison Corp. AVY SH 364194 75.464 Billion
Chipotle Mexican Grill, Inc. CMG SH 40937 74.404 Billion
Ringcentral Inc RNG SH 340515 74.062 Billion
Sonoco Products Co. SON SH 1227676 73.145 Billion
Genuine Parts Co. GPC SH 602483 73.039 Billion
Materials Select Sector SPDR XLB SH 923150 73.03 Billion
Fastenal Co. FAST SH 1407434 72.638 Billion
Boeing Company BA PUT 330000 72.58 Billion
Newmont Mining Corp. (Holding Co.) NEM SH 1329288 72.18 Billion
Willis Towers Watson Public Limited Co WTW SH 309839 72.025 Billion
Cooper Companies (The) COO SH 173989 71.912 Billion
Nasdaq Inc NDAQ SH 371813 71.767 Billion
TotalEnergies SE TTE SH 1495879 71.697 Billion
Veeva Systems Inc VEEV SH 248645 71.652 Billion
iShares S&P Mid-Cap 400 Value ETF- IJJ SH 694217 71.532 Billion
Digital Realty Trust, Inc. DLR SH 494478 71.428 Billion
Welltower Inc. WELL SH 865592 71.324 Billion
iShares MSCI Global Min Vol Factor ETF ACWV SH 694102 71.305 Billion
Change Healthcare Inc CHNG SH 3402788 71.254 Billion
TransUnion TRU SH 631620 70.937 Billion
Microsoft Corp. MSFT CALL 251000 70.762 Billion
MongoDB Inc MDB SH 147699 69.642 Billion
SPDR Nuveen Bloomberg Municipal Bond ETF TFI SH 1349676 69.603 Billion
ING Groep NV ADS ADR ING SH 4799273 69.541 Billion
Prudential Financial Inc. PRU SH 659541 69.384 Billion
Cintas Corporation CTAS SH 181761 69.189 Billion
Northern Trust Corp. NTRS SH 640065 69.006 Billion
iShares Broad USD High Yield Corporate Bond ETF USHY SH 1657736 68.796 Billion
Teleflex, Inc. TFX SH 182082 68.563 Billion
Horizon Therapeutics PLC HZNP SH 625644 68.533 Billion
Guardant Health Inc GH SH 547248 68.411 Billion
iShares S&P Small-Cap 600 Value ETF- IJS SH 677981 68.252 Billion
Vanguard Russell 1000 Value Index ETF VONV SH 992396 68.188 Billion
Xcel Energy Inc. (Northern States Power Co. (MN)) XEL SH 1077187 67.324 Billion
Toronto-Dominion Bank (The) TD SH 1016933 67.27 Billion
DLocal Limited Cl A DLO SH 1231178 67.173 Billion
Alphabet Inc. Class C GOOG PUT 25100 66.899 Billion
Envista Holdings Corp NVST SH 1597582 66.795 Billion
SpringWorks Therapeutics Inc SWTX SH 1046744 66.406 Billion
Coupa Software Inc COUP SH 302929 66.396 Billion
Sherwin-Williams Co. SHW SH 237092 66.322 Billion
Arthur J. Gallagher & Co Inc AJG SH 445933 66.288 Billion
CME Group Inc CME SH 340873 65.918 Billion
Invesco Water Resources ETF- PHO SH 1203274 65.843 Billion
Alphabet Inc. Class A GOOGL PUT 24600 65.769 Billion
FleetCor Technologies Inc FLT SH 250366 65.413 Billion
AvalonBay Communities, Inc. AVB SH 293579 65.069 Billion
Alexandria Real Estate Equities, Inc. ARE SH 340393 65.039 Billion
Verisk Analytics Inc VRSK SH 324215 64.93 Billion
International Paper Co. IP SH 1152920 64.471 Billion
Regions Financial Corp. (Birmingham, AL) RF SH 3025166 64.466 Billion
Vanguard Mega Cap 300 Index ETF MGC SH 420207 64.035 Billion
Fox Corp Class A FOXA SH 1596020 64.017 Billion
Packaging Corp. of America PKG SH 464086 63.784 Billion
Snowflake, Inc. SNOW SH 209629 63.398 Billion
Dow Inc DOW PUT 1094000 62.971 Billion
Public Service Enterprise Group Inc PEG SH 1024251 62.377 Billion
PPG Industries, Inc. (Pittsburgh Plate Glass) PPG SH 434954 62.203 Billion
Carnival Corp. CCL SH 2485306 62.158 Billion
SPDR Bloomberg High Yield Bond ETF JNK SH 567053 62.013 Billion
Extra Space Storage, Inc. EXR SH 368621 61.925 Billion
Spotify Technology SA SPOT SH 273223 61.568 Billion
ARK Innovation ETF ARKK SH 551505 60.958 Billion
Sealed Air Corp. SEE SH 1107370 60.673 Billion
NIO Inc NIO SH 1689610 60.201 Billion
Twitter Inc TWTR SH 995741 60.133 Billion
Amphenol Corp. (1987) APH SH 820023 60.051 Billion
Teradyne Inc TER SH 549197 59.956 Billion
LyondellBasell Industries NV LYB SH 638835 59.955 Billion
NextEra Energy Partners LP NEP SH 791941 59.681 Billion
SPDR Homebuilders ETF XHB SH 827925 59.412 Billion
SPDR MSCI ACWI ex-US ETF CWI SH 2039768 59.092 Billion
Catalent Inc CTLT SH 443314 58.992 Billion
Charter Communications Inc CHTR PUT 80000 58.205 Billion
Nuveen ESG Small-Cap ETF NUSC SH 1338519 58.199 Billion
Motorola Solutions Inc MSI SH 250376 58.167 Billion
Utilities Select Sector SPDR ETF XLU SH 909863 58.122 Billion
iShares S&P 500 Value ETF- IVE SH 394362 57.348 Billion
BlackLine Inc BL SH 481986 56.903 Billion
Vanguard Long-Term Corporate Bond ETF VCLT SH 537986 56.801 Billion
New Oriental Education & Tech Group Inc ADR EDU SH 27688978 56.762 Billion
iShare Inc iShares ESG Aware MSCI EM ETF ESGE SH 1367720 56.678 Billion
DocuSign Inc DOCU SH 219993 56.632 Billion
Mettler-Toledo International, Inc. MTD SH 41014 56.491 Billion
Magellan Midstream Partners LP MMP SH 1238466 56.449 Billion
Zebra Technologies Corp ZBRA SH 108609 55.979 Billion
Charles River Laboratories International Inc CRL SH 135570 55.946 Billion
Delta Air Lines Inc. DAL SH 1311265 55.873 Billion
DraftKings Inc. DKNG SH 1159426 55.838 Billion
Synopsys Inc. SNPS SH 184609 55.274 Billion
United Rentals, Inc. URI SH 157226 55.176 Billion
Advanced Micro Devices Inc AMD SH 535802 55.134 Billion
Exelon Corp EXC SH 1139118 55.065 Billion
Martin Marietta Materials Inc. MLM SH 160603 54.875 Billion
SPDR S&P Regional Banking ETF KRE SH 809387 54.836 Billion
First Republic Bank (CA) FRC SH 283826 54.745 Billion
Abiomed Inc ABMD SH 168015 54.693 Billion
IQVIA Holdings Inc IQV SH 227807 54.569 Billion
iShares MSCI KLD 400 Social ETF- DSI SH 654425 54.455 Billion
HCA Healthcare Inc HCA SH 222579 54.024 Billion
Kansas City Southern Industries Inc. KSU SH 199287 53.935 Billion
Twilio Inc TWLO SH 168623 53.799 Billion
AFLAC Inc. AFL SH 1029273 53.656 Billion
Broadridge Financial Solutions Inc BR SH 319753 53.284 Billion
Mandiant Inc MNDT SH 2988468 53.194 Billion
Comcast Corp. Class A CMCSA PUT 950000 53.134 Billion
Synchrony Financial SYF SH 1079477 52.765 Billion
Best Buy Co., Inc. BBY SH 497318 52.572 Billion
Eversource Energy (Western Massachusetts Cos./Northeast Utilities) ES SH 641806 52.474 Billion
Marathon Petroleum Corp MPC SH 847904 52.409 Billion
Entegris Inc. ENTG SH 415617 52.327 Billion
Skyworks Solutions, Inc. SWKS SH 314915 51.891 Billion
Fifth Third Bancorp (1927) (Cincinnati, OH) FITB SH 1216634 51.634 Billion
Advanced Micro Devices Inc AMD PUT 500800 51.532 Billion
TransDigm Group Inc TDG SH 82147 51.307 Billion
WisdomTree Emerging Markets High Dividend Fund-N/A DEM SH 1174717 51.253 Billion
Walgreens Boots Alliance Inc. WBA SH 1084219 51.013 Billion
Ameren Corporation AEE SH 628389 50.899 Billion
iShares iBonds Dec 2021 Term Corporate ETF-iShares iBonds Dec 2021 Term Corporate ETF IBDM PRN 2050348 50.705 Billion
Clorox Co. CLX SH 306145 50.7 Billion
Masco Corp. MAS SH 907772 50.426 Billion
Bank Of New York Mellon Corp BK SH 972299 50.404 Billion
Archer-Daniels-Midland Co. ADM SH 833039 49.991 Billion
Generac Holdlings Inc GNRC SH 122321 49.988 Billion
Charter Communications Inc CHTR SH 68527 49.858 Billion
XPeng Inc. XPEV SH 1398961 49.719 Billion
Arista Networks Inc ANET SH 143996 49.483 Billion
Sony Group Corp SONY SH 445586 49.273 Billion
Pultegroup Inc PHM SH 1067705 49.029 Billion
FIserv Inc. FISV SH 451643 49.003 Billion
Southwest Airlines Co. LUV SH 952445 48.984 Billion
EXACT Sciences Corp EXAS SH 512397 48.908 Billion
Aerojet Rocketdyne Holdings, Inc. (General Tire and Rubber - GenCorp) AJRD SH 1113595 48.497 Billion
Shell Plc SHEL SH 1083743 48.303 Billion
iShares Core S&P U.S. Growth ETF- IUSG SH 470678 48.202 Billion
Icon Plc Ads ICLR SH 183737 48.143 Billion
Live Nation Entertainment Inc LYV SH 525845 47.921 Billion
iShares Cohen & Steers REIT ETF- ICF SH 732213 47.901 Billion
LivaNova PLC LIVN SH 602220 47.69 Billion
Markel Corp. (Holding Co.) MKL SH 39870 47.65 Billion
Raymond James Financial Inc. RJF SH 515510 47.571 Billion
Equity Residential EQR SH 585233 47.357 Billion
Take-Two Interactive Software, Inc. TTWO SH 306894 47.283 Billion
Republic Services Inc. RSG SH 393682 47.266 Billion
iShares U.S. Aerospace & Defense ETF- ITA SH 453429 47.265 Billion
FactSet Research Systems Inc FDS SH 119062 47.004 Billion
iShares MSCI South Korea ETF EWY SH 580677 46.837 Billion
Pool Corp POOL SH 107809 46.834 Billion
V.F. Corp. (Vanity Fair Mills Inc.) VFC SH 698765 46.81 Billion
Tenneco Inc. TEN SH 3258840 46.503 Billion
iShares Global Industrials ETF- EXI SH 395731 46.498 Billion
Koninklijke Philips Electronics NV ADR PHG SH 1045762 46.474 Billion
D.R. Horton, Inc. DHI SH 550482 46.224 Billion
Tenet Healthcare Corp. THC SH 695539 46.212 Billion
iShares Global Healthcare ETF- IXJ SH 551850 46.206 Billion
Vonage Holdings Corp VG SH 2864019 46.168 Billion
CDK Global Inc CDK SH 1081974 46.038 Billion
Tractor Supply Company TSCO SH 225781 45.745 Billion
CDW Corp. CDW SH 250655 45.625 Billion
AmerisourceBergen Corp (Holding Co) ABC SH 381502 45.57 Billion
Invesco WilderHill Clean Energy ETF- PBW SH 586723 45.318 Billion
Airbnb, Inc. ABNB SH 269960 45.286 Billion
SPDR Nuveen Bloomberg High Yield Municipal Bond ETF HYMB SH 755356 45.284 Billion
BioMarin Pharmaceutical Inc BMRN SH 585207 45.231 Billion
Ally Financial Inc ALLY SH 885993 45.23 Billion
Invesco Ltd. ADR IVZ SH 1872555 45.147 Billion
Kroger Co. KR SH 1108630 44.822 Billion
Ulta Beauty Inc ULTA SH 123554 44.593 Billion
SPDR S&P 500 ETF TRUST SPY CALL 103500 44.416 Billion
Zillow Group Inc Class C Z SH 503915 44.415 Billion
Marriott International Inc/MD MAR SH 299309 44.324 Billion
Enphase Energy Inc ENPH SH 293860 44.07 Billion
KeyCorp, Inc. (Cleveland, Ohio) KEY SH 2030466 43.899 Billion
DocuSign Inc DOCU PUT 170000 43.763 Billion
SS&C Technologies Holdings Inc SSNC SH 630453 43.753 Billion
Dow Inc DOW CALL 760000 43.746 Billion
SPDR Bloomberg Short Term High Yield Bond ETF SJNK SH 1596839 43.737 Billion
Bill.com Holdings, Inc. BILL SH 163820 43.732 Billion
Alcon Inc ALC SH 542071 43.621 Billion
Dollar Tree Inc. DLTR SH 455407 43.592 Billion
ANSYS, Inc. ANSS SH 126594 43.098 Billion
Monolithic Power Systems Inc MPWR SH 87904 42.606 Billion
Zendesk Inc ZEN SH 365039 42.487 Billion
Atlassian Corp Plc TEAM SH 108188 42.347 Billion
Global Blood Therapeutics Inc GBT SH 1659191 42.277 Billion
Borg Warner Inc BWA SH 977406 42.234 Billion
Communication Services Select Sector SPDR Fund XLC SH 525661 42.111 Billion
ON Semiconductor Corp ON SH 917330 41.986 Billion
Equifax Inc. EFX SH 164659 41.728 Billion
Arch Capital Group Ltd. ACGL SH 1086422 41.48 Billion
iShares Trust iShares ESG Aware MSCI USA ETF ESGU SH 421082 41.46 Billion
Healthpeak Properties Inc PEAK SH 1236549 41.4 Billion
Cullen/Frost Bankers, Inc. (Frost National Bank) (San Antonio, TX) CFR SH 348467 41.335 Billion
Anywhere Real Estate Inc HOUS SH 2335885 40.971 Billion
Molina Healthcare Inc MOH SH 150933 40.95 Billion
Toro Co TTC SH 419050 40.82 Billion
EPAM Systems, Inc. EPAM SH 71513 40.797 Billion
Deckers Outdoor Corp DECK SH 113117 40.745 Billion
iShares 3-7 Year Treasury Bond ETF- IEI SH 312872 40.726 Billion
Avantor Inc AVTR SH 995281 40.707 Billion
Chewy Inc CHWY SH 597409 40.69 Billion
Crowdstrike Holdings Inc CRWD SH 164524 40.437 Billion
Nucor Corp. (Nuclear Corp. of America) NUE SH 410508 40.431 Billion
PerkinElmer Inc. PKI SH 231857 40.178 Billion
Darden Restaurants Inc DRI SH 264686 40.092 Billion
Leidos Holdings Inc LDOS SH 414398 39.836 Billion
Tyler Technologies Inc TYL SH 86568 39.704 Billion
BTC iShares MSCI All Country Asia ex Japan ETF AAXJ SH 465588 39.542 Billion
ZILLOW GROUP INC NOTE 0.750% 9/0 DEBT-ZILL PRN 19200000 39.533 Billion
Duke Realty Corp. DRE SH 820582 39.282 Billion
International Flavors and Fragrances, Inc. IFF SH 293705 39.274 Billion
HP Inc HPQ SH 1427602 39.059 Billion
Kraft Heinz Co. (The) KHC SH 1057286 38.93 Billion
Zynga, Inc. ZNGA SH 5169766 38.928 Billion
BRIDGEBIO PHARMA INC NOTE 2.500% 3/1 DEBT-BRID PRN 28259000 38.919 Billion
AMERICAN EAGLE OUTFITTERS IN NOTE 3.750% 4/1 DEBT-AMER PRN 12675000 38.81 Billion
Citizens Financial Group Inc CFG SH 818730 38.464 Billion
Cognex Corp CGNX SH 477510 38.306 Billion
EQT Corporation (Equitable Gas Co.) EQT SH 1871628 38.294 Billion
iShares California Muni Bond ETF- CMF SH 613076 38.057 Billion
Canadian Pacific Railway Ltd. (2001) CP SH 584547 38.036 Billion
Moderna Inc MRNA SH 97677 37.592 Billion
SPDR DJ Wilshire REIT ETF RWR SH 354125 37.335 Billion
Qorvo Inc QRVO SH 221362 37.009 Billion
Gartner, Inc. IT SH 121154 36.816 Billion
Lennar Corp. Class A LEN SH 392545 36.773 Billion
DTE Energy Co. (Detroit Edison) DTE SH 327880 36.627 Billion
The Trade Desk Inc Class A TTD SH 520850 36.616 Billion
Mid-America Apartment Communities, Inc. MAA SH 195237 36.46 Billion
Consumer Staples Select Sector SPDR XLP SH 522431 35.964 Billion
Keysight Technologies Inc KEYS SH 218835 35.953 Billion
Barrick Gold Corp GOLD SH 1984354 35.817 Billion
Insight Enterprises, Inc. NSIT SH 397565 35.813 Billion
T-Mobile US Inc TMUS SH 278081 35.527 Billion
GoDaddy Inc GDDY SH 509171 35.49 Billion
Brown & Brown Inc. BRO SH 639598 35.466 Billion
Lululemon Athletica inc. LULU SH 87519 35.418 Billion
Smucker (J.M.) Co. SJM SH 293389 35.216 Billion
NetEase Inc ADR NTES SH 411498 35.142 Billion
Avalara Inc AVLR SH 200810 35.096 Billion
VANGUARD LONG-TERM BOND INDEX FUND-ETF Shares BLV SH 342718 35.07 Billion
Innoviva Inc INVA SH 2079006 34.74 Billion
Zillow Group Inc. Class B ZG SH 389430 34.496 Billion
ISHARES CORE MSCI DEV MKTS IDEV SH 516213 34.493 Billion
VanEck Agribusiness ETF- MOO SH 377470 34.44 Billion
Biogen Inc BIIB SH 121329 34.334 Billion
SEI Investments Co. SEIC SH 573096 33.985 Billion
Hunt (J.B.) Transport Services, Inc. JBHT SH 202726 33.9 Billion
GlaxoSmithKline Plc ADR GSK SH 878764 33.577 Billion
Globe Life Inc GL SH 375196 33.404 Billion
CMS Energy Corp. (Consumers Power Co.) CMS SH 554993 33.15 Billion
Franklin Electric Co FELE SH 414890 33.129 Billion
Veoneer Inc VNE SH 967286 32.946 Billion
Eastman Chemical Co. EMN SH 326077 32.849 Billion
iShares MSCI Intl Value Factor ETF IVLU SH 1272675 32.72 Billion
Airbnb, Inc. ABNB PUT 195000 32.711 Billion
Entergy Corp. ETR SH 328952 32.669 Billion
iShares Micro-Cap ETF- IWC SH 225721 32.576 Billion
ANGI Homeservices Inc ANGI SH 2625042 32.393 Billion
Nice Ltd ADR NICE SH 113654 32.282 Billion
Halliburton Co. HAL SH 1492204 32.261 Billion
Hess Corp HES SH 408099 31.877 Billion
BJs Wholesale Club Holdings Inc BJ SH 578585 31.776 Billion
Magellan Health Inc MGLN SH 335511 31.723 Billion
Pegasystems Inc. PEGA SH 249195 31.673 Billion
Ferrari N.V. RACE SH 150814 31.538 Billion
Canadian National Railway Co. CNI SH 272243 31.485 Billion
Simon Property Group, Inc. SPG SH 241138 31.34 Billion
Parsons Corp PSN SH 927934 31.327 Billion
Fidelity National Financial Inc FNF SH 690580 31.311 Billion
Tesla Inc TSLA CALL 40000 31.019 Billion
Equinor ASA EQNR SH 1213882 30.954 Billion
Dominos Pizza Inc DPZ SH 64664 30.842 Billion
NeoGenomics, Inc. NEO SH 636210 30.691 Billion
Kirby Corp KEX SH 639313 30.662 Billion
Marriot Vacations Worldwide Corp VAC SH 193513 30.445 Billion
First Trust Dow Jones Internet Index Fund- FDN SH 128955 30.422 Billion
Cboe Global Markets Inc CBOE SH 244464 30.279 Billion
Vodafone Group Plc Sponsored ADR VOD SH 1955316 30.21 Billion
Pioneer Natural Resources Co. PXD SH 181390 30.203 Billion
Paycom Software Inc PAYC SH 60835 30.159 Billion
Five Below Inc FIVE SH 169792 30.021 Billion
Hewlett Packard Enterprise Co HPE SH 2096926 29.882 Billion
British American Tobacco Industries BTI SH 843746 29.768 Billion
Snap Inc Class A SNAP SH 401804 29.681 Billion
Callaway Golf Co. ELY SH 1070908 29.589 Billion
Ritchie Brothers Auctioneers, Inc. RBA SH 476077 29.355 Billion
Fortune Brands Home & Security Inc FBHS SH 328275 29.354 Billion
Fortinet Inc FTNT SH 100351 29.307 Billion
MarketAxess Holdings Inc MKTX SH 69582 29.273 Billion
Valaris Ltd VAL SH 838437 29.245 Billion
Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF PDBC SH 1388129 29.22 Billion
Ametek Inc. AME SH 235288 29.178 Billion
iShares U.S. Home Construction ETF- ITB SH 440349 29.142 Billion
iShares MSCI ACWI Low Carbon Target ETF CRBN SH 177127 29.1 Billion
PENN NATL GAMING INC NOTE 2.750% 5/1 DEBT-PENN PRN 9114000 29.083 Billion
C.H. Robinson Worldwide Inc CHRW SH 333616 29.024 Billion
Expedia Group Inc EXPE SH 176003 28.847 Billion
Equinix Inc EQIX PUT 36500 28.84 Billion
Infinera Corp INFN SH 3465171 28.83 Billion
Ciena Corp CIEN SH 557671 28.636 Billion
Ingersoll Rand Inc IR SH 567874 28.626 Billion
First Horizon FHN SH 1756165 28.608 Billion
Baidu Inc ADR BIDU SH 183876 28.271 Billion
Black Knight Inc BKI SH 392630 28.27 Billion
Global Payments Inc. GPN SH 178807 28.176 Billion
Tyson Foods, Inc. TSN SH 354674 27.998 Billion
Fanhua Inc ADR FANH SH 2322103 27.958 Billion
HDFC Bank Ltd ADR HDB SH 382382 27.948 Billion
Apollo Global Management Inc APO SH 453348 27.922 Billion
Zoom Video Communications Inc ZM SH 106375 27.817 Billion
Toyota Motors Corp. ADR TM SH 155324 27.609 Billion
Coinbase Global Inc COIN SH 121305 27.595 Billion
Sterling Bancorp, Inc. (PRovident Bancorp) STL SH 1102892 27.528 Billion
Brown-Forman Corp. Class B BF.B SH 408478 27.373 Billion
Axalta Coating Systems Ltd AXTA SH 936099 27.325 Billion
Trex Company TREX SH 267933 27.311 Billion
LPL Financial Holdings Inc LPLA SH 173967 27.271 Billion
Las Vegas Sands Corp LVS SH 742849 27.188 Billion
BTC iShares International Aggregate Bond Fund IAGG SH 491953 27.067 Billion
SPDR Oil & Gas Exploration and Production ETF XOP SH 279297 27.014 Billion
Hasbro Inc. HAS SH 301580 26.906 Billion
Lamb Weston Holdings Inc LW SH 436716 26.801 Billion
CenterPoint Energy Inc CNP SH 1081167 26.597 Billion
BTC iShares MSCI India ETF INDA SH 545256 26.549 Billion
East West Bancorp, Inc. EWBC SH 341759 26.5 Billion
Premier Inc PINC SH 682910 26.469 Billion
Monmouth Real Estate Investment Corp MNR SH 1413311 26.358 Billion
VeriSign Inc. VRSN SH 128226 26.288 Billion
iShares MSCI USA Small-Cap Min Vol Factor ETF SMMV SH 708431 26.269 Billion
Avaya Holdings Corp AVYA SH 1326521 26.252 Billion
PTC Inc. PTC SH 218798 26.21 Billion
Vanguard Global ex-U.S. Real Estate ETF VNQI SH 463736 26.113 Billion
FMC Corp. (Food Machinery & Chemical Corp.) FMC SH 284689 26.067 Billion
Hubspot Inc HUBS SH 38399 25.961 Billion
Edison International (Southern California Edison) EIX SH 467684 25.943 Billion
Alliant Energy Corp LNT SH 461656 25.843 Billion
Enbridge, Inc. (Interprovincial Pipe Line System - IPL Energy) ENB SH 647892 25.786 Billion
ASGN Inc. (On Assignment Inc.) ASGN SH 227383 25.726 Billion
WisdomTree U.S. MidCap Dividend Fund-N/A DON SH 619037 25.659 Billion
WisdomTree Emerging Markets SmallCap Dividend Fund-N/A DGS SH 479710 25.655 Billion
Liberty Media Corp Series C FWONK SH 498485 25.627 Billion
Popular Inc (Puerto Rico) BPOP SH 329873 25.622 Billion
Old Dominion Freight Line Inc ODFL SH 89535 25.606 Billion
Vistra Energy Corp VST SH 1494593 25.558 Billion
M&T Bank Corp. (Buffalo, NY) (Manufacturers & Traders Trust) MTB SH 170916 25.524 Billion
BHP Group PLC BBL SH 502286 25.461 Billion
iShares Core S&P U.S. Value ETF- IUSV SH 358003 25.375 Billion
Floor & Decor Holdings Inc FND SH 209807 25.342 Billion
SPDR S&P Bank ETF KBE SH 478096 25.296 Billion
Organon & Co OGN SH 770051 25.25 Billion
SailPoint Technologies Holdings Inc SAIL SH 588290 25.226 Billion
Lear Corp LEA SH 161152 25.217 Billion
BTC iShares MSCI USA Value Factor ETF VLUE SH 249598 25.135 Billion
Viatris Inc VTRS SH 1850836 25.079 Billion
Companhia Vale de Rio Doce S.A. ADR VALE SH 1796092 25.055 Billion
Workiva Inc WK SH 175655 24.76 Billion
Assurant Inc. AIZ SH 156774 24.731 Billion
Rithm Capital Corporation RITM SH 2234400 24.578 Billion
Silicon Laboratories Inc SLAB SH 175239 24.562 Billion
Pebblebrook Hotel Trust PEB SH 1090903 24.448 Billion
SPDR S&P Global Natural Resources ETF GNR SH 472878 24.282 Billion
Garmin Ltd GRMN SH 155655 24.198 Billion
Vanguard Intermediate-Term Treasury ETF VGIT SH 357806 24.17 Billion
Conmed Corp CNMD SH 184030 24.077 Billion
LCI Industries LCII SH 177704 23.925 Billion
BCE Inc. (Bell Telephone of Canada) BCE SH 476389 23.848 Billion
UDR Inc. (Old Dominion REIT - United Dominion Realty Trust) UDR SH 447617 23.715 Billion
Western Digital Corp WDC SH 417925 23.587 Billion
TopBuild Corp BLD SH 114805 23.513 Billion
Advanced Drainage Systems Inc WMS SH 217342 23.51 Billion
Plains All American Pipeline LP PAA SH 2309054 23.483 Billion
Mosaic Company (The) MOS SH 656693 23.457 Billion
Power Integrations, Inc. POWI SH 236518 23.413 Billion
Omnicell Inc OMCL SH 157262 23.343 Billion
National Vision Holdings Inc EYE SH 411082 23.337 Billion
Carlisle Companies Inc CSL SH 116980 23.254 Billion
Schein (Henry) Inc. HSIC SH 301793 22.985 Billion
iShares MSCI Taiwan ETF EWT SH 370282 22.961 Billion
McCormick & Co. Non-Voting Shares MKC SH 282365 22.88 Billion
World Wrestling Entertainment Inc WWE SH 404996 22.785 Billion
Dell Technologies Inc DELL SH 218739 22.758 Billion
EMCOR Group, Inc. EME SH 196674 22.692 Billion
Prudential plc ADS ADR PUK SH 578775 22.676 Billion
Kellogg Co. K SH 353386 22.588 Billion
Berry Global Group Inc BERY SH 370922 22.582 Billion
Louisiana Pacific Corp. LPX SH 366261 22.477 Billion
ABM Industries Inc ABM SH 496332 22.34 Billion
Canada Goose Holdings Inc GOOS SH 626211 22.337 Billion
Loews Corp L SH 413309 22.29 Billion
Berkeley (W.R.) Corp. WRB SH 304458 22.281 Billion
ABB Ltd. ADR ABB SH 665387 22.198 Billion
Investors Bancorp Inc ISBC SH 1466341 22.156 Billion
BeiGene Ltd ADR BGNE SH 60865 22.094 Billion
Realty Income Corp. O SH 339366 22.011 Billion
United Therapeutics Corp UTHR SH 119144 21.992 Billion
Fox Factory Holding Corp FOXF SH 151723 21.93 Billion
Bio-Rad Laboratories Inc Class A BIO SH 29365 21.905 Billion
iShares Global Materials ETF- MXI SH 256508 21.849 Billion
RH Common Stock RH SH 32761 21.849 Billion
Tetra Tech, Inc. TTEK SH 146194 21.833 Billion
PPL Corp. (Pennsylvania Power & Light) PPL SH 777152 21.667 Billion
Relx Plc ADR RELX SH 750665 21.664 Billion
Skechers USA, Inc. Class A SKX SH 513334 21.621 Billion
Stifel Financial Corp SF SH 314199 21.353 Billion
VanEck Russia ETF- RSX SH 702990 21.315 Billion
SAP SE ADR SAP SH 156935 21.193 Billion
Burlington Stores Inc BURL SH 74203 21.042 Billion
Rogers Communications Inc. Class B (NYSE) RCI SH 450909 21.03 Billion
Comerica, Inc. (Detroit, MI) (Detroit Bank & Trust) CMA SH 261162 21.024 Billion
Biohaven Pharmaceutical Holding Co Ltd BHVN SH 151326 21.021 Billion
Trip.com Group Ltd TCOM SH 683250 21.01 Billion
Cornerstone OnDemand Inc CSOD1 SH 366655 20.995 Billion
Invitation Homes Inc INVH SH 547055 20.968 Billion
RenaissanceRe Holdings Ltd RNR SH 149752 20.876 Billion
Bentley Systems, Inc. Class B BSY SH 343473 20.828 Billion
Baker Hughes Company BKR SH 841474 20.809 Billion
Medallia Inc MDLA1 SH 614389 20.809 Billion
MKS Instruments Inc MKSI SH 137360 20.729 Billion
Vanguard Mega Cap Value ETF MGV SH 211703 20.715 Billion
Davita Inc. DVA SH 178015 20.696 Billion
Granite Construction Inc. GVA SH 523061 20.687 Billion
Aspen Technology Inc AZPN SH 168416 20.682 Billion
BHP Group Ltd BHP SH 385298 20.621 Billion
iShares MSCI Pacific ex Japan ETF EPP SH 422560 20.617 Billion
Nuance Communications, Inc. NUAN SH 372629 20.51 Billion
Royal Bank of Canada (NYSE) RY SH 205861 20.479 Billion
Helen Of Troy Ltd. HELE SH 90835 20.409 Billion
Nexstar Media Group Inc NXST SH 133795 20.332 Billion
Occidental Petroleum Corp. OXY SH 687071 20.323 Billion
DENTSPLY International Inc. (1983) XRAY SH 349948 20.314 Billion
PVH Corp. (Phillips Jones - Phillips Van Heusen Corp.) PVH SH 197456 20.296 Billion
ResMed Inc. RMD SH 76936 20.277 Billion
Vail Resorts Inc MTN SH 60491 20.207 Billion
Guggenheim Solar ETF TAN SH 251660 20.12 Billion
Masimo Corp MASI SH 73778 19.972 Billion
WisdomTree Japan Hedged Equity Fund-N/A DXJ SH 315981 19.957 Billion
MasTec Inc. (Burnup & Sims, Inc.) MTZ SH 231213 19.949 Billion
Interpublic Group of Companies Inc (The) IPG SH 543756 19.939 Billion
Owens Corning Inc OC SH 231516 19.795 Billion
Freshpet Inc FRPT SH 138655 19.785 Billion
Dropbox Inc DBX SH 676547 19.769 Billion
YETI Holdings Inc YETI SH 230337 19.737 Billion
Aerie Pharmaceuticals Inc AERI SH 1717699 19.582 Billion
Taskus Inc TASK SH 292263 19.398 Billion
Globant S.A. GLOB SH 68834 19.343 Billion
Graphic Packaging Holding Company GPK SH 1015754 19.34 Billion
F.N.B. Corp. FNB SH 1663763 19.333 Billion
UMB Financial Corp (City National Bank & Trust Co. - United Missouri Bancshares, Kansas City, MO) UMBF SH 198876 19.234 Billion
Lamar Advertising Co LAMR SH 166721 18.914 Billion
Neurocrine Biosciences Inc. NBIX SH 197052 18.899 Billion
BioLife Solutions Inc BLFS SH 444017 18.791 Billion
ONEOK Inc. (Oklahoma Natural Gas) OKE SH 322843 18.721 Billion
Hexcel Corp HXL SH 315194 18.72 Billion
Cheniere Energy Inc LNG SH 191454 18.699 Billion
Howmet Aerospace Inc. (Aluminum Co. of America - Alcoa - Arconic) HWM SH 598342 18.669 Billion
Graco Inc. GGG SH 266670 18.659 Billion
Axa Equitable Holdings Inc EQH SH 628703 18.635 Billion
Patrick Industries, Inc. PATK SH 223279 18.599 Billion
Rio Tinto plc (NYSE) ADR RIO SH 277973 18.574 Billion
F5 Networks Inc FFIV SH 92530 18.393 Billion
Southern Copper Corp. SCCO SH 326391 18.323 Billion
Arrowhead Pharmaceuticals Inc ARWR SH 292054 18.233 Billion
Qiagen N.V. QGEN SH 352762 18.231 Billion
Invesco Global Water ETF PIO SH 458688 18.21 Billion
Brookfield Infrastructure Partners L.P. Subordinate Shares BIPC SH 302491 18.113 Billion
AtriCure Inc ATRC SH 259854 18.073 Billion
8x8 Inc EGHT SH 772101 18.059 Billion
Lumen Technologies, Inc LUMN SH 1457317 18.056 Billion
SPDR S&P International Small Cap ETF GWX SH 467845 18.005 Billion
iShares Intermediate Government/Credit Bond ETF- GVI SH 156124 17.975 Billion
Meritage Homes Corp. MTH SH 184710 17.917 Billion
Lincoln National Corp. LNC SH 260593 17.916 Billion
Cable One Inc CABO SH 9850 17.859 Billion
Royal Dutch Shell plc Class B ADR RDS.B SH 401165 17.76 Billion
Elanco Animal Health Inc ELAN SH 556827 17.757 Billion
NVR Inc NVR SH 3701 17.743 Billion
Upstart Holdings, Inc. UPST SH 55978 17.714 Billion
Huntington Ingalls Industries Inc HII SH 91679 17.699 Billion
Whirlpool Corp. (DE) WHR SH 86788 17.692 Billion
Columbia Emerging Markets Consumer ETF ECON SH 710755 17.691 Billion
DecisionPoint Systems Inc. COMT SH 493421 17.684 Billion
Iron Mountain, Inc. IRM SH 406803 17.676 Billion
Zurn Water Solutions Corp ZWS SH 274878 17.672 Billion
Eagle Materials Inc. EXP SH 134627 17.658 Billion
JPMorgan Ultra-Short Income ETF JPST SH 347901 17.646 Billion
Bloom Energy Corp BE SH 937923 17.558 Billion
Check Point Software Technologies Ltd CHKP SH 154750 17.493 Billion
Welbilt Inc WBT SH 750738 17.447 Billion
First Citizens BancShares, Inc. Class A FCNCA SH 20653 17.414 Billion
Sarepta Therapeutics Inc SRPT SH 187993 17.385 Billion
Universal Health Services Class B UHS SH 125598 17.379 Billion
Syneos Health Inc Class A SYNH SH 197902 17.312 Billion
Vanguard Russell 1000 Growth Index ETF VONG SH 245434 17.296 Billion
Accolade, Inc. ACCD SH 408893 17.243 Billion
ITT Inc. (International Telephone and Telegraph) ITT SH 200764 17.234 Billion
Littelfuse Inc. LFUS SH 63039 17.227 Billion
Amcor Ltd AMCR SH 1484414 17.204 Billion
Textron Inc. TXT SH 245527 17.14 Billion
Lattice Semconductor Corp. LSCC SH 265055 17.136 Billion
Royal Caribbean Cruises Ltd RCL SH 192551 17.127 Billion
Sensata Technologies Holding N.V. ST SH 312878 17.121 Billion
Biotechne Corp TECH SH 35057 16.988 Billion
ConAgra Brands Inc CAG SH 501044 16.97 Billion
AT&T Inc. (Southwestern Bell - SBC Corp.) T PUT 627400 16.946 Billion
Merit Medical Systems Inc. MMSI SH 235878 16.936 Billion
Toll Brothers, Inc. TOL SH 306163 16.928 Billion
Rogers Corp. ROG SH 90592 16.893 Billion
Amdocs Ltd DOX SH 222892 16.875 Billion
Alarm.com Holdings Inc ALRM SH 215818 16.875 Billion
CNX Resources Corporation CNX SH 1334038 16.836 Billion
Kite Realty Group Trust KRG SH 825612 16.81 Billion
Li Auto Inc. ADS LI SH 638762 16.793 Billion
Pulse Biosciences Inc PLSE SH 773733 16.713 Billion
Bandwidth Inc BAND SH 184891 16.691 Billion
WisdomTree Europe Hedged Equity Fund-N/A HEDJ SH 219164 16.67 Billion
SPDR Metals & Mining ETF XME SH 399137 16.66 Billion
Barclays Bank plc Sponsored ADR BCS SH 1608755 16.602 Billion
Fox Corp FOX SH 446006 16.556 Billion
Vanguard Extended Duration Treasury ETF EDV SH 122105 16.549 Billion
News Inc. Class A NWSA SH 702098 16.521 Billion
Teledyne Technologies, Inc. TDY SH 38122 16.377 Billion
JPMorgan Chase & Co. (Chemical Bank) JPM CALL 100000 16.369 Billion
Tabula Rasa HealthCare Inc TRHC SH 623928 16.353 Billion
Sociedad Quimica y Minera de Chile S.A. Class A ADR SQM SH 304262 16.345 Billion
Heico Corp. Class A HEI.A SH 137805 16.32 Billion
Vmware Inc VMW SH 109626 16.301 Billion
Phreesia Inc PHR SH 263438 16.255 Billion
Summit Materials Inc SUM SH 508314 16.251 Billion
Perficient Inc. PRFT SH 140103 16.21 Billion
Allegion plc ALLE SH 121589 16.072 Billion
Halozyme Therapeutics Inc HALO SH 395033 16.07 Billion
Liveramp Holdings Inc RAMP SH 339902 16.054 Billion
Stag Industrial Inc STAG SH 408049 16.016 Billion
Tapestry Inc TPR SH 431802 15.985 Billion
Stride Inc LRN SH 444447 15.973 Billion
Crown Holdings Inc. (Crown Cork & Seal) CCK SH 158475 15.971 Billion
Ericsson (L.M.) Telephone Companies ADR ERIC SH 1425876 15.969 Billion
Alleghany Corp (NY) Y SH 25548 15.952 Billion
Trimble Navigation Ltd. TRMB SH 193515 15.917 Billion
Amerisafe Inc AMSF SH 282903 15.887 Billion
JinkoSolar Holding Co Ltd ADR JKS SH 345354 15.821 Billion
Euronet Worldwide Inc. EEFT SH 124273 15.818 Billion
iShares Core S&P Total U.S. Stock Market ETF- ITOT SH 160487 15.789 Billion
Carlyle Group Inc CG SH 333932 15.788 Billion
Zions Bancorp ZION SH 254320 15.74 Billion
Kemper Corp. (1990) KMPR SH 235092 15.702 Billion
Akamai Technologies Inc. AKAM PUT 150000 15.688 Billion
Avient Corp. (PolyOne Corp.) AVNT SH 337296 15.634 Billion
Churchill Capital Corp VII CVII SH 1600000 15.552 Billion
Cimarex Energy Co. XEC1 SH 178105 15.531 Billion
SPDR S&P China ETF GXC SH 140536 15.522 Billion
Novanta Inc NOVT SH 100176 15.477 Billion
Liberty Global plc Class C LBTYK SH 524438 15.45 Billion
Anheuser-Busch Inbev SA ADR BUD SH 272744 15.377 Billion
iShares U.S. Healthcare Providers ETF- IHF SH 60115 15.376 Billion
Vanguard High Dividend Yield Indx ETF VYM SH 148642 15.362 Billion
Flextronics International Inc. FLEX SH 866393 15.318 Billion
Crestwood Equity Partners LP CEQP SH 539398 15.308 Billion
Compass Inc COMP SH 1153469 15.295 Billion
Pacific Premier BanCorp., Inc. PPBI SH 368628 15.276 Billion
Ferguson PLC FERG SH 109245 15.242 Billion
Tempur Sealy International Inc TPX SH 328125 15.228 Billion
NCL CORP LTD NOTE 6.000% 5/1 DEBT-NCL PRN 7101000 15.207 Billion
Cracker Barrel Old Country Store, Inc. CBRL SH 108723 15.204 Billion
Jabil Inc JBL SH 260392 15.199 Billion
Vanguard Information Technology ETF VGT SH 37673 15.118 Billion
NCR Corp. NCR SH 388015 15.039 Billion
Performance Food Group Co PFGC SH 321568 14.94 Billion
JELD-WEN Holding Inc JELD SH 596267 14.925 Billion
Robert Half International, Inc. RHI SH 148616 14.91 Billion
Pinnacle Financial Partners Inc PNFP SH 158276 14.891 Billion
Longview Acquisition Corp II LGV SH 1500000 14.835 Billion
Ventas, Inc. VTR SH 268334 14.815 Billion
VICI Properties Inc VICI SH 521330 14.811 Billion
Evo Payments Inc EVOP SH 625375 14.809 Billion
Reinsurance Group of America Inc RGA SH 133055 14.804 Billion
AMN Healthcare Services Inc AMN SH 128780 14.777 Billion
BP Midstream Partners LP BPMP SH 1114809 14.771 Billion
NetApp Inc. NTAP SH 164160 14.735 Billion
ZTO Express Cayman Inc ADR ZTO SH 479955 14.715 Billion
Blueprint Medicines Corp BPMC SH 142723 14.673 Billion
CubeSmart CUBE SH 301945 14.629 Billion
Medpace Holdings Inc MEDP SH 77225 14.617 Billion
Mercury Systems Inc. MRCY SH 308139 14.612 Billion
TELUS Corp. Non-Voting Shares TU SH 665364 14.611 Billion
Air Transport Services Group Inc ATSG SH 562193 14.51 Billion
Planet Fitness Inc PLNT SH 184629 14.503 Billion
Manhattan Associates, Inc. MANH SH 94624 14.48 Billion
ChampionX Corp CHX SH 645640 14.436 Billion
FirstCash Holdings Inc FCFS SH 164928 14.432 Billion
PIMCO 1-5 Year U.S. TIPS Index Exchange-Traded Fund STPZ SH 262909 14.423 Billion
WEX, Inc. WEX SH 81818 14.412 Billion
Knowles Corp. KN SH 768629 14.404 Billion
NRG Energy Inc NRG SH 352282 14.384 Billion
Bloomin Brands Inc BLMN SH 570764 14.27 Billion
Liberty Global plc Class A LBTYA SH 478819 14.268 Billion
Global X S&P 500 Catholic Values ETF CATH SH 263932 14.234 Billion
I-MAB ADR IMAB SH 196254 14.226 Billion
Snap-On Inc. SNA SH 67951 14.198 Billion
Eqova Water Technologies Corp AQUA SH 377098 14.164 Billion
Cameco Corp. CCJ SH 650969 14.145 Billion
Vital Farms, Inc. VITL SH 803618 14.12 Billion
Boston Properties, Inc. BXP SH 130239 14.111 Billion
Warner Bros.Discovery Inc WBD SH 556008 14.111 Billion
ROYAL CARIBBEAN GROUP NOTE 4.250% 6/1 DEBT-ROYA PRN 10000000 14.05 Billion
Heico Corp. HEI SH 106478 14.042 Billion
Cliffs Natural Resources Inc. CLF SH 706461 13.995 Billion
DXC Technology Company DXC SH 416231 13.99 Billion
Evercore Inc. Class A EVR SH 104648 13.988 Billion
Newell Brands Inc NWL SH 629618 13.94 Billion
Westinghouse Air Brake Technologies Corp WAB SH 161660 13.937 Billion
Ryanair Holdings ADR RYAAY SH 126260 13.896 Billion
ACI Worldwide Inc. (Transaction Systems Architects) ACIW SH 451643 13.879 Billion
Monro Muffler Brake, Inc. MNRO SH 241116 13.866 Billion
Starbucks Corp. SBUX CALL 125400 13.833 Billion
Chicken Soup For The Soul Entertainment Inc CSSE SH 604869 13.833 Billion
Keurig Dr Pepper Inc KDP SH 404563 13.82 Billion
SPDR Dow Jones International Real Estate ETF RWX SH 389110 13.813 Billion
Elastic NV ESTC SH 92397 13.767 Billion
Fair Isaac Corp FICO SH 34574 13.758 Billion
Western Midstream Partners, LP WES SH 655924 13.748 Billion
Masonite International Corp DOOR SH 129078 13.699 Billion
Encore Capital Group Inc ECPG SH 276513 13.624 Billion
Ziff Davis Inc ZD SH 99653 13.614 Billion
Mohawk Industries Inc. MHK SH 76616 13.592 Billion
Cloudflare Inc NET SH 120559 13.581 Billion
Roku Inc ROKU SH 43309 13.571 Billion
W.P. Carey Inc WPC SH 185249 13.531 Billion
Palantir Technologies Inc. PLTR SH 560281 13.469 Billion
Verra Mobility Corp VRRM SH 892408 13.448 Billion
Lantheus Holdings Inc LNTH SH 522621 13.421 Billion
RBC Bearings Inc ROLL SH 63101 13.39 Billion
NiSource Inc. NI SH 550775 13.346 Billion
Healthcare Services Group Inc HCSG SH 532832 13.315 Billion
KE Holdings Inc. BEKE SH 728967 13.311 Billion
iShares Global Financials ETF- IXG SH 169587 13.304 Billion
Aramark ARMK SH 404596 13.295 Billion
Nutanix Inc NTNX SH 352016 13.271 Billion
BTC iShares J.P. Morgan USD Emerging Markets Bond ETF EMB SH 120255 13.235 Billion
Silk Road Medical Inc SILK SH 240311 13.224 Billion
WisdomTree International SmallCap Dividend Fund-N/A DLS SH 177827 13.202 Billion
Arrow Electronics Corp. ARW SH 117230 13.164 Billion
Chart Industries Inc GTLS SH 68732 13.135 Billion
Kohls Corp. KSS SH 278156 13.098 Billion
ARK Next Generation Internet ETF ARKW SH 94271 13.091 Billion
Olin Corp. (Mathieson Chemical) OLN SH 271090 13.08 Billion
Ambarella Inc AMBA SH 83948 13.074 Billion
Life Storage Inc LSI SH 113853 13.063 Billion
PayPal Holdings Inc PYPL PUT 50000 13.01 Billion
Ingevity Corp NGVT SH 182271 13.009 Billion
Oshkosh Corporation OSK SH 126988 12.999 Billion
ETFS Physical Palladium Shares PALL SH 72744 12.974 Billion
Healthcare Realty Trust Inc HR SH 437222 12.968 Billion
GrafTech International Ltd EAF SH 1254417 12.946 Billion
Altra Industrial Motion Corp AIMC SH 233819 12.942 Billion
Coca-Cola European Partners PLC CCEP SH 233671 12.92 Billion
Federal Signal Corp. FSS SH 334561 12.92 Billion
Portland General Electric Co. POR SH 274666 12.907 Billion
Innospec Inc IOSP SH 152763 12.866 Billion
Pan American Silver Corp PAAS SH 552143 12.848 Billion
LKQ Corp LKQ SH 255240 12.844 Billion
Umpqua Holdings Corp. UMPQ SH 632741 12.813 Billion
J & J Snack Foods Corp. JJSF SH 83824 12.81 Billion
Tenable Holdings Inc TENB SH 277411 12.8 Billion
Steel Dynamics, Inc. STLD SH 218315 12.767 Billion
AGCO Corp AGCO SH 103833 12.722 Billion
HealthEquity Inc HQY SH 195883 12.685 Billion
Allscripts Healthcare Solutions Inc MDRX SH 948358 12.68 Billion
Hanover Insurance Group, Inc. (The) THG SH 97759 12.672 Billion
Builders FirstSource Inc BLDR SH 244117 12.631 Billion
Atlas Air Worldwide Holdings Inc AAWW SH 154547 12.624 Billion
Forterra Inc FRTA SH 534612 12.595 Billion
TG Therapeutics Inc TGTX SH 376646 12.535 Billion
FARFETCH LTD NOTE 3.750% 5/0 DEBT-FARF PRN 5000000 12.533 Billion
Ceridian HCM Holding Inc CDAY SH 111283 12.532 Billion
Hyatt Hotels Corp H SH 162415 12.522 Billion
Workday Inc WDAY PUT 50000 12.494 Billion
LendingClub Corp LC SH 441785 12.476 Billion
KB Home Inc. KBH SH 320308 12.467 Billion
Jack In The Box, Inc JACK SH 127790 12.438 Billion
Texas Capital Bancshares Inc TCBI SH 207067 12.428 Billion
Tanger Factory Outlet Centers Inc SKT SH 762359 12.426 Billion
iShares Cybersecurity and Tech ETF IHAK SH 285987 12.426 Billion
United Bankshares, Inc. UBSI SH 340940 12.404 Billion
Golub Capital BDC Inc GBDC SH 782462 12.371 Billion
Hamilton Lane Inc HLNE SH 145520 12.343 Billion
Flowers Foods FLO SH 521430 12.321 Billion
Real Estate Select Sector SPDR Fund (The) XLRE SH 277138 12.319 Billion
Light & Wonder Inc LNW SH 147467 12.25 Billion
Brixmor Property Group Inc BRX SH 553507 12.239 Billion
Jazz Pharmaceuticals plc JAZZ SH 93846 12.219 Billion
Allegiant Travel Co ALGT SH 62448 12.208 Billion
EastGroup Properties, Inc. EGP SH 73044 12.172 Billion
CIT Group Inc (DEL) CIT SH 233321 12.121 Billion
Korn Ferry KFY SH 167469 12.118 Billion
Quest Diagnostics, Inc. DGX SH 83234 12.095 Billion
Cabot Corp. CBT SH 241169 12.087 Billion
Veracyte Inc VCYT SH 259807 12.068 Billion
BTC BlackRock Ultra Short-Term Bond ETF ICSH SH 237548 11.997 Billion
National Grid Plc ADR NGG SH 200836 11.976 Billion
Omnicom Group Inc. OMC SH 164853 11.945 Billion
Gentex Corp. GNTX SH 361537 11.923 Billion
Kimco Realty Corp. KIM SH 574399 11.918 Billion
Principal Financial Group PFG SH 184365 11.873 Billion
Vanguard Industrials ETF VIS SH 63172 11.869 Billion
Williams-Sonoma Inc. WSM SH 66694 11.827 Billion
Evergy Inc EVRG SH 190128 11.826 Billion
Energizer Holdings Inc ENR SH 302697 11.821 Billion
Cactus Inc WHD SH 313385 11.821 Billion
Southwest Gas Holdings Inc SWX SH 176664 11.816 Billion
Waste Connections Inc WCN SH 93830 11.816 Billion
Concentrix Corp. CNXC SH 66759 11.816 Billion
Balchem Corp. BCPC SH 81132 11.77 Billion
Shockwave Medical Inc SWAV SH 57162 11.768 Billion
Credit Acceptance Corp. CACC SH 20070 11.747 Billion
Peloton Interactive Inc PTON SH 134137 11.677 Billion
Invesco Emerging Markets Sovereign Debt ETF PCY SH 437515 11.669 Billion
Integra LifeSciences Holdings Corp IART SH 169838 11.63 Billion
Ultragenyx Pharmaceutical Inc RARE SH 128914 11.627 Billion
First Midwest Bancorp, Inc. FMBI SH 608403 11.566 Billion
Paylocity Holding Corp PCTY SH 41093 11.522 Billion
Seagen Inc SGEN SH 67722 11.499 Billion
Applied Industrial Technologies Inc. (Brown Fence & Wire - Jim Brown Stores - Bearings Specialists) AIT SH 127199 11.465 Billion
Nordson Corporation NDSN SH 48094 11.453 Billion
Regal Rexnord Corp RRX SH 76096 11.44 Billion
Advance Auto Parts, Inc. AAP SH 54708 11.428 Billion
Jones Lang Lasalle Inc JLL SH 45947 11.399 Billion
Staar Surgical Co. STAA SH 88505 11.376 Billion
Wingstop Inc WING SH 69274 11.356 Billion
APi Group Corp APG SH 557268 11.34 Billion
Olo Inc OLO SH 377169 11.327 Billion
Acceleron Pharma Inc XLRN SH 65741 11.314 Billion
UGI Corp. (United Gas Improvement) UGI SH 265318 11.308 Billion
Molson Coors Brewing Co TAP SH 242624 11.253 Billion
iShares Global Timber & Forestry ETF- WOOD SH 132280 11.244 Billion
Carpenter Technology Corp. CRS SH 340173 11.137 Billion
Atkore Inc ATKR SH 127964 11.123 Billion
Progyny, Inc. PGNY SH 198252 11.102 Billion
Crocs Inc CROX SH 77235 11.082 Billion
United Community Banks Inc UCBI SH 336488 11.043 Billion
Wintrust Financial Corp. WTFC SH 136697 10.986 Billion
Integer Holdings Corp ITGR SH 122561 10.95 Billion
iShares Russell 2000 ETF- IWM PUT 50000 10.938 Billion
iShares Russell 2000 ETF- IWM CALL 50000 10.938 Billion
Invitae Corp NVTA SH 384731 10.938 Billion
Commerce Bancshares, Inc. (Commerce Trust Co., Kansas City, MO) CBSH SH 156953 10.936 Billion
Datadog Inc DDOG SH 77161 10.907 Billion
Agora, Inc. ADS API SH 375445 10.888 Billion
Aercap Holdings N.V. AER SH 188059 10.872 Billion
Retail Properties of America Inc RPAI1 SH 839517 10.813 Billion
Associated Banc-Corp ASB SH 503138 10.777 Billion
First Hawaiian Inc FHB SH 365242 10.72 Billion
Tri Pointe Homes Inc (DE) TPH SH 509873 10.718 Billion
2U, Inc TWOU SH 318957 10.707 Billion
Synovus Financial Corp. (Columbus, GA) SNV SH 243862 10.703 Billion
Mueller Industries Inc MLI SH 260402 10.702 Billion
Vroom, Inc. VRM SH 483901 10.68 Billion
Hologic Inc. HOLX SH 144082 10.635 Billion
Envestnet Inc ENV SH 132301 10.616 Billion
Eldorado Resorts Inc CZR SH 94515 10.612 Billion
LivePerson Inc. LPSN SH 178166 10.503 Billion
Hope Bancorp Inc HOPE SH 727202 10.501 Billion
WisdomTree International High Dividend Fund-N/A DTH SH 276386 10.472 Billion
ON Semiconductor Corp ON PUT 228000 10.436 Billion
BankUnited Inc BKU SH 248990 10.413 Billion
Alnylam Pharmaceuticals Inc ALNY SH 55136 10.41 Billion
Pra Group Inc PRAA SH 246503 10.388 Billion
SPS Commerce Inc SPSC SH 64292 10.371 Billion
Encompass Health Corp EHC SH 138106 10.363 Billion
Cabot Microelectronics Corp CCMP SH 84061 10.359 Billion
Five9 Inc FIVN SH 64853 10.359 Billion
Alaska Air Group Inc ALK SH 176556 10.347 Billion
WestRock Co WRK SH 207622 10.346 Billion
Medical Properties Trust Inc MPW SH 515283 10.342 Billion
Xerox Corp. (Haloid Co.) XRX SH 511306 10.313 Billion
Smith (A.O.) Corp., Class B AOS SH 168853 10.312 Billion
Avnet Inc AVT SH 278713 10.304 Billion
Ensign Group Inc. (The) ENSG SH 137331 10.285 Billion
Western Alliance Bancorporation WAL SH 94389 10.272 Billion
Azenta Inc AZTA SH 100127 10.248 Billion
Brinks Company (The) BCO SH 161686 10.235 Billion
Resideo Technologies Inc REZI SH 412497 10.226 Billion
Dorman Products, Inc. DORM SH 107974 10.222 Billion
Spectrum Brands Holdings (Zapata Off-Shore - HRG Group) SPB SH 105961 10.137 Billion
ARK Autonomous Technology & Robotics ETF ARKQ SH 129814 10.132 Billion
Harley Davidson Inc HOG SH 274643 10.055 Billion
Sonos Inc SONO SH 310235 10.039 Billion
Q2 Holdings Inc QTWO SH 125053 10.022 Billion
Bryn Mawr Bank Corp. (Bryn Mawr, PA) BMTC SH 217982 10.016 Billion
Stamps.com Inc STMP1 SH 30352 10.01 Billion
Quanergy Systems Inc QNGY SH 1000000 9.97 Billion
Zimmer Energy Transition Acquisition Cor ZTAQU SH 998267 9.933 Billion
PacWest Bancorp (DE) PACW SH 219052 9.927 Billion
Pinterest Inc PINS SH 194636 9.917 Billion
Darling Ingredients Inc DAR SH 137899 9.914 Billion
Innovid Corp CTV SH 1000000 9.91 Billion
Planet Labs PBC PL SH 1000000 9.91 Billion
Reliance Steel & Aluminum Co. RS SH 69439 9.889 Billion
Fast Radius Inc FSRD SH 1000000 9.88 Billion
American Homes 4 Rent AMH SH 259007 9.873 Billion
CACI International Inc. Class A CACI SH 37589 9.852 Billion
UniFirst Corp UNF SH 45940 9.768 Billion
Vanguard FTSE All-World Ex-US Small Capital Index Fund ETF VSS SH 73032 9.764 Billion
Lumentum Holdings Inc LITE SH 116850 9.762 Billion
ARK Genomic Revolution ETF ARKG SH 130518 9.752 Billion
Varonis Systems Inc VRNS SH 160080 9.741 Billion
Nomad Foods Ltd NOMD SH 353113 9.732 Billion
iShares Global Infrastructure ETF- IGF SH 211790 9.721 Billion
ExlService Holdings Inc EXLS SH 78858 9.709 Billion
Simpson Manufacturing Co., Inc. SSD SH 90481 9.679 Billion
South State Corp SSB SH 128989 9.631 Billion
Semtech Corp SMTC SH 123468 9.627 Billion
AES Corp. (The) AES SH 420196 9.593 Billion
First Interstate BancSystem Inc FIBK SH 238080 9.585 Billion
Acuity Brands Inc (Holding Company) AYI SH 55271 9.582 Billion
Onto Innovation Inc. ONTO SH 132533 9.575 Billion
Stewart Information Services Corp. STC SH 150709 9.534 Billion
LHC Group Inc. LHCG SH 60702 9.525 Billion
Essent Group Ltd ESNT SH 216244 9.517 Billion
Restaurant Brands International Inc QSR SH 155399 9.508 Billion
ICU Medical Inc ICUI SH 40709 9.5 Billion
Penn National Gaming Inc. PENN SH 131076 9.497 Billion
Wynn Resorts Ltd WYNN SH 111229 9.427 Billion
Financial Select Sector SPDR XLF CALL 250000 9.382 Billion
Steven Madden Ltd SHOO SH 231874 9.312 Billion
Vornado Realty Trust VNO SH 221562 9.307 Billion
Commercial Metals Company CMC SH 305392 9.302 Billion
Herc Holdings Inc HRI SH 56845 9.292 Billion
Hancock Whitney Corp HWC SH 196561 9.262 Billion
Domo Inc DOMO SH 109175 9.219 Billion
RPM International Inc. RPM SH 118698 9.217 Billion
Federated Hermes Inc. (Federated Investors) FHI SH 283424 9.211 Billion
Vontier Corp. VNT SH 273907 9.203 Billion
Sprout Social, Inc. SPT SH 75423 9.198 Billion
Caseys General Stores, Inc. CASY SH 48758 9.189 Billion
Invesco MSCI Sustainable Future ETF- ERTH SH 144708 9.163 Billion
Landstar System Inc LSTR SH 58017 9.157 Billion
Bruker Corp BRKR SH 117234 9.156 Billion
S&P Emerging Markets Small Cap ETF EWX SH 155630 9.128 Billion
LendingTree Inc TREE SH 65268 9.127 Billion
Bright Horizons Family Solutions, Inc. BFAM SH 65387 9.117 Billion
Pagerduty Inc PD SH 220093 9.117 Billion
Lexington Realty Trust LXP SH 713613 9.098 Billion
Discovery Inc Series C DISCK SH 374796 9.096 Billion
Invesco MSCI Global Timber ETF CUT SH 251354 9.078 Billion
Magnolia Oil & Gas Corp Class A MGY SH 509999 9.073 Billion
Sprott Physical Gold Trust PHYS SH 657413 9.072 Billion
iShares iBonds Dec 2022 Term Corporate ETF IBDN PRN 358078 9.067 Billion
Select Medical Holdings Corp SEM SH 250646 9.066 Billion
Curtiss-Wright Corp. CW SH 71759 9.054 Billion
CNO Financial Group Inc CNO SH 382743 9.009 Billion
CF Industries Holdings Inc CF SH 161287 9.003 Billion
Equity Lifestyle Properties Inc ELS SH 115131 8.992 Billion
Prestige Consumer Healthcare Inc. (Prestige Brands Holdings) PBH SH 159674 8.96 Billion
Bread Financial Holdings Inc BFH SH 88724 8.951 Billion
HF Sinclair Corporation DINO SH 270121 8.949 Billion
Unum Group, Inc. UNM SH 356653 8.938 Billion
iShares Currency Hedged MSCI EMU ETF HEZU SH 247873 8.938 Billion
Selective Insurance Group Inc. SIGI SH 117963 8.909 Billion
Echo Global Logistics Inc ECHO SH 186506 8.898 Billion
Kadant Inc. KAI SH 43537 8.886 Billion
American Campus Communities Inc ACC SH 183280 8.88 Billion
Container Store (The) TCS SH 932752 8.88 Billion
Varex Imaging Corp VREX SH 313814 8.85 Billion
iShares Global Consumer Discretionary ETF- RXI SH 53636 8.848 Billion
Ares Acquisition Corp AAC SH 906500 8.829 Billion
Hubbell Inc Class B HUBB SH 48799 8.817 Billion
Globus Medical Inc GMED SH 114971 8.81 Billion
Itau Unibnco ADR ITUB SH 1668882 8.795 Billion
iShares MSCI Germany ETF EWG SH 266952 8.788 Billion
ChromaDex Corp CDXC SH 1401271 8.786 Billion
Hanesbrands, Inc. HBI SH 511163 8.772 Billion
PDC Energy Corp. PDCE SH 185024 8.768 Billion
Neogen Corp. NEOG SH 201623 8.757 Billion
Amedisys Inc AMED SH 58629 8.741 Billion
WillScot Corp WSC SH 275473 8.738 Billion
iShares New York Muni Bond ETF- NYF SH 150602 8.714 Billion
Ares Management LP ARES SH 117935 8.708 Billion
Ufp Industries Inc UFPI SH 128041 8.704 Billion
Dish Network Corp, Class A DISH SH 200035 8.693 Billion
Deckers Outdoor Corp DECK PUT 24000 8.645 Billion
Deckers Outdoor Corp DECK CALL 24000 8.645 Billion
New York Times Co. Class A NYT SH 174124 8.579 Billion
Dolby Laboratories DLB SH 96702 8.51 Billion
Post Holdings Inc POST SH 77040 8.487 Billion
Denbury Inc. DEN SH 120768 8.484 Billion
ArcelorMittal S.A. Sponsored ADR MT SH 280498 8.46 Billion
Houlihan Lokey Inc HLI SH 91485 8.425 Billion
Penumbra Inc PEN SH 31566 8.412 Billion
Pentair Plc PNR SH 115561 8.393 Billion
Mirati Therapeutics Inc MRTX SH 47395 8.385 Billion
Coterra Energy Inc CTRA SH 384552 8.368 Billion
Minerals Technologies Inc. MTX SH 119738 8.363 Billion
Matson Inc MATX SH 103617 8.363 Billion
Vanguard S&P Mid-Cap 400 ETF IVOO SH 46901 8.354 Billion
Wyndham Hotels & Resorts Inc WH SH 108133 8.347 Billion
Reata Pharmaceuticals Inc RETA SH 82907 8.341 Billion
Intellia Therapeutics Inc NTLA SH 62083 8.329 Billion
Black Hills Corp. BKH SH 132610 8.322 Billion
Bilibili Inc BILI SH 125265 8.288 Billion
Glaukos Corp GKOS SH 171640 8.268 Billion
Science Applications International Corp SAIC SH 96562 8.262 Billion
Saia Inc SAIA SH 34672 8.253 Billion
Henry (Jack) & Associates, Inc. JKHY SH 50061 8.213 Billion
Summit Hotel Properties Inc INN SH 852328 8.208 Billion
INCYTE Corporation INCY SH 119176 8.197 Billion
Banco Santander S.A. ADR SAN SH 2263275 8.193 Billion
Engine No. 1 Transform 500 ETF VOTE SH 160000 8.154 Billion
Bausch Health Companies BHC SH 292662 8.15 Billion
Gaming and Leisure Properties Inc GLPI SH 175930 8.149 Billion
MAXIMUS, Inc. MMS SH 97866 8.142 Billion
Ryder System Inc. R SH 97912 8.098 Billion
White Mountains Insurance Group Inc WTM SH 7570 8.097 Billion
Rayonier Inc. RYN SH 226784 8.091 Billion
New Jersey Resources Corp. NJR SH 231018 8.042 Billion
Sanmina Corp. SANM SH 208534 8.036 Billion
Targa Resources Inc TRGP SH 163216 8.032 Billion
Enovis Corp ENOV SH 174970 8.031 Billion
Cadence Bank CADE SH 269435 8.023 Billion
PIMCO Enhanced Short Maturity Active Exchange-Traded Fund MINT SH 78620 8.014 Billion
National Instruments Corp NATI SH 204088 8.006 Billion
Rapid7 Inc RPD SH 70770 7.999 Billion
Essential Utilities Inc WTRG SH 172403 7.945 Billion
Rent-A-Center Inc. RCII SH 141320 7.944 Billion
Universal Display Corp OLED SH 46260 7.909 Billion
Fathom Digital Manufacturing Corporation FATH SH 800000 7.88 Billion
Terex Corp. (Northwest Engineering Co.) TEX SH 186600 7.856 Billion
Silgan Holdings Inc SLGN SH 203761 7.817 Billion
Unity Software Inc. U SH 61890 7.814 Billion
Cohn Robbins Holdings Corp. CRHC SH 795000 7.807 Billion
Terminix Global Holdings TMX SH 187032 7.793 Billion
Amkor Technology Inc. AMKR SH 312250 7.791 Billion
Essex Property Trust, Inc. ESS SH 24314 7.774 Billion
Signature Bank (New York, NY) SBNY SH 28552 7.774 Billion
WesBanco Inc WSBC SH 228096 7.774 Billion
II-VI Inc. IIVI SH 130098 7.723 Billion
iShares iBonds Dec 2023 Term Corporate ETF IBDO PRN 296880 7.719 Billion
American Equity Investment Life Holding, Co. AEL SH 260813 7.712 Billion
Axogen Inc AXGN SH 487429 7.701 Billion
Lydall Inc. LDL1 SH 124002 7.699 Billion
Cardinal Health, Inc. CAH SH 154974 7.665 Billion
Itron, Inc. ITRI SH 101244 7.657 Billion
Alkermes Plc. ALKS SH 247339 7.628 Billion
DoorDash, Inc. DASH SH 36944 7.61 Billion
Evertec, Inc. EVTC SH 166358 7.606 Billion
GSX Techedu Inc GOTU SH 2472813 7.592 Billion
Nov Inc NOV SH 579038 7.591 Billion
Diodes Inc. DIOD SH 83769 7.589 Billion
Watts Water Technologies, Inc. WTS SH 44884 7.545 Billion
Matador Resources Co MTDR SH 197410 7.509 Billion
First Industrial Realty Trust, Inc. FR SH 144121 7.506 Billion
UBS Group AG ADR UBS SH 469445 7.483 Billion
Howard Hughes Corp (The) HHC SH 84879 7.454 Billion
iShares Europe ETF- IEV SH 142922 7.449 Billion
Heliogen Inc HLGN SH 750000 7.444 Billion
Everest Re Group Ltd. RE SH 29665 7.44 Billion
CVB Financial Corp. CVBF SH 364887 7.433 Billion
Kadmon Holdings Inc KDMN SH 852087 7.422 Billion
Wolverine World Wide, Inc. WWW SH 248466 7.414 Billion
Primo Water Corp PRMW SH 470449 7.396 Billion
Block (H&R) Inc. HRB SH 295617 7.39 Billion
NovoCure Ltd NVCR SH 63569 7.385 Billion
Fate Therapeutics Inc FATE SH 124513 7.379 Billion
iShares U.S. Transportation ETF- IYT SH 30252 7.357 Billion
Peoples United Financial, Inc. PBCT SH 420022 7.338 Billion
Valley National Bancorp VLY SH 551338 7.338 Billion
SLM Corp SLM SH 415681 7.316 Billion
RLX Technology Inc. ADS RLX SH 1617733 7.312 Billion
Mitsubishi UFJ Finc Grp Inc ADR MUFG SH 1232888 7.311 Billion
Timken (Roller Bearing Axle) Co. TKR SH 111396 7.287 Billion
Murphy Oil Corp. MUR SH 291665 7.283 Billion
CommVault Systems Inc CVLT SH 96397 7.259 Billion
Flowserve Corporation FLS SH 208753 7.237 Billion
Insperity Inc. NSP SH 65293 7.23 Billion
Roblox Corp. Class A RBLX SH 95579 7.221 Billion
National Retail Properties, Inc. NNN SH 167084 7.216 Billion
Cirrus Logic Inc CRUS SH 87517 7.207 Billion
Gildan Activewear Inc GIL SH 197184 7.199 Billion
SM Energy Co SM SH 272835 7.197 Billion
Reynolds Consumer Products Inc. REYN SH 262997 7.19 Billion
Hostess Brands Inc Class A TWNK SH 413864 7.189 Billion
FTI Consulting, Inc. FCN SH 53315 7.182 Billion
GXO Logistics Inc GXO SH 91521 7.179 Billion
Viavi Solutions Inc VIAV SH 452596 7.124 Billion
Iovance Biotherapeutics Inc IOVA SH 288605 7.117 Billion
Moog Inc Class A MOG.A SH 93321 7.114 Billion
Gentherm Inc. THRM SH 87873 7.112 Billion
Sixth Street Specialty Lending Inc TSLX SH 319594 7.098 Billion
NortonLifeLock Inc NLOK SH 280087 7.086 Billion
Goodyear Tire and Rubber Co. GT SH 400114 7.082 Billion
NorthWestern Corp NWE SH 123558 7.08 Billion
Hannon Armstrong Sustainable Infrastructure Capital, Inc. HASI SH 132325 7.077 Billion
Under Armour Inc UAA SH 350186 7.066 Billion
Marathon Oil Corp. (1901) (old U.S. Steel) MRO SH 515714 7.049 Billion
Supernus Pharmaceuticals Inc SUPN SH 264236 7.047 Billion
JFrog Ltd. FROG SH 210336 7.046 Billion
Albany International Corp. (DE) AIN SH 91617 7.043 Billion
Chemed Corporation CHE SH 15138 7.041 Billion
Silver Crest Acquisition Corp Cl A SLCR SH 712184 7.001 Billion
Pra Group Inc PRAA PRN 6331000 6.997 Billion
Dennys Corp. DENN SH 427893 6.991 Billion
Advanced Energy Industries Inc AEIS SH 79635 6.988 Billion
Enstar Group Ltd ESGR SH 29762 6.986 Billion
iShares Agency Bond ETF- AGZ SH 58914 6.98 Billion
Highwoods Properties, Inc. HIW SH 159075 6.977 Billion
ICF International Inc ICFI SH 77972 6.962 Billion
VanEck J.P. Morgan EM Local Currency Bond ETF- EMLC SH 232184 6.959 Billion
Patterson-UTI Energy Inc PTEN SH 770168 6.931 Billion
Progress Software Corp. PRGS SH 140891 6.93 Billion
Dine Brands Global Inc DIN SH 85163 6.917 Billion
AptarGroup, Inc. ATR SH 57862 6.906 Billion
Credit Suisse Group ADR CS SH 699157 6.893 Billion
Range Resources Corp. RRC SH 304108 6.882 Billion
Cincinnati Financial Corp. (Cincinnati Insurance Co.) CINF SH 60196 6.876 Billion
Montrose Environmental Group, Inc. MEG SH 111376 6.876 Billion
BTC iShares MSCI ACWI ex US ETF ACWX SH 123966 6.869 Billion
First Financial Bancorp, Inc. (OH) FFBC SH 293121 6.862 Billion
Travere Therapeutics Inc TVTX SH 282196 6.843 Billion
Wyndham Destinations Inc TNL SH 125366 6.836 Billion
Perrigo Co PLC PRGO SH 144167 6.824 Billion
CSW Industrials Inc CSWI SH 53352 6.813 Billion
Pacira BioSciences Inc PCRX SH 121536 6.806 Billion
Exelixis Inc EXEL SH 321793 6.803 Billion
Smith & Nephew Plc Ordinary SNN SH 197941 6.797 Billion
CareDx Inc CDNA SH 107149 6.791 Billion
ACV Auctions Inc Cl A ACVA SH 378496 6.771 Billion
Fabrinet FN SH 66030 6.769 Billion
iShares U.S. Energy ETF- IYE SH 239376 6.765 Billion
United Airlines Holdings Inc UAL SH 142147 6.762 Billion
Vanguard Russell 2000 Value Index ETF VTWV SH 47850 6.723 Billion
CatchMark Timber Trust Inc CTT SH 563623 6.691 Billion
TTEC Holdings Inc TTEC SH 71451 6.683 Billion
Redfin Corp RDFN SH 133395 6.683 Billion
Tegna Inc. (Gannett Co.) TGNA SH 338228 6.67 Billion
Albertsons Companies, Inc. ACI SH 214029 6.662 Billion
Fiverr International Ltd FVRR SH 36465 6.661 Billion
Apache Corp APA SH 310307 6.65 Billion
Hain Celestial Group HAIN SH 155021 6.632 Billion
Patterson Companies, Inc. PDCO SH 219952 6.629 Billion
Beacon Roofing Supply Inc BECN SH 138662 6.623 Billion
Trimas Corp. TRS SH 204606 6.621 Billion
iShares MSCI Australia ETF EWA SH 266290 6.609 Billion
Arlo Technologies Inc ARLO SH 1029996 6.602 Billion
Calix Inc CALX SH 133489 6.598 Billion
Banco Bilbao Vizcaya Argentaria SA ADR BBVA SH 999330 6.586 Billion
Formfactor Inc FORM SH 176373 6.584 Billion
Canadian Imperial Bank of Commerce (NYSE) CM SH 59119 6.58 Billion
Renasant Corp. RNST SH 182252 6.57 Billion
Financial Select Sector SPDR XLF PUT 175000 6.568 Billion
Health Catalyst Inc HCAT SH 131283 6.566 Billion
Atmos Energy Corp. (Energas) ATO SH 74411 6.563 Billion
Scotts Miracle-Gro Co. (The) SMG SH 44829 6.561 Billion
EnLink Midstream LLC ENLC SH 961439 6.557 Billion
PPD, Inc. PPD SH 139754 6.539 Billion
W D-40 Co WDFC SH 28165 6.52 Billion
Zscaler Inc ZS SH 24856 6.517 Billion
Lithia Motors Inc, Class A LAD SH 20549 6.515 Billion
Liberty Broadband Corp Class A LBRDA SH 38685 6.513 Billion
Murphy USA Inc MUSA SH 38823 6.494 Billion
Ares Capital Corp ARCC SH 318405 6.473 Billion
PTC Therapeutics Inc PTCT SH 173931 6.472 Billion
Authentic Equity Acq Corp Class A AEAC SH 667180 6.472 Billion
First BanCorp (Puerto Rico) FBP SH 491147 6.459 Billion
American Financial Group Inc. (Holding Co.) AFG SH 51282 6.453 Billion
Workday Inc WDAY CALL 25800 6.447 Billion
DigitalOcean Holdings Inc DOCN SH 82984 6.442 Billion
OGE Energy Corp. (Oklahoma Gas & Electric) OGE SH 195085 6.43 Billion
Forward Air Corp FWRD SH 77357 6.422 Billion
10X Genomics Inc TXG SH 44036 6.411 Billion
Columbus McKinnon Corp CMCO SH 132371 6.4 Billion
Kaman Corp Class A KAMN SH 179184 6.391 Billion
Apartment Income REIT Corp. AIRC SH 130771 6.383 Billion
Heartland Financial USA Inc HTLF SH 132690 6.379 Billion
Axon Enterprise Inc AXON SH 36325 6.357 Billion
Macys Inc M SH 280072 6.33 Billion
Vanguard Mortgage-Backed Securities ETF VMBS SH 118644 6.323 Billion
Seagate Technology plc STX SH 76538 6.315 Billion
Frontdoor Inc FTDR SH 150629 6.311 Billion
Hub Group, Inc. Class A HUBG SH 91412 6.285 Billion
Hawaiian Electric Industries HE SH 153880 6.282 Billion
Ryman Hospitality Properties, Inc. REIT RHP SH 75019 6.28 Billion
Infosys Ltd ADR INFY SH 282185 6.278 Billion
Jefferies Financial Group Inc. (Talcott National - Leucadia National) JEF SH 168789 6.267 Billion
Goosehead Insurance Inc GSHD SH 41075 6.255 Billion
American Woodmark Corp AMWD SH 95638 6.252 Billion
Fresenius Medical Care AG & Co KGaA ADS ADR FMS SH 178626 6.246 Billion
Regency Centers Corp REG SH 92635 6.237 Billion
Sandy Spring Bancorp, Inc. SASR SH 136044 6.234 Billion
Rexford Industrial Realty Inc REXR SH 109838 6.233 Billion
Air Lease Corp AL SH 158186 6.223 Billion
Citrix Systems Inc. CTXS SH 57809 6.206 Billion
GATX Corporation (General American Tank - General American Transportation) GATX SH 69286 6.206 Billion
Vedanta Ltd ADR VEDL SH 402828 6.155 Billion
DCP Midstream LP DCP SH 217734 6.147 Billion
Amicus Therapeutics Inc FOLD SH 643491 6.145 Billion
Dicks Sporting Goods, Inc DKS SH 51133 6.125 Billion
TC Energy Corp TRP SH 126943 6.105 Billion
Spire Inc. (Laclede Gas Light) SR SH 99644 6.096 Billion
Boise Cascade L.L.C. BCC SH 112644 6.081 Billion
Grand Canyon Education Inc LOPE SH 69125 6.08 Billion
Virtu Financial Inc VIRT SH 248868 6.08 Billion
Janus Henderson Group PLC JHG SH 146787 6.067 Billion
Central Garden & Pet Co. Class A CENTA SH 140927 6.06 Billion
CSG Systems International Inc. CSGS SH 125694 6.058 Billion
US Foods Holding Corp USFD SH 174447 6.046 Billion
Ingredion Inc. INGR SH 67913 6.045 Billion
Triumph Bancorp Inc TBK SH 60363 6.044 Billion
Juniper Networks Inc JNPR SH 219358 6.037 Billion
First Financial Bankshares Inc FFIN SH 131321 6.034 Billion
Annaly Mortgage Management, Inc. NLY SH 715528 6.025 Billion
WNS (Holdings) Ltd ADR WNS SH 73391 6.003 Billion
SkyWest Inc SKYW SH 121626 6.001 Billion
American Airlines Group Inc AAL SH 292448 6.001 Billion
Kraton Performance Polymers Inc KRA SH 130952 5.977 Billion
Alteryx Inc AYX SH 81585 5.964 Billion
MillerKnoll Inc MLKN SH 158098 5.954 Billion
iShares iBonds Dec 2024 Term Corporate ETF IBDP PRN 226066 5.943 Billion
iShares Global Energy ETF- IXC SH 221057 5.935 Billion
Polaris Inc PII SH 49581 5.933 Billion
Asana, Inc. ASAN SH 57130 5.933 Billion
P3 Health Partners Inc PIII SH 600000 5.916 Billion
Community Bank System, Inc. CBU SH 85903 5.877 Billion
Exponent Inc. EXPO SH 51867 5.869 Billion
INVITAE CORP NOTE 2.000% 9/0 DEBT-INVI PRN 4802000 5.858 Billion
Harsco Corp. HSC SH 345347 5.854 Billion
SCP & CO Healthcare Acq Company Class A SHAC SH 600000 5.838 Billion
Neenah Inc NP SH 125148 5.833 Billion
ALLETE Inc. (Minnesota Power and Light - Duluth Edison Electric) ALE SH 97931 5.828 Billion
VEREIT Inc VER1 SH 128422 5.809 Billion
NovoCure Ltd NVCR PUT 50000 5.808 Billion
Raven Industries Inc. RAVN SH 100784 5.806 Billion
Emergent BioSolutions Inc EBS SH 115748 5.796 Billion
RealReal Inc REAL SH 439505 5.793 Billion
Revolve Group Inc RVLV SH 93773 5.792 Billion
Genpact Ltd G SH 121213 5.759 Billion
Tandem Diabetes Care Inc TNDM SH 48154 5.748 Billion
Qualys, Inc. QLYS SH 51500 5.732 Billion
ProShares S&P 500 Dividend Aristocrats ETF NOBL SH 64703 5.728 Billion
Gray Television Inc GTN SH 249538 5.695 Billion
BTC iShares Core Total USD Bond Market ETF IUSB SH 106961 5.695 Billion
Trinseo PLC TSE SH 105194 5.678 Billion
Twist Bioscience Corp TWST SH 53034 5.673 Billion
General American Investors Co., Inc. GAM SH 131599 5.667 Billion
Equitrans Midstream Corp ETRN SH 558776 5.666 Billion
OneMain Holdings Inc OMF SH 102324 5.661 Billion
Kennedy-Wilson Holdings Inc KW SH 270310 5.655 Billion
Cosan SA CSAN SH 337358 5.651 Billion
National Storage Affiliates Trust NSA SH 106814 5.639 Billion
Franklin Resources Inc BEN SH 189467 5.631 Billion
Bath & Body Works Inc (L Brands) BBWI SH 89253 5.626 Billion
Service Properties Trust SVC SH 501898 5.626 Billion
Sleep Number Corp SNBR SH 60089 5.617 Billion
MDU Resources Group MDU SH 189296 5.616 Billion
Belden Inc BDC SH 96254 5.608 Billion
Southwestern Energy Co. SWN SH 1011734 5.605 Billion
Werner Enterprises, Inc. WERN SH 126313 5.592 Billion
DSP Group Inc. DSPG SH 254944 5.586 Billion
Surgery Partners Inc SGRY SH 131848 5.583 Billion
Griffon Corp. GFF SH 226559 5.574 Billion
Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF GSLC SH 64770 5.572 Billion
Two Harbors Investments Corp TWO SH 877952 5.567 Billion
Liberty Sirius XM Group, Series C LSXMK SH 117275 5.567 Billion
Brookfield Renewable Corporation Class A BEPC SH 143439 5.567 Billion
AZEK Company Inc. AZEK SH 152176 5.559 Billion
Papa Johns International Inc. PZZA SH 43694 5.549 Billion
Bank of Hawaii Corp. (Honolulu, HI) BOH SH 67493 5.546 Billion
Western Union Co (The) WU SH 274063 5.542 Billion
Novavax, Inc NVAX SH 26722 5.54 Billion
Taylor Morrison Home Corp TMHC SH 214609 5.533 Billion
MGIC Investment Corp. (1984) MTG SH 369064 5.521 Billion
Virtuoso Acquisition Corp Class A VOSO SH 556134 5.511 Billion
Zai Lab Ltd ZLAB SH 52281 5.51 Billion
Woodward Inc WWD SH 48606 5.502 Billion
Hennessy Cap Investment V Corp HCIC SH 556188 5.49 Billion
Columbia Banking System, Inc. COLB SH 144239 5.48 Billion
iShares Morningstar Growth ETF- ILCG SH 83480 5.472 Billion
Macom Techno Ord MTSI SH 84070 5.454 Billion
Allegro MicroSystems, Inc. ALGM SH 169938 5.432 Billion
Nutrien Ltd NTR SH 83699 5.426 Billion
Salesforce.com Inc. CRM PUT 20000 5.424 Billion
IPG Photonics Corp IPGP SH 34235 5.422 Billion
Huron Consulting Group Inc HURN SH 104126 5.414 Billion
Vipshop Holdings Ltd ADR VIPS SH 485286 5.406 Billion
Norwegian Cruise Line Holdings Ltd NCLH SH 201942 5.394 Billion
SABRE GLBL INC NOTE 4.000% 4/1 DEBT-SABR PRN 3118000 5.375 Billion
Independent Bank Group Inc IBTX SH 75644 5.374 Billion
nVent Electric PLC NVT SH 166138 5.371 Billion
Helmerich & Payne, Inc. HP SH 195682 5.363 Billion
Honda Motor Co Ltd. ADR (Honda Giken Kogyo Kabushiki Kaisha) ADR HMC SH 174807 5.361 Billion
Twilio Inc TWLO PUT 16800 5.36 Billion
NUVASIVE INC NOTE 1.000% 6/0 DEBT-NUVA PRN 5236000 5.337 Billion
SPX Technologies Inc SPXC SH 99676 5.328 Billion
Owens & Minor, Inc (Holding Co.) OMI SH 170169 5.325 Billion
AGNC Investment Corp AGNC SH 337496 5.322 Billion
Element Solutions Inc ESI SH 245226 5.316 Billion
Crane Holdings Co. CR SH 55978 5.307 Billion
Oasis Midstream Partners LP OMP SH 237203 5.297 Billion
CyrusOne Inc CONE SH 68312 5.288 Billion
Cerence Inc CRNC SH 54965 5.282 Billion
Trupanion Inc TRUP SH 67957 5.278 Billion
Franco-Nevada Corp FNV SH 40577 5.271 Billion
Healthcare Realty Trust Inc HR SH 176409 5.254 Billion
Great Western Bancorp Inc GWB SH 160245 5.246 Billion
New York Community Bancorp NYCB SH 406463 5.231 Billion
IAC/Interactivecorp IAC SH 40085 5.223 Billion
Watsco Inc. WSO SH 19724 5.219 Billion
WESCO International, Inc WCC SH 45157 5.207 Billion
Knight Transportation Inc. KNX SH 101602 5.196 Billion
Model N, Inc. MODN SH 154974 5.192 Billion
Donaldson Company, Inc. DCI SH 90366 5.188 Billion
Continental Resources Inc CLR SH 112216 5.178 Billion
Goldman Sachs Access Treasury 0-1 Year ETF GBIL SH 51673 5.171 Billion
Pershing Square Tontine Holdings, Ltd. PSTH SH 262119 5.164 Billion
Piedmont Office Realty Trust Inc PDM SH 296143 5.162 Billion
Invesco DB Agriculture Fund DBA SH 269636 5.155 Billion
iShares MSCI Hong Kong ETF EWH SH 214943 5.154 Billion
Campbell Soup Co. CPB SH 123215 5.152 Billion
Dynatrace Inc DT SH 72538 5.148 Billion
Wheaton Precious Metals Corp WPM SH 136608 5.134 Billion
Skyline Champion Corp SKY SH 85489 5.134 Billion
Plug Power Inc. PLUG SH 200796 5.129 Billion
Zentalis Pharmaceuticals, Inc. ZNTL SH 76804 5.118 Billion
Cryoport Inc CYRX SH 76907 5.115 Billion
Suncor Energy, Inc. SU SH 246452 5.111 Billion
Genmab A/S GMAB SH 116870 5.108 Billion
East Stone Acquisition Corp ESSC SH 500000 5.1 Billion
XPO Logistics Inc XPO SH 64068 5.099 Billion
Cavco Industries, Inc. CVCO SH 21531 5.097 Billion
Ligand Pharmaceuticals, Inc. LGND SH 36576 5.096 Billion
BWX Technologies Inc BWXT SH 94372 5.083 Billion
Alamo Group Inc. ALG SH 36416 5.081 Billion
Kornit Digital Ltd KRNT SH 35103 5.081 Billion
Intersect ENT Inc XENT SH 186543 5.074 Billion
IAA Inc IAA SH 92892 5.069 Billion
EnPro Industries Inc NPO SH 58140 5.065 Billion
Ameris Bancorp ABCB SH 97391 5.053 Billion
Steelcase Inc. Class A SCS SH 398021 5.047 Billion
CommScope Holding Co Inc COMM SH 371037 5.042 Billion
Camden Property Trust CPT SH 34073 5.025 Billion
SVF Investment Corp Cl A SVFA SH 514000 5.017 Billion
Nordstrom Inc. JWN SH 189451 5.011 Billion
One Equity Partners Open Water I Corp Cl OEPW SH 514997 5.011 Billion
Brunswick Corp. BC SH 52536 5.005 Billion
Bowlero Corp BOWL SH 500000 4.99 Billion
American Eagle Outfitters Inc AEO SH 193028 4.98 Billion
Global Consumer Acquisition Corp GACQ SH 503709 4.977 Billion
Schwab U.S. Small-Cap ETF SCHA SH 49607 4.966 Billion
Lithium Americas Corp LAC SH 221722 4.951 Billion
Aecom ACM SH 78333 4.947 Billion
Goldman Sachs ActiveBeta Emerging Markets Equity ETF GEM SH 133302 4.946 Billion
Schneider National Inc SNDR SH 217478 4.946 Billion
IDACORP Inc. Holding Co. IDA SH 47808 4.943 Billion
Sun Life Financial Inc SLF SH 96047 4.942 Billion
SIGNA Sports United N.V. SSU SH 500000 4.94 Billion
Midland States Bancorp Inc MSBI SH 199392 4.931 Billion
Velocity Acquisition Corp VELO SH 500000 4.93 Billion
Westlake Chemical Corp WLK SH 54062 4.927 Billion
Chemours Co (The) CC SH 169392 4.923 Billion
NCL CORP LTD NOTE 5.375% 8/0 DEBT-NCL PRN 2883000 4.921 Billion
Spirit Realty Capital, Inc. SRC SH 106839 4.919 Billion
26 Capital Acq Corp Class A ADER SH 505542 4.914 Billion
Cathay General Bancorp, Inc. CATY SH 118605 4.909 Billion
Vanguard Mega Cap Growth ETF MGK SH 20896 4.906 Billion
Khosla Ventures Acq Co III KVSC SH 500567 4.906 Billion
Mueller Water Products Inc. MWA SH 321990 4.901 Billion
John Bean Technologies Corp JBT SH 34812 4.892 Billion
Synaptics Inc SYNA SH 27202 4.889 Billion
Micron Technology, Inc. MU PUT 68800 4.883 Billion
ASE Technology Holding Co Ltd ASX SH 621910 4.882 Billion
Shoals Technologies Group Inc Cl A SHLS SH 174994 4.879 Billion
Wolfspeed Inc (Cree Inc) WOLF SH 60383 4.875 Billion
Pinnacle West Capital Corp PNW SH 67346 4.874 Billion
Sunrun Inc RUN SH 110432 4.859 Billion
Dana Incorporated DAN SH 218217 4.853 Billion
Canadian Natural Resources, Ltd CNQ SH 132781 4.852 Billion
News Inc. Class B NWS SH 208565 4.845 Billion
Magna International Inc. Class A MGA SH 64377 4.844 Billion
GFL Environmental Inc. Subordinate Voting Shares GFL SH 130133 4.834 Billion
Berkshire Hills Bancorp Inc BHLB SH 178922 4.827 Billion
Invesco Ultra Short Duration ETF GSY SH 95559 4.823 Billion
Cousins Properties, Inc. CUZ SH 129122 4.814 Billion
Stericycle Inc. SRCL SH 70533 4.794 Billion
Interactive Brokers Group Inc IBKR SH 76737 4.784 Billion
Alerian MLP ETF AMLP SH 143377 4.779 Billion
Argenx SE ADS ADR ARGX SH 15824 4.779 Billion
Iridium Communications Inc IRDM SH 119341 4.756 Billion
TechnipFMC plc Ordinary Share (FMC Technologies) FTI SH 631412 4.754 Billion
TX Pacific Land Trust TPL SH 3929 4.752 Billion
Carvana Co CVNA SH 15747 4.749 Billion
Sanderson Farms, Inc. SAFM SH 25191 4.741 Billion
EZCORP Inc Class A Non-Voting Shares EZPW SH 625823 4.737 Billion
Washington Federal Inc WAFD SH 138017 4.735 Billion
Voya Financial Inc VOYA SH 76954 4.724 Billion
Primerica Inc PRI SH 30698 4.717 Billion
First Trust Global Wind Energy ETF FAN SH 224730 4.697 Billion
RedBall Acquisition Corp. RBAC SH 474994 4.674 Billion
iShares MSCI United Kingdom ETF EWU SH 144689 4.666 Billion
Host Hotels& Resorts Inc HST SH 285699 4.665 Billion
Sabre Corp SABR SH 393923 4.664 Billion
Old National Bancorp ONB SH 274310 4.649 Billion
NovoCure Ltd NVCR CALL 40000 4.647 Billion
JBG SMITH Properties JBGS SH 156552 4.636 Billion
Foot Locker Inc. (F. W. Woolworth) FL SH 101322 4.626 Billion
Westpac Banking Corp. Ltd. ADR WBK SH 249026 4.615 Billion
Descartes Systems Group Inc. DSGX SH 56656 4.604 Billion
CBIZ Inc CBZ SH 142333 4.604 Billion
Schwab U.S. Large-Cap ETF SCHX SH 44209 4.599 Billion
The Oncology Institute TOI SH 462000 4.592 Billion
ManpowerGroup Inc. MAN SH 42399 4.591 Billion
Dycom Industries Inc DY SH 64183 4.573 Billion
MaxLinear Inc MXL SH 92473 4.555 Billion
International Game Technology, Inc. IGT SH 172962 4.552 Billion
Flagstar Bancorp Inc FBC SH 89403 4.54 Billion
STORE Capital Corp STOR SH 140654 4.505 Billion
Mimecast Ltd MIME SH 70832 4.505 Billion
Haemonetics Corp. (MA) HAE SH 63730 4.499 Billion
Genesis Energy LP GEL SH 450930 4.496 Billion
Comfort Systems USA, Inc. FIX SH 63002 4.493 Billion
Hilltop Holdings Inc HTH SH 137520 4.493 Billion
Certara, Inc. CERT SH 135114 4.472 Billion
BTC iShares MSCI USA Momentum Factor ETF MTUM SH 25457 4.47 Billion
Arvinas Holding Company LLC ARVN SH 54364 4.468 Billion
Uniti Group Inc UNIT SH 360021 4.454 Billion
Webster Financial Corp. WBS SH 81735 4.452 Billion
Viad Corp VVI SH 98021 4.451 Billion
Inspire Medical Systems Inc INSP SH 19071 4.441 Billion
First American Corp (The) FAF SH 66147 4.435 Billion
Six Flags Entertainment Corp. SIX SH 104346 4.435 Billion
BOK Financial Corp BOKF SH 49474 4.43 Billion
Rush Enterprises Inc RUSHA SH 98047 4.428 Billion
Tradeweb Markets Inc TW SH 54803 4.427 Billion
CarGurus Inc CARG SH 140843 4.424 Billion
UNITED STATES STL CORP NEW NOTE 5.000%11/0 DEBT-UNIT PRN 2339000 4.42 Billion
Churchill Downs Inc CHDN SH 18306 4.395 Billion
Greif Inc Class A (Greif Brothers Cooperage) GEF SH 67998 4.393 Billion
Gap (The) GPS SH 193497 4.392 Billion
Rollins, Inc. ROL SH 124292 4.391 Billion
Quanex Building Products NX SH 204941 4.388 Billion
LGI Homes Inc LGIH SH 30872 4.381 Billion
Heska Corp HSKA SH 16916 4.373 Billion
FirstService Corp FSV SH 24229 4.373 Billion
Ollies Bargain Outlet Holdings Inc OLLI SH 72468 4.369 Billion
Alcoa Corp AA SH 89208 4.366 Billion
Customers Bancorp Inc CUBI SH 101428 4.363 Billion
Visteon Corp. VC SH 45877 4.33 Billion
Invesco 1-30 Laddered Treasury ETF PLW SH 119034 4.319 Billion
MSA Safety Inc MSA SH 29641 4.319 Billion
Apellis Pharmaceuticals Inc APLS SH 130469 4.3 Billion
Towne Bank/Portsmouth VA TOWN SH 137520 4.278 Billion
PGIM Ultra Short Bond ETF PULS SH 86033 4.274 Billion
Compass Minerals International Inc CMP SH 66281 4.269 Billion
U.S. Physical Therapy, Inc. USPH SH 38569 4.265 Billion
Graham Holdings, Inc. GHC SH 7236 4.263 Billion
Quaker Chemical Corp. KWR SH 17902 4.256 Billion
Edgewell Personal Care Company EPC SH 116658 4.235 Billion
iShares North American Natural Resources ETF- IGE SH 144129 4.233 Billion
Vertiv Holdings Co VRT SH 174630 4.207 Billion
SPDR S&P Aerospace & Defense ETF XAR SH 35266 4.206 Billion
Plains GP Holdings LP PAGP SH 389953 4.202 Billion
Glatfelter Corp GLT SH 297909 4.201 Billion
National Fuel Gas Co. NFG SH 79853 4.194 Billion
BridgeBio Pharma Inc BBIO SH 89235 4.182 Billion
Independent Bank Corp. (MA) INDB SH 54860 4.177 Billion
Plexus Corp. PLXS SH 46712 4.176 Billion
iShares Fallen Angels USD Bond ETF FALN SH 138641 4.174 Billion
CRH Plc ADR CRH SH 89218 4.17 Billion
Brinker International Inc. EAT SH 84884 4.163 Billion
PROG Holdings Inc PRG SH 98928 4.156 Billion
ProKidney Corp PROK SH 423300 4.148 Billion
Mitek Systems Inc. MITK SH 223971 4.143 Billion
Tronox Ltd TROX SH 168030 4.142 Billion
Primoris Services Corp PRIM SH 168597 4.129 Billion
CNH Industrial N.V. CNHI SH 248585 4.129 Billion
Guess Inc GES SH 196146 4.121 Billion
Pathfinder Acquisition Corp PFDR SH 416437 4.114 Billion
Assured Guaranty Ltd. AGO SH 87819 4.111 Billion
Sportsmans Warehouse Holdings Inc SPWH SH 233345 4.107 Billion
Old Republic International Corp. ORI SH 177404 4.104 Billion
R1 RCM Inc. RCM SH 185920 4.092 Billion
PJT Partners Inc PJT SH 51677 4.088 Billion
Box Inc BOX SH 172500 4.083 Billion
iShares iBonds Dec 2022 Term Muni Bond ETF IBMK SH 155950 4.083 Billion
Brookline Bancorp, Inc. BRKL SH 267399 4.08 Billion
Vanguard Russell 2000 Growth Index ETF VTWG SH 19057 4.078 Billion
Insmed Inc INSM SH 147491 4.062 Billion
Teva Pharmaceutical Industries Ltd, ADR TEVA SH 415564 4.048 Billion
CompoSecure Inc CMPO SH 400000 4.044 Billion
OptimizeRx Corp OPRX SH 47255 4.043 Billion
Oxford Industries OXM SH 44812 4.04 Billion
Starbucks Corp. SBUX PUT 36500 4.026 Billion
JetBlue Airways Corp JBLU SH 262981 4.021 Billion
New York Mortgage Trust Inc NYMT SH 944014 4.021 Billion
Corporate Office Properties Trust OFC SH 148597 4.009 Billion
ESCO Technologies Inc ESE SH 51874 3.995 Billion
Simmons First National Corp. SFNC SH 134918 3.988 Billion
Douglas Dynamics Inc PLOW SH 108780 3.948 Billion
Swvl Holdings Corp SWVL SH 400000 3.948 Billion
Thomson Reuters Corp. TRI SH 35597 3.933 Billion
United States Steel Corp. X SH 178551 3.923 Billion
Social Cap Suvretta Holdings Corp IV DNAD SH 399138 3.916 Billion
KB Financial Group Inc ADR KB SH 84305 3.913 Billion
MYR Group Inc. MYRG SH 39282 3.908 Billion
Qurate Retail Group Inc Series A (Formerly Liberty Interactive) QRTEA SH 383401 3.907 Billion
ISHARES MSCI EMERGING MARKETS EX CHINA ETF EMXC SH 64347 3.902 Billion
Tennant Co. TNC SH 52702 3.897 Billion
Physicians Realty Trust DOC SH 220504 3.886 Billion
iShares iBonds Dec 2025 Term Corporate ETF IBDQ PRN 144754 3.886 Billion
Axis Capital Holdings Ltd AXS SH 84361 3.884 Billion
Moelis & Co MC SH 62742 3.882 Billion
Evolent Health Inc EVH SH 124825 3.87 Billion
Apple Hospitality REIT Inc APLE SH 245816 3.867 Billion
Cvent Holding Corp CVT SH 388554 3.866 Billion
Vocera Communications Inc VCRA SH 84418 3.863 Billion
American States Water Co. AWR SH 45103 3.857 Billion
AutoNation, Inc. (Republic Industries) AN SH 31663 3.856 Billion
SPDR Retail ETF XRT SH 42697 3.856 Billion
Carters Inc CRI SH 39596 3.85 Billion
Columbia Sportswear Co COLM SH 40145 3.848 Billion
Shift4 Payments, Inc. FOUR SH 49452 3.834 Billion
Choice Hotels International, Inc. CHH SH 30311 3.83 Billion
MicroStrategy Inc. MSTR SH 6613 3.825 Billion
NMI Holdings Inc NMIH SH 168926 3.819 Billion
HSBC Holdings plc ADR HSBC SH 145905 3.815 Billion
Century Bancorp, Inc. Class A (MA) CNBKA SH 33047 3.808 Billion
FTAC Hera Acquisition Corp HERA SH 391000 3.808 Billion
Yelp Inc. YELP SH 102112 3.803 Billion
SPX FLOW Inc FLOW SH 52013 3.802 Billion
AAON, Inc AAON SH 58148 3.8 Billion
Royalty Pharma PLC RPRX SH 105152 3.8 Billion
Dimensional U.S. Equity ETF DFUS SH 80561 3.799 Billion
Vanguard Russell 1000 Index ETF VONE SH 18940 3.791 Billion
System1 Inc SST SH 381241 3.778 Billion
AMC Entertainment Holdings Inc AMC SH 98848 3.762 Billion
Avista Corp. (Washington Water Power Co.) AVA SH 96118 3.761 Billion
Stepan Co SCL SH 33225 3.753 Billion
iShares Self-Driving EV and Tech ETF IDRV SH 77931 3.752 Billion
Valvoline Inc VVV SH 120160 3.746 Billion
ETFS Physical Silver Shares SIVR SH 175230 3.745 Billion
Federal Realty Investment Trust FRT SH 31733 3.744 Billion
Ferro Corp. FOE SH 183841 3.739 Billion
South Jersey Industries Inc. SJI SH 175762 3.736 Billion
Sunnova Energy International Inc NOVA SH 113401 3.735 Billion
Coty Inc. COTY SH 474897 3.733 Billion
Holley Inc HLLY SH 311882 3.724 Billion
Social Cap Suvretta Holdings Corp I DNAA SH 374300 3.724 Billion
Dave & Busters Entertainment Inc PLAY SH 97089 3.721 Billion
Whiting Petroleum Corp WLL SH 63615 3.715 Billion
Open Lending Corp LPRO SH 102977 3.715 Billion
Walker & Dunlop Inc WD SH 32706 3.712 Billion
Worthington Industries Inc. WOR SH 70395 3.71 Billion
Capri Holdings Ltd (Michael Kors Holdings) CPRI SH 76579 3.708 Billion
Brighthouse Financial Inc BHF SH 81892 3.704 Billion
Ovintiv Inc. (Pan Canadian Energy - Encana Corp.) OVV SH 112560 3.701 Billion
Hillman Solutions Corp HLMN SH 309957 3.698 Billion
OUTFRONT Media Inc OUT SH 146693 3.696 Billion
Oatly Group AB (publ)|Oatly Group AB (pu OTLY SH 243915 3.688 Billion
C3ai, Inc. AI SH 79514 3.684 Billion
Washington Real Estate Investment Trusts WRE SH 148727 3.681 Billion
Farfetch Ltd FTCH SH 98165 3.68 Billion
Leggett & Platt Inc. LEG SH 82038 3.679 Billion
Enable Midstream Partners LP ENBL SH 453063 3.679 Billion
Sciplay Corp SCPL SH 177376 3.67 Billion
Social Cap Suvretta Holdings Corp II DNAB SH 371500 3.67 Billion
Nevro Corp NVRO SH 31492 3.665 Billion
Cardlytics Inc CDLX SH 43537 3.654 Billion
Fulton Financial Corp. FULT SH 238906 3.651 Billion
Sumitomo Mitsui Financial Group Inc. ADR SMFG SH 520831 3.651 Billion
Kulicke & Soffa Industries Inc. KLIC SH 62639 3.65 Billion
First Commonwealth Financial Corp. FCF SH 267236 3.643 Billion
Cheesecake Factory, Inc. (The) CAKE SH 77444 3.64 Billion
Palo Alto Networks Inc PANW PRN 2000000 3.635 Billion
Smartsheet Inc SMAR SH 52734 3.629 Billion
Malibu Boats Inc MBUU SH 51688 3.617 Billion
Glacier Bancorp, Inc. GBCI SH 65278 3.613 Billion
Mednax Inc MD SH 126909 3.608 Billion
Lancaster Colony Corp. LANC SH 21333 3.601 Billion
On Holding AG ONON SH 119498 3.6 Billion
First Trust North American Energy Infrastructure Fund EMLP SH 152030 3.599 Billion
Sunoco LP SUN SH 96406 3.598 Billion
Adtalem Global Education Inc. (Kellery & Taylor Corp. -Devry Inc.) ATGE SH 94776 3.584 Billion
G1 Therapeutics Inc GTHX SH 266806 3.581 Billion
Golden Falcon Acquisition Corp. GFX SH 367000 3.578 Billion
Vanguard Materials ETF VAW SH 20614 3.571 Billion
Cimpress PLC CMPR SH 41087 3.568 Billion
H&E Equipment Services Inc HEES SH 102722 3.565 Billion
Atlantic Union Bankshares Corp AUB SH 96523 3.557 Billion
Upwork Inc UPWK SH 78938 3.555 Billion
Jamf Holding Corp. JAMF SH 92096 3.547 Billion
Ralph Lauren Corp. Class A RL SH 31893 3.541 Billion
Mativ Holdings Inc MATV SH 102082 3.538 Billion
Vimeo Inc VMEO SH 119878 3.52 Billion
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund GRID SH 37988 3.518 Billion
Signet Jewelers Ltd SIG SH 44350 3.502 Billion
Kilroy Realty Corp. KRC SH 52885 3.502 Billion
PS Business Parks Inc. PSB SH 22332 3.5 Billion
Palomar Holdings Inc PLMR SH 43301 3.5 Billion
La-Z-Boy Inc LZB SH 108466 3.496 Billion
Boston Beer Inc Class A SAM SH 6854 3.494 Billion
BancFirst Corp BANF SH 58011 3.488 Billion
Madison Square Garden Sports Corp MSGS SH 18704 3.478 Billion
Lyft Inc LYFT SH 64877 3.477 Billion
Asbury Automotive Group, Inc. ABG SH 17595 3.462 Billion
Teck Resources Ltd TECK SH 138697 3.454 Billion
Site Centers Corp. (Developers Diversified Realty - DDR Corp.) SITC SH 223532 3.451 Billion
Forest Road Acquisition Corp II FRXB SH 353913 3.451 Billion
Hillenbrand Inc. HI SH 80698 3.442 Billion
Central Garden & Pet Co CENT SH 71680 3.441 Billion
ProAssurance Corp. PRA SH 144615 3.439 Billion
iShares iBonds Dec 2021 Term Muni Bond ETF-iShares iBonds Dec 2021 Term Muni Bond ETF IBMJ SH 134173 3.432 Billion
Blackbaud Inc BLKB SH 48625 3.421 Billion
Kaleyra Inc. KLR SH 309505 3.408 Billion
Scion Tech Growth I SCOA SH 349998 3.405 Billion
Netgear, Inc. NTGR SH 106596 3.402 Billion
Cytokinetics Inc CYTK SH 94562 3.379 Billion
Hayward Holdings Inc HAYW SH 151410 3.368 Billion
Brady Corp. Class A BRC SH 66284 3.36 Billion
Vanguard Tax-Exempt Bond ETF VTEB SH 61187 3.351 Billion
Seacoast Banking Corp. of Florida SBCF SH 99053 3.349 Billion
HNI Corporation HNI SH 91148 3.347 Billion
McGrath RentCorp MGRC SH 46453 3.343 Billion
POSCO, Inc. ADR PKX SH 48477 3.343 Billion
Domtar Corp. (Dominion Tar & Chemical) UFS SH 61278 3.342 Billion
Eagle Bancorp, Inc. (MD) EGBN SH 57970 3.333 Billion
National Bank Holdings Corp NBHC SH 82343 3.333 Billion
TrueBlue Inc TBI SH 122667 3.322 Billion
Fresh Del Monte Produce, Inc. FDP SH 102930 3.317 Billion
iShares MSCI Brazil ETF EWZ SH 103126 3.313 Billion
Simply Good Foods Co/The SMPL SH 95978 3.31 Billion
Koppers Holdings, Inc. KOP SH 105846 3.309 Billion
Virtus Investment Partners Inc VRTS SH 10623 3.296 Billion
Kennametal Inc. KMT SH 96213 3.294 Billion
Nokia Corp. ADR Class A ADR NOK SH 602063 3.281 Billion
Roivant Sciences Ltd ROIV SH 350769 3.28 Billion
Momentive Global Inc MNTV SH 167296 3.279 Billion
Piper Jaffray Companies PIPR SH 23665 3.277 Billion
Acadia Healthcare Company Inc. ACHC SH 51303 3.272 Billion
PBF Energy Inc PBF SH 251964 3.268 Billion
Diamondrock Hospitality Co DRH SH 344373 3.254 Billion
M.D.C. Holdings Inc. MDC SH 69549 3.249 Billion
Synnex Corp SNX SH 31215 3.249 Billion
Affirm Holdings Inc AFRM SH 27254 3.247 Billion
Radian Group Inc. RDN SH 142544 3.238 Billion
AeroVironment Inc AVAV SH 37512 3.238 Billion
DocGo Inc DCGO SH 325000 3.237 Billion
Meta Financial Group Inc CASH SH 61665 3.236 Billion
Orion Engineered Carbons S.A OEC SH 177483 3.236 Billion
OCA Acquisition Corp OCAX SH 325000 3.218 Billion
Alpha Tau Medical Ltd DRTS SH 325000 3.204 Billion
WSFS Financial Corp. WSFS SH 62346 3.199 Billion
Home BancShares Inc HOMB SH 135901 3.198 Billion
Fluor Corp. FLR SH 199942 3.193 Billion
Banner Corp BANR SH 57730 3.187 Billion
BTC BlackRock Short Maturity Municipal Bond ETF MEAR SH 63476 3.184 Billion
Tupperware Brands Corp. TUP SH 150013 3.168 Billion
Bank of Montreal (NYSE) BMO SH 31658 3.157 Billion
Verint Systems Inc VRNT SH 70431 3.155 Billion
Digital Turbine Inc APPS SH 45822 3.15 Billion
SPDR Pharmaceuticals ETF XPH SH 66381 3.149 Billion
Inari Medical, Inc. NARI SH 38792 3.146 Billion
MarineMax Inc. HZO SH 64715 3.14 Billion
Tellurian Inc TELL SH 803144 3.14 Billion
Lennox International, Inc. LII SH 10658 3.135 Billion
G-III Apparel Group Ltd GIII SH 110586 3.129 Billion
Columbia Property Trust Inc CXP SH 164534 3.129 Billion
Rambus Inc. RMBS SH 140516 3.119 Billion
Natera Inc NTRA SH 27951 3.115 Billion
AAR Corp AIR SH 95927 3.111 Billion
Cheniere Energy Partners LP CQP SH 76414 3.108 Billion
Orix Corp ADS IX SH 32847 3.105 Billion
Kingswood Acquisition Corp KWAC SH 306374 3.091 Billion
OSI Systems Inc. OSIS SH 32583 3.089 Billion
Global X U.S. Infrastructure Development ETF PAVE SH 121457 3.086 Billion
TriNet Group Inc TNET SH 32567 3.08 Billion
Leslies, Inc. LESL SH 149964 3.08 Billion
MGM Growth Properties LLC MGP SH 80355 3.077 Billion
Winnebago Industries Inc. WGO SH 42325 3.067 Billion
P.T. Telekomunikasi Indonesia ADR TLK SH 120681 3.065 Billion
Vanguard Long-Term Treasury ETF VGLT SH 34825 3.055 Billion
MGE Energy Inc. (Madison Gas & Electric) MGEE SH 41555 3.054 Billion
National Health Investors, Inc. NHI SH 57015 3.051 Billion
Vanguard Health Care ETF VHT SH 12290 3.038 Billion
SL Green Realty Corp. SLG SH 42830 3.034 Billion
Medifast Inc MED SH 15747 3.034 Billion
WestAmerica Bancorporation (San Rafael, CA) WABC SH 53829 3.028 Billion
Prosperity Bancshares Inc PB SH 42407 3.017 Billion
ENI S.p.A. E SH 112699 3.015 Billion
Ackrell SPAC Partners I Co ACKIT SH 300000 3.01 Billion
Bunge Ltd. ADR BG SH 36949 3.005 Billion
Service Corp. International, Inc. SCI SH 49814 3.002 Billion
Mesa Laboratories, Inc. MLAB SH 9931 3.002 Billion
Retail Opportunity Investments Corp ROIC SH 172317 3.002 Billion
Casella Waste Systems Inc CWST SH 39528 3.001 Billion
Natus Medical NTUS SH 118935 2.983 Billion
Wendys Co. (The) WEN SH 137595 2.983 Billion
Zumiez Inc ZUMZ SH 74982 2.981 Billion
Celsius Holdings, Inc. CELH SH 33073 2.979 Billion
Brookfield Infrastructure Partners LP BIP SH 52982 2.973 Billion
OFG Bancorp OFG SH 117604 2.966 Billion
DT Midstream Inc DTM SH 64088 2.963 Billion
CoreSite Realty Corp COR SH 21382 2.962 Billion
Jackson Financial Inc JXN SH 113310 2.946 Billion
iRhythm Technologies Inc IRTC SH 50273 2.944 Billion
BTC iShares Currency Hedged MSCI EAFE ETF HEFA SH 85378 2.936 Billion
Open Text Corp. OTEX SH 60229 2.935 Billion
Apollo Commercial Real Estate Finance ARI SH 197881 2.935 Billion
Central Pacific Financial Corp New CPF SH 114137 2.931 Billion
Apollo Strategic Growth Capital II APGB SH 300000 2.931 Billion
Renewable Energy Group Inc REGI SH 58361 2.93 Billion
California Water Services Group CWT SH 49601 2.923 Billion
AMC Networks Inc AMCX SH 62744 2.923 Billion
Park National Corp. PRK SH 23958 2.922 Billion
Dorchester Minerals L.P. DMLP SH 152427 2.922 Billion
Digi International, Inc. DGII SH 138747 2.917 Billion
DigitalBridge Group Inc DBRG SH 483684 2.917 Billion
Alvotech ALVO SH 297037 2.911 Billion
ADTRAN Holdings Inc ADTN SH 154838 2.905 Billion
BTC iShares International Treasury Bond ETF IGOV SH 56568 2.905 Billion
Lightspeed POS Inc. LSPD SH 30070 2.9 Billion
iShares MSCI Singapore ETF EWS SH 126988 2.892 Billion
RLI Corp. RLI SH 28788 2.886 Billion
Clean Harbors Inc. CLH SH 27741 2.882 Billion
Kaiser Aluminum Corp KALU SH 26433 2.88 Billion
iShares iBonds Dec 2023 Term Muni Bond ETF IBML SH 110704 2.878 Billion
Up Fintech Holding Ltd TIGR SH 271449 2.875 Billion
New Relic Inc NEWR SH 39813 2.857 Billion
U.S. Ecology, Inc. ECOL SH 88222 2.854 Billion
Credicorp Ltd ADR BAP SH 25629 2.844 Billion
Century Aluminum Co. CENX SH 210529 2.832 Billion
Tredegar Corp. TG SH 232418 2.831 Billion
NBT Bancorp, Inc. NBTB SH 78344 2.83 Billion
CHP Merger Corp. CHPM SH 281722 2.823 Billion
iShares ESG Aware U.S. Aggregate Bond ETF EAGG SH 51136 2.819 Billion
TechTarget Inc TTGT SH 34122 2.813 Billion
Criteo S.A. ADR CRTO SH 76615 2.808 Billion
Arena Pharmaceuticals Inc ARNA SH 47136 2.807 Billion
Schwab International Equity ETF SCHF SH 72468 2.805 Billion
Bridge Bancorp BDGE SH 85624 2.796 Billion
Kinsale Capital Group Inc KNSL SH 17227 2.786 Billion
Lincoln Electric Holdings Inc LECO SH 21630 2.785 Billion
Four Corners Property Trust Inc FCPT SH 103694 2.785 Billion
Gates Industrial Corp PLC GTES SH 171098 2.784 Billion
Inter Parfums Inc. IPAR SH 37194 2.781 Billion
Myers Industries Inc. MYE SH 141723 2.774 Billion
Sotera Health Co SHC SH 105513 2.759 Billion
Hormel Foods Corp. HRL SH 67247 2.757 Billion
Ashland Inc. ASH SH 30909 2.754 Billion
Enova International Inc ENVA SH 79577 2.749 Billion
iShares Core Dividend Growth ETF- DGRO SH 54619 2.744 Billion
ON24 Inc. ONTF SH 137468 2.741 Billion
iShares iBonds Dec 2024 Term Muni Bond ETF IBMM SH 101665 2.739 Billion
Acamar Partners Acquisition Corp LOTZ SH 718912 2.739 Billion
BigCommerce Holdings, Inc. BIGC SH 53963 2.733 Billion
Arbe Robotics Ltd ARBE SH 275200 2.733 Billion
iShares U.S. Financials ETF- IYF SH 33101 2.732 Billion
Covetrus Inc CVET SH 150516 2.731 Billion
Cadence BanCorp CADE SH 124321 2.73 Billion
Horace Mann Educators Corp. HMN SH 68569 2.729 Billion
Sprott Physical Gold and Silver Trust CEF SH 159307 2.729 Billion
Allison Transmission Holdings Inc ALSN SH 77196 2.727 Billion
Invesco Fundamental High Yield Corporate Bond ETF PHB SH 139812 2.724 Billion
Appian Corp APPN SH 29439 2.724 Billion
CAI International Inc CAI SH 48695 2.723 Billion
Valmont Industries, Inc. VMI SH 11558 2.718 Billion
Provident Financial Services, Inc. PFS SH 115437 2.709 Billion
Madison Square Garden Entertainment Corp MSGE SH 37272 2.709 Billion
Barclays Bank PLC LD CALL 62000 2.698 Billion
CTS Corp. CTS SH 87232 2.696 Billion
Grocery Outlet Holding Corp GO SH 124892 2.694 Billion
ContextLogic Inc WISH SH 493405 2.694 Billion
City Holding Co. CHCO SH 34571 2.693 Billion
Univest Financial Corp UVSP SH 98274 2.692 Billion
OceanFirst Financial Corp. OCFC SH 125443 2.686 Billion
Independent Bank Corp (MI) IBCP SH 124974 2.684 Billion
Agree Realty Corp. ADC SH 40480 2.681 Billion
Santander Consumer USA Holdings Inc SC SH 64232 2.678 Billion
Group Nine Acquisition Corp GNAC SH 275000 2.678 Billion
OrthoPediatrics Corp KIDS SH 40842 2.676 Billion
Enviva Inc EVA SH 49423 2.673 Billion
Fuller (H.B.) Co. FUL SH 41303 2.667 Billion
Navient Corp NAVI SH 134825 2.66 Billion
Bank of NT Butterfield & Son Limited NTB SH 74736 2.654 Billion
Phillips 66 Partners LP PSXP SH 73809 2.646 Billion
Empire State Realty Trust Inc ESRT SH 263646 2.644 Billion
GCP Applied Technologies Inc GCP SH 120507 2.642 Billion
Axonics Inc AXNX SH 40405 2.63 Billion
Artivion Inc AORT SH 117770 2.625 Billion
Viper Energy Partners LP VNOM SH 120001 2.622 Billion
Turning Point Therapeutics Inc TPTX SH 39425 2.619 Billion
Otter Tail Corp OTTR SH 46487 2.602 Billion
Helios Technologies Inc HLIO SH 31663 2.6 Billion
Acco Brands Corp ACCO SH 302409 2.598 Billion
CLARIVATE PLC CLVT SH 118651 2.598 Billion
Arconic Corp. (2020) ARNC SH 82222 2.593 Billion
First Financial Corp. (IN) THFF SH 61611 2.59 Billion
Independence Realty Trust Inc IRT SH 127251 2.59 Billion
Vanguard Financials ETF VFH SH 27863 2.582 Billion
Grid Dynamics Hldgs Inc Cl A GDYN SH 88180 2.577 Billion
SolarEdge Technologies Inc SEDG SH 9680 2.568 Billion
Boot Barn Holdings Inc BOOT SH 28883 2.567 Billion
Macerich Company (The) MAC SH 153522 2.565 Billion
Cogent Communications Group Inc CCOI SH 36148 2.561 Billion
Laredo Petroleum Inc LPI SH 31592 2.561 Billion
Shell Midstream Partners L.P. SHLX SH 217603 2.561 Billion
AllianceBernstein Holding LP AB SH 51354 2.546 Billion
Malacca Straits Acquisition Co Ltd MLAC SH 256004 2.545 Billion
First Solar Inc FSLR SH 26647 2.544 Billion
Takeda Pharmaceutical Co Ltd TAK SH 155322 2.544 Billion
Maxar Technologies Ltd MAXR SH 89828 2.544 Billion
Vector Group Ltd. (Liggett Group Inc. - Brooke Group Ltd.) VGR SH 199281 2.541 Billion
ONE Gas, Inc. OGS SH 40003 2.535 Billion
Americold Realty Trust Inc COLD SH 86732 2.52 Billion
Revelation Biosciences Inc REVB SH 250000 2.52 Billion
iShares MSCI Canada ETF EWC SH 69219 2.513 Billion
SentinelOne Inc S SH 46794 2.507 Billion
Denali Therapeutics Inc DNLI SH 49646 2.504 Billion
Chatham Lodging Trust (REIT) CLDT SH 204358 2.503 Billion
Franchise Group Inc FRG SH 70602 2.5 Billion
United Microelectronics Corp. ADR UMC SH 218381 2.496 Billion
Dave & Busters Entertainment Inc PLAY PUT 65000 2.491 Billion
Herbalife Nutrition Ltd HLF SH 58599 2.483 Billion
AZZ, Inc. (Aztec Manufacturing Co.) AZZ SH 46655 2.482 Billion
FuelCell Energy Inc FCEL SH 370207 2.477 Billion
PIMCO Short Term Municipal Bond Active Exchange-Traded Fund SMMU SH 48260 2.476 Billion
Argo Group International Holdings Ltd ARGO SH 47247 2.467 Billion
Rhythm Pharmaceuticals Inc RYTM SH 188591 2.463 Billion
Lennar Corp. Class B LEN.B SH 31732 2.462 Billion
iShares U.S. Telecommunications ETF- IYZ SH 75832 2.461 Billion
First Foundation Inc FFWM SH 93521 2.46 Billion
BioCryst Pharmaceutical Inc. BCRX SH 170882 2.456 Billion
E.Merge Technology Acquisition Corp. ETAC SH 249999 2.455 Billion
WPP plc ADS ADR WPP SH 36512 2.448 Billion
Boyd Gaming Corp. BYD SH 38636 2.444 Billion
Porch Group Inc PRCH SH 137980 2.44 Billion
Jaws Juggernaut Acquisition Corp JUGG SH 251721 2.439 Billion
Arcosa Inc ACA SH 48519 2.434 Billion
RMG Acquisition Corp III RMGC SH 250000 2.432 Billion
Logitech International SA ADR LOGI SH 27524 2.427 Billion
Green Dot Corp GDOT SH 48218 2.427 Billion
Brigham Minerals Inc MNRL SH 126603 2.426 Billion
PGT Innovations Inc PGTI SH 126850 2.423 Billion
RLJ Lodging Trust RLJ SH 162791 2.419 Billion
CRISPR Therapeutics AG CRSP SH 21606 2.418 Billion
Kontoor Brands Inc KTB SH 48362 2.416 Billion
PNM Resources, Inc. PNM SH 48781 2.414 Billion
M/I Homes Inc MHO SH 41766 2.414 Billion
Royal Gold Inc RGLD SH 25238 2.41 Billion
The Bancorp Inc TBBK SH 94716 2.41 Billion
Spirit Aerosystems Holdings Inc. Class A SPR SH 54505 2.409 Billion
PIMCO Dynamic Credit and Mortgage Income Fund PCI SH 113846 2.406 Billion
Sally Beauty Holdings Inc SBH SH 142711 2.405 Billion
Schwab U.S. Broad Market ETF SCHB SH 23123 2.402 Billion
SK Telecom Co., Ltd. ADR SKM SH 79680 2.398 Billion
Easterly Government Properties Inc DEA SH 115211 2.38 Billion
GEO Group, Inc. (The) GEO SH 317496 2.372 Billion
Livent Corp LTHM SH 102029 2.358 Billion
KKR Acquisition Holdings I Corp KAHC SH 241795 2.358 Billion
Cohn & Steers Inc CNS SH 28136 2.357 Billion
Mr Cooper Group Inc COOP SH 57148 2.353 Billion
China Index Holdings Limited ADS CIH SH 1585535 2.347 Billion
Universal Corp. (Universal Leaf Tobacco) UVV SH 48445 2.341 Billion
Pure Storage Inc PSTG SH 92934 2.338 Billion
SVF Investment Corp 2 SVFB SH 238083 2.338 Billion
Warrior Met Coal Inc HCC SH 100157 2.331 Billion
iShares Genomics Immunology and Healthcare ETF IDNA SH 45947 2.33 Billion
First Bancorp (NC) FBNC SH 53959 2.32 Billion
Pennant Group, Inc. PNTG SH 82594 2.32 Billion
Capitol Federal Financial Inc CFFN SH 201811 2.319 Billion
Archrock Inc AROC SH 281032 2.318 Billion
Shyft Group Inc SHYF SH 60924 2.315 Billion
FlexShares Quality Dividend Index Fund QDF SH 41526 2.311 Billion
Franklin Street Properties Corp FSP SH 496596 2.304 Billion
BTC iShares Exponential Technologies ETF XT SH 36722 2.304 Billion
Southside Bancshares, Inc. SBSI SH 60083 2.301 Billion
Beyond Meat Inc BYND SH 21816 2.296 Billion
Armata Pharmaceuticals Inc ARMP SH 633944 2.295 Billion
Cinemark Holdings Inc CNK SH 119336 2.292 Billion
iShares Short Treasury Bond ETF- SHV SH 20742 2.291 Billion
Veritex Holdings Inc VBTX SH 58062 2.286 Billion
John Wiley & Sons Inc. WLY SH 43718 2.283 Billion
Kratos Defense & Security Solutions Inc KTOS SH 102261 2.282 Billion
ePlus Inc. PLUS SH 22189 2.277 Billion
Antero Resources Corp AR SH 120678 2.27 Billion
Pacific Biosciences of California, Inc. PACB SH 88790 2.269 Billion
Owl Rock Capital Corp ORCC SH 160671 2.269 Billion
Proto Labs Inc PRLB SH 34013 2.265 Billion
Ubiquiti Inc UI SH 7578 2.263 Billion
Focus Financial Partners Inc FOCS SH 43187 2.262 Billion
Danimer Scientific Inc DNMR SH 138274 2.26 Billion
Amyris Inc. AMRS SH 163954 2.251 Billion
iShares Global Comm Services ETF- IXP SH 26580 2.249 Billion
Materion Corp MTRN SH 32745 2.248 Billion
RPT Realty RPT SH 176074 2.247 Billion
United Natural Foods Inc UNFI SH 46242 2.239 Billion
Affiliated Managers Group Inc AMG SH 14802 2.236 Billion
Ncino Inc. NCNO SH 31476 2.236 Billion
Meredith Corp. MDP SH 40038 2.23 Billion
SPDR(R) Bloomberg International Treasury Bond ETF- BWX SH 77551 2.228 Billion
American Assets Trust Inc AAT SH 59480 2.226 Billion
United States Natural Gas Fund UNG SH 110334 2.224 Billion
iShares MSCI Mexico ETF EWW SH 45970 2.219 Billion
Fulgent Genetics Inc FLGT SH 24527 2.206 Billion
City Office Reit Inc CIO SH 123430 2.204 Billion
ManTech International Corp MANT SH 28980 2.2 Billion
Artisan Partners Asset Management Inc APAM SH 44963 2.2 Billion
FB Financial Corp FBK SH 51298 2.2 Billion
Redwood Trust, Inc. RWT SH 169516 2.185 Billion
America Movil S.A.B. de C.V. ADS AMX SH 123097 2.175 Billion
Newmark Group Inc NMRK SH 151832 2.173 Billion
Manulife Financial Corp MFC SH 112742 2.169 Billion
CyberArk Software Ltd CYBR SH 13739 2.168 Billion
Ameresco Inc AMRC SH 36940 2.159 Billion
World Fuel Services Corp. INT SH 64200 2.158 Billion
Alexander & Baldwin Holdings Inc ALEX SH 92030 2.157 Billion
International Bancshares Corp. IBOC SH 51735 2.154 Billion
KAR Auction Services Inc KAR SH 131426 2.154 Billion
Sensient Technologies, Inc. SXT SH 23579 2.148 Billion
Covanta Holding Corp. CVA SH 106388 2.141 Billion
e.l.f. Beauty Inc ELF SH 73704 2.141 Billion
JOYY Inc YY SH 38962 2.136 Billion
Ryan Specialty Group Holdings Inc RYAN SH 62810 2.128 Billion
Park Hotels & Resorts Inc PK SH 111108 2.127 Billion
Genworth Financial Inc GNW SH 566467 2.124 Billion
Y-mAbs Therapeutics Inc YMAB SH 74399 2.123 Billion
CGI Inc GIB SH 25008 2.12 Billion
PROS Holdings Inc PRO SH 59670 2.117 Billion
MRC Global Inc MRC SH 288489 2.117 Billion
Urban Edge Properties UE SH 115633 2.117 Billion
PennyMac Financial Services Inc PFSI SH 34535 2.111 Billion
3D Systems Corp. DDD SH 76371 2.106 Billion
Everbridge Inc EVBG SH 13928 2.103 Billion
Myriad Genetics Inc MYGN SH 65078 2.101 Billion
Matthews International Corp, Class A MATW SH 60521 2.1 Billion
Alto Ingredients Inc ALTO SH 424189 2.095 Billion
Tompkins Financial Corp. (Ithaca, NY) TMP SH 25819 2.089 Billion
Cal-Maine Foods Inc CALM SH 57755 2.088 Billion
Marathon Digital Holdings Inc MARA SH 66116 2.088 Billion
Terreno Realty Corp TRNO SH 33008 2.087 Billion
Avis Budget Group Inc. (CUC International - Cendant) CAR SH 17908 2.086 Billion
Trustmark Corp. (Jackson, MS) TRMK SH 64706 2.084 Billion
Opendoor Technologies, Inc. OPEN SH 101322 2.08 Billion
Office Properties Income Trust OPI SH 82013 2.077 Billion
Triton International Ltd TRTN SH 39826 2.073 Billion
Grifols S.A. ADR GRFS SH 141922 2.073 Billion
Blackstone Mortgage Trust, Inc. BXMT SH 68384 2.073 Billion
Avanos Medical Inc AVNS SH 66430 2.073 Billion
Avid Bioservices Inc CDMO SH 96026 2.072 Billion
New Mountain Finance Corp NMFC SH 155702 2.072 Billion
StoneMor Partners LP STON SH 838167 2.07 Billion
Agios Pharmaceuticals Inc AGIO SH 44803 2.068 Billion
STMicroelectronics N.V. ADS ADR STM SH 47377 2.067 Billion
Wabash National Corp. WNC SH 136526 2.066 Billion
PIMCO Intermediate Municipal Bond Active Exchange-Traded Fund MUNI SH 36597 2.063 Billion
iShares U.S. Infrastructure ETF- IFRA SH 60355 2.057 Billion
Innovative Industrial Properties Inc IIPR SH 8847 2.045 Billion
Yext Inc YEXT SH 169988 2.045 Billion
Enerpac Tool Group Corp EPAC SH 98541 2.042 Billion
Ormat Technologies Inc ORA SH 30588 2.038 Billion
TripAdvisor Inc TRIP SH 60088 2.034 Billion
Peoples Bancorp, Inc. (OH) PEBO SH 64259 2.031 Billion
BANDWIDTH INC NOTE 0.250% 3/0 DEBT-BAND PRN 1690000 2.024 Billion
Janus International Group, Inc JBI SH 164865 2.018 Billion
NU Skin Enterprises Inc. Class A NUS SH 49660 2.01 Billion
BRP Group, Inc. BRP SH 60329 2.009 Billion
Daqo New Energy Corp ADR DQ SH 35169 2.005 Billion
Far Peak Acquisition Corp. FPAC SH 200900 1.999 Billion
Utz Brands, Inc. UTZ SH 116637 1.998 Billion
American Axle & Manufacturing Holdings Inc AXL SH 226624 1.997 Billion
Methode Electronics Inc MEI SH 47437 1.995 Billion
Athira Pharma, Inc. ATHA SH 212431 1.993 Billion
EnerSys Inc. ENS SH 26713 1.988 Billion
Ecovyst Inc ECVT SH 170327 1.986 Billion
Shake Shack Inc SHAK SH 25291 1.984 Billion
BrightSphere Investment Group PLC BSIG SH 75459 1.972 Billion
Ennis Inc. EBF SH 104611 1.971 Billion
Gores Holdings VII Inc Class A GSEV SH 200000 1.97 Billion
ServisFirst Bancshares Inc SFBS SH 25158 1.957 Billion
Vector Acquisition II Corp VAQC SH 200000 1.95 Billion
Silvergate Capital Corp. SI SH 16851 1.946 Billion
Veris Residential Inc VRE SH 113416 1.942 Billion
First Trust ETF VI First Trust NASDAQ Technology Dividend Index Fund TDIV SH 34351 1.94 Billion
Under Armour Inc Cl C UA SH 110694 1.939 Billion
Lions Gate Entertainment Corp Class B LGF.B SH 148872 1.935 Billion
Paramount Global PARAA SH 45947 1.933 Billion
Vanguard Short-Term Inflation-Protected Securities Index Fund VTIP SH 36679 1.929 Billion
Social Capital Hedosophia Holdings Corp. VI IPOF SH 189750 1.926 Billion
Tootsie Roll Industries Inc. (Sweets Co. of America) TR SH 63235 1.924 Billion
Sinclair Broadcast Group Inc, Class A SBGI SH 60675 1.922 Billion
Quidelortho Corp QDEL SH 13606 1.92 Billion
Meridian Bancorp Inc EBSB SH 91709 1.904 Billion
Broadstone Net Lease Inc BNL SH 76735 1.903 Billion
TTM Technologies Inc TTMI SH 151237 1.901 Billion
S&T Bancorp, Inc. (Indiana, PA) STBA SH 64414 1.898 Billion
Omega Healthcare Investors, Inc. OHI SH 63179 1.893 Billion
Bed Bath & Beyond Inc. BBBY SH 108249 1.87 Billion
Eagle Pharmaceuticals Inc EGRX SH 33501 1.869 Billion
Hilton Grand Vacations Inc HGV SH 39213 1.865 Billion
Washington Trust Bancorp, Inc. WASH SH 35154 1.862 Billion
Standex International Corp. SXI SH 18756 1.855 Billion
ADT Inc ADT SH 229359 1.855 Billion
Hudson Pacific Properties Inc HPP SH 70521 1.852 Billion
BTC BlackRock Short Maturity Bond ETF NEAR SH 36931 1.852 Billion
Levi Strauss & Co LEVI SH 75519 1.851 Billion
Thor Industries, Inc. THO SH 15060 1.849 Billion
Nuvasive Inc NUVA PUT 30900 1.849 Billion
Apollo Senior Floating Rate Fund Inc AFT SH 116841 1.846 Billion
Telephone and Data Systems Inc TDS SH 94461 1.842 Billion
iShares iBonds Dec 2026 Term Corporate ETF IBDR PRN 69452 1.84 Billion
Phathom Pharmaceuticals, Inc. PHAT SH 57278 1.839 Billion
Dril-Quip, Inc. DRQ SH 72573 1.828 Billion
Perdoceo Education Corp. (Career Education) PRDO SH 173099 1.828 Billion
SPDR SSGA Gender Diversity Index ETF SHE SH 18100 1.828 Billion
Tactile Systems Technology Inc TCMD SH 41075 1.826 Billion
Brilliant Acquisition Corp BRLI SH 180000 1.825 Billion
Callon Petroleum Co. (1994) CPE SH 37164 1.824 Billion
Preferred Bank (Los Angeles CA) PFBC SH 27357 1.824 Billion
Coca Cola Co. KO PUT 34700 1.821 Billion
Vanguard International High Dividend Yield ETF VYMI SH 27575 1.821 Billion
Strategic Education Inc. (Strayer Education) STRA SH 25800 1.819 Billion
iShares Core Aggressive Allocation ETF AOA SH 26047 1.818 Billion
Xtrackers MSCI Japan Hedged Equity ETF- DBJP SH 35861 1.815 Billion
Hanmi Financial Corp. HAFC SH 90496 1.815 Billion
Hibbett Sports, Inc. HIBB SH 25630 1.814 Billion
Lemonade, Inc. LMND SH 27061 1.813 Billion
Northwest Bancshares Inc NWBI SH 136469 1.812 Billion
Chuys Holdings Inc CHUY SH 57466 1.812 Billion
IMAX Corp IMAX SH 95314 1.809 Billion
OraSure Technologies Inc OSUR SH 159148 1.8 Billion
F45 Training Holdings Inc FXLV PUT 120000 1.795 Billion
ProShares Ultra VIX Short-Term Futures ETF UVXY SH 73095 1.794 Billion
Rite Aid Corp. RAD SH 126092 1.791 Billion
Schwab U.S. Large-Cap Growth ETF SCHG SH 12085 1.79 Billion
CVR PARTNERS LP UAN SH 25596 1.784 Billion
Altair Engineering Inc ALTR SH 25874 1.783 Billion
Chesapeake Energy Corp CHK SH 28807 1.774 Billion
Bottomline Technologies Inc EPAY SH 45134 1.773 Billion
Victoria`s Secret & Co VSCO SH 32027 1.77 Billion
Northwest Natural Holding Co. (Portland Gas and Coke) NWN SH 38425 1.767 Billion
Global Net Lease Inc GNL SH 110279 1.767 Billion
MP Materials Corp MP SH 54750 1.765 Billion
Editas Medicine Inc EDIT SH 42813 1.758 Billion
B&G Foods, Inc. BGS SH 58559 1.75 Billion
Owens-IL Inc OI SH 122578 1.749 Billion
Badger Meter Inc BMI SH 17283 1.748 Billion
Integral Ad Science Holding Corp IAS SH 84567 1.745 Billion
Civitas Resources Inc CIVI SH 36274 1.737 Billion
MiMedx Group Inc MDXG SH 286251 1.735 Billion
Cannae Holdings Inc CNNE SH 55649 1.731 Billion
Morningstar Inc MORN SH 6675 1.729 Billion
Caleres Inc. (Brown Shoe Co.) CAL SH 77472 1.721 Billion
Axcelis Technologies Inc ACLS SH 36427 1.713 Billion
Ballys Corp BALY SH 33972 1.704 Billion
Apollo Medical Holdings Inc AMEH SH 18689 1.702 Billion
Installed Building Products Inc IBP SH 15819 1.695 Billion
Nielsen N.V. NLSN SH 88129 1.691 Billion
CareTrust REIT Inc CTRE SH 83114 1.689 Billion
Brown-Forman Corp. Class A BF.A SH 26866 1.684 Billion
PIMCO Income Opportunity Fund PKO SH 68713 1.684 Billion
Comtech Telecommunications Corp. CMTL SH 65671 1.682 Billion
Invesco Preferred ETF PGX SH 111918 1.682 Billion
Docebo Inc. DCBO SH 23095 1.681 Billion
SSgA SPDR S&P 500 Growth ETF SPYG SH 26189 1.677 Billion
Custom Truck One Source Inc CTOS SH 179552 1.676 Billion
iShares 0-5 Year High Yield Corporate Bond ETF SHYG SH 36404 1.664 Billion
Fisker Inc FSR SH 113297 1.66 Billion
Veritiv Corp VRTV SH 18446 1.652 Billion
Enterprise Financial Services Corp EFSC SH 36372 1.647 Billion
Ichor Holdings Ltd ICHR SH 40020 1.644 Billion
Hawaiian Holdings, Inc. HA SH 75872 1.643 Billion
Everi Holdings Inc EVRI SH 67738 1.638 Billion
Unitil Corp UTL SH 38261 1.637 Billion
nLight Inc LASR SH 57908 1.633 Billion
Concert Pharmaceuticals Inc CNCE SH 495543 1.62 Billion
Poshmark Inc POSH SH 68152 1.619 Billion
Ironwood Pharmaceuticals Inc IRWD SH 123502 1.613 Billion
Unisys Corp. (Burroughs Adding Machine) UIS SH 64076 1.611 Billion
Bank of Nova Scotia (NYSE) ADR BNS SH 26069 1.604 Billion
Cooper-Standard Holdings Inc CPS SH 73019 1.6 Billion
Gevo Inc GEVO SH 240826 1.599 Billion
The Joint Corp JYNT SH 16316 1.599 Billion
Cassava Sciences Inc SAVA SH 25723 1.597 Billion
Prothena Corp PLC PRTA SH 22421 1.597 Billion
Calavo Growers Inc CVGW SH 41697 1.594 Billion
ARMOUR Residential REIT Inc ARR SH 146806 1.583 Billion
Silicon Motion Technology Corp ADR SIMO SH 22923 1.581 Billion
Signify Health, Inc. SGFY SH 88355 1.579 Billion
Chesapeake Utilities Corp CPK SH 13138 1.577 Billion
ModivCare Inc MODV SH 8664 1.574 Billion
Consolidated Communications Holdings Inc CNSL SH 170774 1.569 Billion
RadNet Inc RDNT SH 53451 1.567 Billion
Vericel Corp VCEL SH 32092 1.566 Billion
TreeHouse Foods Inc THS SH 39229 1.564 Billion
SelectQuote, Inc. SLQT SH 120933 1.564 Billion
PriceSmart Inc PSMT SH 20158 1.563 Billion
PetIQ Inc PETQ SH 62530 1.561 Billion
iShares U.S. Healthcare ETF- IYH SH 5651 1.559 Billion
Hyliion Holdings Corp HYLN SH 185466 1.558 Billion
Magnite Inc. (Rubicon Project Inc.) MGNI SH 55557 1.555 Billion
Heartland Express, Inc. HTLD SH 96925 1.553 Billion
Zuora Inc ZUO SH 93580 1.551 Billion
Pitney-Bowes Inc. PBI SH 213915 1.542 Billion
SPDR Bloomberg Barclays TIPS ETF SPIP SH 49314 1.534 Billion
Polestar Automotive Holding UK PLC PSNY SH 150000 1.533 Billion
St. Joe Corp JOE SH 36358 1.531 Billion
Astec Industries Inc ASTE SH 28449 1.531 Billion
CNA Financial Corp. CNA SH 36379 1.527 Billion
Armada Hoffler Properties Inc AHH SH 114222 1.527 Billion
Academy Sports and Outdoors, Inc. ASO SH 38109 1.525 Billion
Arcus Biosciences Inc RCUS SH 43625 1.521 Billion
Ionis Phrmacutls IONS SH 45325 1.52 Billion
Employers Holdings Inc EIG SH 38244 1.51 Billion
Oak Street Health, Inc. OSH SH 35491 1.51 Billion
Carparts.Com Inc PRTS SH 96538 1.507 Billion
iShares MSCI Poland ETF EPOL SH 68667 1.505 Billion
Gamestop Corp., Class A GME SH 8567 1.503 Billion
Lindsay Corp LNN SH 9873 1.499 Billion
iShares MSCI Spain ETF EWP SH 55570 1.499 Billion
Energy Fuels Inc UUUU SH 213335 1.498 Billion
Community Health Systems, Inc. CYH SH 127145 1.488 Billion
Deluxe Corp. DLX SH 41304 1.483 Billion
Benchmark Electronics, Inc. BHE SH 55393 1.48 Billion
Sumo Logic, Inc. SUMO SH 91772 1.48 Billion
First Defiance Financial Corp PFC SH 46446 1.479 Billion
Liberty Sirius XM Group, Series A LSXMA SH 31363 1.479 Billion
ProShares Short VIX Short-Term Futures ETF SVXY SH 27171 1.478 Billion
Sirius XM Holdings Inc SIRI SH 242195 1.477 Billion
CoreCivic Inc. (Corrections Corp. of America) CXW SH 165983 1.477 Billion
Bank of Commerce Holdings (CA) BOCH1 SH 97174 1.474 Billion
Stellantis NV STLA SH 77115 1.473 Billion
Rocket Internet Growth Opportunities Corp Cl A RKTA SH 150296 1.468 Billion
Colonnade Acquisition Corp II Class A CLAA SH 150000 1.467 Billion
Nightdragon Acquisition Corp NDAC SH 150000 1.466 Billion
Lakeland Bancorp, Inc. LBAI SH 83123 1.465 Billion
Urstadt Biddle Properties, Inc. Class A UBA SH 77345 1.464 Billion
Houghton Mifflin Harcourt Co HMHC SH 108890 1.463 Billion
FS KKR Cap Corp FSK SH 66368 1.463 Billion
Austerlitz Acquisition II Corp ASZ SH 150000 1.462 Billion
Gores Technology Partners II Inc GTPB SH 150000 1.462 Billion
Coca-Cola Consolidated Inc COKE SH 3707 1.461 Billion
MidCap Financial Investment Corporation MFIC SH 112613 1.46 Billion
Accelerate Acquisition Corp AAQC SH 150000 1.46 Billion
Vanda Pharmaceuticals Inc VNDA SH 85024 1.458 Billion
Delek US Holdings Inc. DK SH 81036 1.456 Billion
Conduent Inc CNDT SH 220907 1.456 Billion
Extreme Networks Inc. EXTR SH 147197 1.45 Billion
Univar Solutions Inc UNVR SH 60870 1.45 Billion
InterPrivate IV InfraTech Partners Inc IPVI SH 150000 1.449 Billion
GX Acquisition Corp II GXII SH 150000 1.449 Billion
Phibro Animal Health Corp PAHC SH 67191 1.448 Billion
Standard Motor Products Inc. Class A SMP SH 33100 1.447 Billion
Transmedics Group Inc TMDX SH 43712 1.447 Billion
Plantronics Inc POLY SH 56267 1.446 Billion
Group 1 Automotive, Inc. GPI SH 7696 1.446 Billion
ArcBest Corp ARCB SH 17679 1.446 Billion
Allegiance Bancshares Inc ABTX SH 37795 1.442 Billion
iShares Global Consumer Staples ETF- KXI SH 24030 1.441 Billion
Industrial Logistics Properties Trust ILPT SH 56695 1.441 Billion
Vanguard Total International Stock ETF VXUS SH 22739 1.438 Billion
Hydrofarm Holdings Group, Inc. HYFM SH 37985 1.438 Billion
Dimensional U.S. Small Cap ETF DFAS SH 24953 1.435 Billion
The Chefs Warehouse Inc CHEF SH 44023 1.434 Billion
Adaptive Biotechnologies Corp ADPT SH 42162 1.433 Billion
Par Pacific Holdings Inc PARR SH 91042 1.431 Billion
Genesco Inc. GCO SH 24761 1.43 Billion
Xtrackers Harvest CSI 300 China A-Shares ETF- ASHR SH 37522 1.43 Billion
SpartanNash Co SPTN SH 65255 1.429 Billion
Riot Blockchain Inc RIOT SH 55503 1.426 Billion
Penske Automotive Group, Inc. PAG SH 14173 1.426 Billion
Addus HomeCare Corp ADUS SH 17889 1.426 Billion
Apogee Enterprises, Inc. APOG SH 37726 1.425 Billion
Designer Brands Inc DBI SH 102270 1.424 Billion
EchoStar Corp. SATS SH 55669 1.42 Billion
NOW Inc DNOW SH 185311 1.418 Billion
Cornerstone Building Brands Inc CNR SH 96794 1.414 Billion
Essential Properties Realty Trust Inc EPRT SH 50607 1.413 Billion
National Beverage Corp FIZZ SH 26813 1.407 Billion
Marten Transport Ltd MRTN SH 89570 1.405 Billion
VanEck Semiconductor ETF SMH SH 5466 1.401 Billion
Fubotv Inc FUBO SH 58482 1.401 Billion
Flushing Financial Corp FFIC SH 61952 1.4 Billion
Workhorse Group Inc WKHS SH 182770 1.398 Billion
Vista Outdoor Inc VSTO SH 34609 1.395 Billion
GO Acquisition Corp. GOAC SH 142159 1.395 Billion
Veeco Instruments, Inc. (DE) VECO SH 62733 1.394 Billion
Rocket Pharmaceuticals Inc RCKT SH 46595 1.392 Billion
NexPoint Residential Trust Inc NXRT SH 22477 1.391 Billion
Gibraltar Industries Inc ROCK SH 19913 1.387 Billion
Mercury General Corp. MCY SH 24897 1.386 Billion
First Trust Value Line Dividend Index Fund- FVD SH 35346 1.386 Billion
Scholastic Corp. SCHL SH 38863 1.385 Billion
Vanguard FTSE Pacific ETF VPL SH 17028 1.38 Billion
Lux Health Tech Acquisition Corp. LUXA SH 140646 1.38 Billion
ATN International Inc ATNI SH 29352 1.375 Billion
First Busey Corp BUSE SH 55722 1.372 Billion
TriState Capital Holdings Inc TSC SH 64846 1.371 Billion
Lakeland Financial Corp. LKFN SH 19236 1.37 Billion
Alliance Resource Partners L.P. ARLP SH 126043 1.37 Billion
Vanguard Consumer Staples ETF VDC SH 7639 1.369 Billion
StoneCo Ltd STNE SH 39336 1.366 Billion
Inogen Inc INGN SH 31632 1.363 Billion
Par Technology Corp. PAR SH 22030 1.355 Billion
Sabra Healthcare REIT Inc SBRA SH 91499 1.347 Billion
Sanfilippo (John B.) & Son Inc. JBSS SH 16463 1.345 Billion
Viasat Inc. VSAT SH 24348 1.341 Billion
iShares MSCI Italy ETF EWI SH 42274 1.338 Billion
Mandiant Inc MNDT PUT 75000 1.335 Billion
Quanterix Corp QTRX SH 26809 1.335 Billion
Nuveen AMT-Free Municipal Credit Income Fund NVG SH 77566 1.33 Billion
SiteOne Landscape Supply Inc SITE SH 6653 1.327 Billion
Vir Biotechnology, Inc. VIR SH 30496 1.327 Billion
Alphatec Holdings Inc ATEC SH 108441 1.322 Billion
Endava PLC DAVA SH 9730 1.322 Billion
Imperial Oil Ltd. (ASE) IMO SH 41822 1.32 Billion
BJs Restaurants Inc. BJRI SH 31526 1.317 Billion
Cloudera Inc CLDR SH 82488 1.317 Billion
The ExOne Co XONE SH 56266 1.315 Billion
NextEra Energy, Inc. 5.279% Equity Units Due 3/01/2023 NEE+P SH 25704 1.31 Billion
ISHRS IBNDS DEC 27 CORP ETF IBDS PRN 48431 1.307 Billion
Global X Autonomous & Electric Vehicles ETF DRIV SH 47676 1.307 Billion
Invs Real Estate Trust CSR SH 13827 1.306 Billion
Live Oak Bancshares Inc LOB SH 20430 1.3 Billion
Sprouts Farmers Market Inc SFM SH 55968 1.297 Billion
Inovalon Holdings Inc INOV SH 32169 1.296 Billion
Churchill Cap III Corp MPLN SH 229998 1.295 Billion
Aarons Holdings Company, Inc. AAN SH 47033 1.295 Billion
Array Technologies, Inc. ARRY SH 69725 1.291 Billion
Nustar Energy Unit NS SH 81982 1.29 Billion
Ellington Financial LLC EFC SH 70502 1.289 Billion
Anaplan Inc PLAN SH 21161 1.288 Billion
Sunstone Hotel Investors, Inc. SHO SH 107678 1.286 Billion
Green Brick Partners Inc GRBK SH 62658 1.285 Billion
Century Communities Inc CCS SH 20869 1.282 Billion
Sterling Check Corp STER SH 49390 1.282 Billion
Alector Inc ALEC SH 56128 1.281 Billion
Axos Financial Inc AX SH 24780 1.278 Billion
Canon Inc. ADR CAJ SH 52302 1.275 Billion
James Hardie Industries plc ADR JHX SH 35656 1.272 Billion
SEMrush Holdings Inc SEMR SH 55165 1.272 Billion
Tenaris SA ADS ADR TS SH 60217 1.271 Billion
Tencent Music Entertainment Group TME SH 175114 1.27 Billion
Pimco High Income Fund PHK SH 202097 1.269 Billion
ConnectOne Bancorp Inc CNOB SH 42301 1.269 Billion
Vishay Intertechnology, Inc. VSH SH 63086 1.267 Billion
Woori Bank WF SH 43818 1.267 Billion
FARO Technologies Inc. FARO SH 19229 1.265 Billion
Xencor Inc XNCR SH 38707 1.264 Billion
California Resources Corp. CRC SH 30823 1.264 Billion
The York Water Co YORW SH 28905 1.263 Billion
Safety Insurance Group Inc SAFT SH 15904 1.26 Billion
EW Scripps Company Cl A SSP SH 69756 1.26 Billion
Kymera Therapeutics, Inc. KYMR SH 21396 1.257 Billion
PIMCO Dynamic Income Fund PDI SH 47269 1.256 Billion
Allakos Inc ALLK SH 11851 1.255 Billion
Nabors Industries Ltd. NBR SH 13001 1.254 Billion
Liberty Latin America Ltd Class C LILAK SH 95471 1.253 Billion
Cognyte Software Ltd CGNT SH 60703 1.248 Billion
DHC Acquisition Corp DHCA SH 127788 1.248 Billion
WisdomTree U.S. SmallCap Dividend Fund-N/A DES SH 40357 1.244 Billion
Brandywine Realty Trust BDN SH 92653 1.243 Billion
Getty Realty Corp. GTY SH 42358 1.242 Billion
Clean Energy Fuels Corp CLNE SH 152328 1.241 Billion
QuantumScape QS SH 50572 1.241 Billion
Qualtrics Intl Inc XM SH 29017 1.24 Billion
TeraData Corp. TDC SH 21607 1.239 Billion
Autoliv Inc ALV SH 14425 1.237 Billion
NEOLEUKIN THERAPEUTICS ORD SHS NLTX SH 170337 1.232 Billion
Gores Holdings VIII Inc GIIX SH 125000 1.231 Billion
Interface Inc TILE SH 81075 1.228 Billion
Getty Images Holdings Inc GETY SH 124800 1.226 Billion
Big Lots Inc BIG SH 28247 1.225 Billion
Superior Group of Companies, Inc. SGC SH 52573 1.224 Billion
Sprott Physical Silver Trust PSLV SH 159408 1.224 Billion
Stonex Group Inc. (INTL FCStone) SNEX SH 18539 1.222 Billion
ACM Research Inc ACMR SH 11098 1.221 Billion
Tech and Energy Transition Corporation C TETC SH 124998 1.221 Billion
Constellation Acquisition Corp I CSTA SH 124998 1.22 Billion
Angiodynamics Inc ANGO SH 47012 1.219 Billion
World Acceptance Corp. WRLD SH 6431 1.219 Billion
SPDR Semiconductors ETF XSD SH 6151 1.218 Billion
Altice USA Inc ATUS SH 58788 1.218 Billion
Chicos FAS Inc CHS SH 271153 1.217 Billion
Tivity Health Inc TVTY SH 52716 1.216 Billion
Universal Electronics Inc. UEIC SH 24694 1.216 Billion
PennyMac Mortgage Investment Trust PMT SH 61686 1.215 Billion
Option Care Health Inc. (Bioscrip) OPCH SH 49951 1.212 Billion
Capital Southwest Corp. CSWC SH 48040 1.21 Billion
First Trust Preferred Securities and Income ETF FPE SH 58898 1.21 Billion
Starwood Property Trust Inc STWD SH 49535 1.209 Billion
Andersons, Inc. (The) ANDE SH 39169 1.208 Billion
Sangamo Therapeutics Inc SGMO SH 133406 1.202 Billion
Sturm, Ruger & Co., Inc. RGR SH 16298 1.202 Billion
Cambridge Bancorp CATC SH 13653 1.201 Billion
Grupo Aeroportuario del Pacifico, S.A.B de C.V. ADR PAC SH 10317 1.2 Billion
Laureate Education Inc LAUR SH 70621 1.2 Billion
TriCo Bancshares (Chico, CA) TCBK SH 27635 1.199 Billion
Sun Country Airlines Holdings Inc SNCY SH 35756 1.199 Billion
Luminar Technologies LAZR SH 76583 1.195 Billion
Liberty Media Corp Series A FWONA SH 25354 1.193 Billion
Karyopharm Therapeutics Inc KPTI SH 205044 1.193 Billion
MFA Financial, Inc. MFA SH 260395 1.19 Billion
Globalstar Inc GSAT SH 708237 1.183 Billion
iShares Core Growth Allocation ETF AOR SH 21331 1.183 Billion
Americas Car Mart Inc. CRMT SH 10120 1.182 Billion
Middlesex Water Co MSEX SH 11481 1.18 Billion
Couchbase Inc BASE SH 37915 1.18 Billion
Trillium Therapeutics Inc TRIL SH 67033 1.177 Billion
Kodiak Sciences Inc KOD SH 12268 1.177 Billion
Sabine Royalty Trust SBR SH 27448 1.176 Billion
Celldex Therapeutics Inc. CLDX SH 21705 1.172 Billion
Centennial Resource Development Inc CDEV SH 174673 1.17 Billion
Tata Motors Ltd ADR TTM SH 51890 1.163 Billion
Oceaneering International Inc. OII SH 87315 1.163 Billion
Donnelley Financial Solutions Inc DFIN SH 33531 1.161 Billion
Eaton Vance Limited Duration Income Fund EVV SH 88048 1.16 Billion
TFS Financial Corp TFSL SH 60859 1.16 Billion
Mercantile Bank Corp. MBWM SH 36193 1.159 Billion
Sorrento Therapeutics Inc SRNE SH 151934 1.159 Billion
Adient Plc ADNT SH 27945 1.158 Billion
Childrens Place Inc PLCE SH 15365 1.157 Billion
ProShares UltraPro Dow30 UDOW SH 16818 1.157 Billion
SeaWorld Entertainment, Inc. SEAS SH 20925 1.157 Billion
Rocket Companies, Inc. RKT SH 72079 1.156 Billion
NextEra Energy, Inc. 6.219% Equity Units Due 9/1/2023 NEE+Q SH 22596 1.155 Billion
ScanSource Inc. SCSC SH 33170 1.154 Billion
Codexis Inc CDXS SH 49450 1.15 Billion
Office Depot Inc ODP SH 28562 1.147 Billion
Bank of the Ozarks OZK SH 26702 1.147 Billion
Cardiovascular Systems Inc CSII SH 34869 1.145 Billion
Vicor Corp VICR SH 8526 1.144 Billion
Core & Main Inc CNM SH 43593 1.143 Billion
Gannett Co Inc. (New Media Investment Group) GCI SH 170829 1.141 Billion
HUTCHMED (China) Ltd HCM SH 30956 1.133 Billion
Omeros Corp OMER SH 82029 1.131 Billion
MSC Industrial Direct, Inc. MSM SH 14081 1.129 Billion
Beazer Homes USA Inc. BZH SH 65453 1.129 Billion
Trinity Industries Inc TRN SH 41504 1.128 Billion
Deutsche Bank AG (NYSE) ADR DB SH 88753 1.127 Billion
National Western Life Group Inc NWLI SH 5337 1.124 Billion
Ingles Markets, Inc Class A IMKTA SH 17007 1.123 Billion
Tile Shop Hldgs Inc TTSH SH 146153 1.121 Billion
Community Healthcare Trust Inc CHCT SH 24720 1.117 Billion
Quince Therapeutics Inc QNCX SH 12187 1.117 Billion
Latham Group Inc SWIM SH 68020 1.116 Billion
Intra-Cellular Therapies Inc ITCI SH 29860 1.113 Billion
Core Laboratories N.V. CLB SH 40008 1.11 Billion
Dillards Inc. DDS SH 6425 1.108 Billion
American Vanguard Corp. AVD SH 73487 1.106 Billion
Banc of California Inc BANC SH 59775 1.105 Billion
Paycor HCM Inc PYCR SH 31411 1.104 Billion
Camping World Holdings Inc CWH SH 28342 1.102 Billion
Cowen Inc Cl A COWN SH 32041 1.099 Billion
LeMaitre Vascular Inc LMAT SH 20692 1.099 Billion
REGENXBIO Inc RGNX SH 26171 1.097 Billion
XL Fleet Corp XL SH 178142 1.097 Billion
Federal Agricultural Mortgage Corp Cl C AGM SH 10087 1.095 Billion
Marcus & Millichap Inc MMI SH 26956 1.095 Billion
Heritage Financial Corp. (WA) HFWA SH 42899 1.094 Billion
Conns Inc CONN SH 47777 1.091 Billion
HomeStreet Inc HMST SH 26512 1.091 Billion
Meritor Inc. (Noblitt-Sparks Industries - Arvin Industries, Inc.) MTOR SH 51141 1.09 Billion
iRobot Corp IRBT SH 13868 1.089 Billion
Microvision Inc. MVIS SH 98489 1.088 Billion
Vanguard S&P 500 Growth ETF VOOG SH 4080 1.088 Billion
Textainer Group Holdings Ltd TGH SH 30991 1.082 Billion
Overstock.Com Inc OSTK SH 13876 1.081 Billion
Financial Institutions, Inc. FISI SH 35200 1.079 Billion
Timken Steel Corp TMST SH 82489 1.079 Billion
Delta Apparel Inc. DLA SH 39408 1.077 Billion
LTC Properties, Inc. LTC SH 33927 1.076 Billion
Northfield Bancorp Inc NFBK SH 62596 1.074 Billion
TrustCo Bank Corp N Y TRST SH 33480 1.07 Billion
SunCoke Energy Inc SXC SH 170315 1.07 Billion
Principal Spectrum Preferred Securities Active ETF PREF SH 51576 1.07 Billion
D & Z Media Acquisition Corp. DNZ SH 109999 1.07 Billion
Diver Healthcare Tr Common Shares of Ben DHC SH 314935 1.068 Billion
eHealth Inc EHTH SH 26289 1.065 Billion
Yandex N.V. YNDX SH 13348 1.064 Billion
Weis Markets Inc WMK SH 20134 1.058 Billion
Cerus Corp. CERS SH 173510 1.057 Billion
Dicerna Pharmaceuticals Inc DRNA SH 52323 1.055 Billion
Agilysys Inc. AGYS SH 20124 1.054 Billion
Arch Coal Inc ARCH SH 11345 1.052 Billion
SPDR Oil & Gas Equipment and Services ETF XES SH 19276 1.049 Billion
USANA Health Sciences Inc. USNA SH 11353 1.047 Billion
Global X Lithium & Battery Tech ETF LIT SH 12771 1.047 Billion
Ready Capital Corp RC SH 72478 1.046 Billion
1-800 FLOWERS.COM Inc FLWS SH 34262 1.045 Billion
Ardelyx Inc ARDX SH 791932 1.045 Billion
Shinhan Financial Group Co. Ltd ADR SHG SH 30899 1.041 Billion
Global X U.S. Preferred ETF PFFD SH 40364 1.04 Billion
Fomento Economico Mexicano S.A.B. de CV ADR FMX SH 11966 1.038 Billion
American Well Corp. AMWL SH 113745 1.036 Billion
Lindblad Expeditions Holdings Inc LIND SH 70914 1.035 Billion
iClick Interactive Asia Group Ltd ICLK SH 186918 1.034 Billion
Kforce Inc KFRC SH 17307 1.032 Billion
Ethan Allen Interiors, Inc. ETD SH 43402 1.029 Billion
Invesco S&P 500 Equal Weight Industrials ETF- RGI SH 5638 1.028 Billion
Hecla Mining Co. (Par $0.25) HL SH 186065 1.023 Billion
Axsome Therapeutics Inc AXSM SH 30962 1.021 Billion
Atotech BV ATC SH 42236 1.02 Billion
Stitch Fix Inc SFIX SH 25507 1.019 Billion
United Fire Group, Inc. UFCS SH 43949 1.015 Billion
Vanguard S&P 500 Value ETF VOOV SH 7209 1.014 Billion
WW Intl Inc WW SH 55511 1.013 Billion
Capstead Mortgage Corp. CMO1 SH 151492 1.013 Billion
ProPetro Holding Corp PUMP SH 116986 1.012 Billion
Beam Therapeutics Inc. BEAM SH 11622 1.011 Billion
FlexShares Global Upstream Natural Resources Index Fund GUNR SH 27567 1.009 Billion
Rattler Midstream LP RTLR SH 85952 1.009 Billion
SmileDirectClub Inc SDC SH 189677 1.009 Billion
GP Strategies Corp GPX1 SH 48704 1.008 Billion
Clearway Energy Inc CWEN SH 33264 1.007 Billion
Heidrick & Struggles International Inc HSII SH 22514 1.005 Billion
Riverview Bancorp Inc RVSB SH 138286 1.005 Billion
Invesco Russell 1000 Equal Weight ETF EQAL SH 22507 1.005 Billion
Telefonica ADS ADR TEF SH 212748 1.002 Billion
CONSOL Energy Inc CEIX SH 38520 1.002 Billion
Rush Street Interactive Inc RSI SH 52161 1.002 Billion
Fossil Group Inc. FOSL SH 84509 1.001 Billion
Investors Title Co. ITIC SH 5477 1 Billion
SPDR S&P Insurance ETF KIE SH 26307 994 Million
Berry Corporation (Bry) BRY SH 137827 994 Million
Olink Holding AB (publ) OLK SH 40984 994 Million
Local Bounti Corp LOCL SH 100000 994 Million
Babcock & Wilcox Enterprises Inc BW SH 154992 993 Million
East Resources Acquisition Co. ERES SH 100886 993 Million
MSP Recovery Inc MSPR SH 100000 991 Million
Apple Inc AAPL CALL 7000 990 Million
BrightView Holdings Inc BV SH 67078 990 Million
Satellogic Inc SATL SH 99999 990 Million
InterPrivate III Financial Partners Inc IPVF SH 100000 990 Million
First Merchants Corp. FRME SH 23628 989 Million
Harmonic Inc. HLIT SH 112888 988 Million
TETRA Technologies, Inc. TTI SH 316473 987 Million
Pagaya Technologies Ltd PGY SH 99999 986 Million
Weber Inc WEBR SH 55986 985 Million
Green Plains Inc GPRE SH 30035 981 Million
HCI Group Inc HCI SH 8860 981 Million
Tishman Speyer Innovation Corp II TSIB SH 100000 980 Million
Northern Star Investment Corp IV NSTD SH 99996 980 Million
First Northwest Bancorp FNWB SH 55738 979 Million
Itamar Medical Ltd ADS ITMR SH 32407 979 Million
TPG Pace Beneficial II Corp YTPG SH 100000 979 Million
iShares MSCI Chile ETF ECH SH 37607 978 Million
Warburg Pincus Cap I-B Corp WPCB SH 100000 978 Million
InterPrivate II Acquisition Corp IPVA SH 100000 978 Million
SilverBox Engaged Merger Corp I BRCC SH 99999 978 Million
Compute Health Acquisition Corp CPUH SH 100000 977 Million
Ion Acquisition Corp 3 Ltd IACC SH 100000 977 Million
Atlas Crest Investment Corp II ACII SH 100000 976 Million
Thunder Bridge Cap Partners III Inc TBCP SH 100000 976 Million
Levere Holdings Corp LVRA SH 99999 976 Million
Catcha Investment Corp CHAA SH 99999 975 Million
Atea Pharmaceuticals Inc. AVIR SH 27784 974 Million
Leo Holdings Corp. II LHC SH 100000 974 Million
Mason Industrial Technology Inc MIT SH 99999 974 Million
Kernel Group Holdings Inc KRNL SH 100000 974 Million
Northern Star Investment Corp III NSTC SH 99996 974 Million
Discovery Inc Series B DISCB SH 19400 973 Million
Granite Point Mortgage Trust Inc GPMT SH 73878 973 Million
iShares iBonds Dec 2025 Term Muni Bond ETF IBMN SH 34796 973 Million
CF Acquisition IV Corp CFIV SH 99999 973 Million
Rigetti Computing Inc RGTI SH 100000 973 Million
Jaws Hurricane Acquisition Corp HCNE SH 100000 973 Million
Mission Advancement Corp Class A MACC SH 99999 972 Million
RXR Acquisition Corp RXRA SH 100000 972 Million
CF Acquisition Corp VI CFVI SH 100000 971 Million
Tailwind International Acquisition Corp. TWNI SH 99999 970 Million
Ross Acquisition II Corp ROSS SH 99999 969 Million
Photronics, Inc. PLAB SH 71011 968 Million
Nomura Holdings Inc. ADS ADR NMR SH 195999 968 Million
Heritage Commerce Corp. HTBK SH 83069 966 Million
Stratim Cloud Acquisition Corp SCAQ SH 99999 965 Million
Pine Technology Acquisition Corp PTOC SH 99999 965 Million
Lordstown Motors Corp RIDE SH 120814 964 Million
CureVac N.V. CVAC SH 17652 964 Million
Goldman Sachs ActiveBeta International Equity ETF GSIE SH 28187 963 Million
Ping Identity Holding Corp PING SH 39169 962 Million
Orthofix Medical Inc. OFIX SH 25210 961 Million
Orange SA ADR ORAN SH 88796 961 Million
Hess Midstream Partners LP HESM SH 34074 961 Million
Eaton Vance Tax-Managed Global Diversified Equity Income Fund EXG SH 96124 960 Million
Desktop Metal, Inc DM SH 133959 960 Million
Nextgen Healthcare Inc NXGN SH 68008 959 Million
Northern Oil and Gas Inc NOG SH 44731 957 Million
Nicolet Bankshares Inc. NIC SH 12885 956 Million
Xenia Hotels & Resorts Inc XHR SH 53892 956 Million
Chord Energy Corp CHRD SH 9586 953 Million
KKR Real Estate Finance Trust Inc KREF SH 45151 953 Million
Shutterstock Inc SSTK SH 8403 952 Million
GreenSky Inc GSKY SH 84952 950 Million
Netscout Systems Inc. NTCT SH 35182 948 Million
Antero Midstream Corp AM SH 90783 946 Million
Maravai LifeSciences Holdings, Inc. MRVI SH 19267 946 Million
InterDigital, Inc. IDCC SH 13935 945 Million
Abercrombie & Fitch Co. ANF SH 25080 944 Million
V2X Inc VVX SH 18780 944 Million
Diversey Holdings Ltd DSEY SH 58832 944 Million
Kelly Services, Inc., Class A KELYA SH 49766 940 Million
Marcus Corp MCS SH 53870 940 Million
Hyster-Yale Materials Handling Inc HY SH 18687 939 Million
IG Acquisition Corp. IGAC SH 95943 939 Million
Camden National Corp CAC SH 19574 938 Million
SPDR(R) FTSE International Government Inflation-Protected Bond ETF- WIP SH 17193 936 Million
Cross Country Healthcare Inc CCRN SH 44038 935 Million
IEC Electronics Corp IEC1 SH 60899 934 Million
Larimar Therapeutics Inc LRMR SH 80967 934 Million
RE/MAX Holdings Inc RMAX SH 29932 933 Million
Liquidity Services Inc LQDT SH 43130 932 Million
Cushman & Wakefield PLC CWK SH 50054 932 Million
Forge Global Holdings Inc FRGE SH 94060 931 Million
Big 5 Sporting Goods Corp BGFV SH 40318 929 Million
Vinco Ventures Inc BBIG SH 144983 929 Million
Star Peak Energy Transition Corp STEM SH 38826 928 Million
SFL Corporation Ltd SFL SH 110678 927 Million
Ambev S.A. ADR ABEV SH 335767 927 Million
Monarch Casino and Resort Inc. MCRI SH 13804 925 Million
Southern Co, 6.75% Series A Equity Units SOLN SH 18114 924 Million
Outset Medical, Inc. OM SH 18602 920 Million
NextEra Energy, Inc. 4.872% Equity Units Due 09/01/2022 NEE+O SH 15680 919 Million
Cerevel Therapeutics Holdings, Inc. CERE SH 31102 918 Million
SMART Global Holdings Inc SGH SH 20605 917 Million
Safehold Inc. SAFE SH 12753 917 Million
EPR Properties EPR SH 18538 915 Million
Karuna Therapeutics Inc KRTX SH 7474 915 Million
Insteel Industries Inc IIIN SH 23986 913 Million
First Trust Low Duration Opportunities ETF LMBS SH 18041 913 Million
Bank of South Carolina Corp BKSC SH 45280 912 Million
SSgA SPDR Russell 3000 ETF SPTM SH 17171 910 Million
Greenbrier Companies Inc. (The) GBX SH 21105 907 Million
Red Rock Resorts Inc RRR SH 17715 907 Million
Mayville Engineering Company Inc MEC SH 48253 907 Million
SJW Group (San Jose Water Co.) SJW SH 13713 906 Million
Lumber Liquidators Holdings Inc LL SH 48396 904 Million
Canopy Growth Corp CGC SH 65255 904 Million
Biodelivery Sciences International Inc BDSI SH 249928 902 Million
iShares CMBS ETF CMBS SH 16655 900 Million
Aegon NV ADR AEG SH 176653 899 Million
Petco Health and Wellness Company Inc WOOF SH 42567 898 Million
Invesco S&P 500 High Dividend Low Volatility ETF SPHD SH 21160 896 Million
ARK Fintech Innovation ETF ARKF SH 18160 896 Million
TIM S.p.A TIIAY SH 82911 890 Million
Costamare Inc CMRE SH 57427 889 Million
Kingsoft Cloud Holdings Limited ADR KC SH 31398 889 Million
GS ACTIVEBETA U.S. SMALL CAP EQUITY ETF GSSC SH 14091 888 Million
Nikola Corp NKLA SH 83084 887 Million
Nuveen Municipal High Income Opportunity Fund NMZ SH 60000 886 Million
Avaya Holdings Corp AVYA CALL 44700 885 Million
ironSource Ltd IS SH 81379 885 Million
HarborOne Bancorp Inc HONE SH 62721 881 Million
Corsair Gaming, Inc. CRSR SH 33911 879 Million
Corcept Therapeutics Inc CORT SH 44495 876 Million
ChemoCentryx, Inc. CCXI SH 50985 872 Million
Hello Group Inc ADR MOMO SH 82394 872 Million
Clearway Energy Inc Class A CWEN.A SH 30891 871 Million
B. Riley Financial Inc RILY SH 14739 870 Million
Mattel Inc. MAT SH 46751 868 Million
ProShares UltraShort S&P500 SDS SH 97898 867 Million
CITI Trends Inc CTRN SH 11866 866 Million
GDS Holdings Ltd ADR GDS SH 15199 861 Million
MPG Ingredients Inc MGPI SH 13214 860 Million
QCR Holdings Inc QCRH SH 16712 860 Million
Ambac Financial Group Inc AMBC SH 60071 860 Million
Castle Biosciences Inc CSTL SH 12942 860 Million
ROBO Global(R) Robotics and Automation Index ETF- ROBO SH 13329 859 Million
Diebold Nixdorf DBD SH 84782 857 Million
Brookfield Renewable Partners LP BEP SH 23137 854 Million
Fastly Inc FSLY SH 21124 854 Million
iShares U.S. Industrials ETF- IYJ SH 7954 852 Million
Organogenesis Holdings Inc ORGO SH 59681 850 Million
iShares iBonds Dec 2028 Term Corporate ETF IBDT SH 29665 850 Million
Ceva Inc CEVA SH 19891 849 Million
Chindata Group Holdings Ltd ADS CD SH 101007 849 Million
Dynavax Technologies Corp DVAX SH 44164 848 Million
BGC Partners Inc BGCP SH 161976 844 Million
Whitestone REIT WSR SH 86323 844 Million
iShares Latin America 40 ETF- ILF SH 31757 843 Million
Sonic Automotive Inc. SAH SH 16007 841 Million
Constellium SE CSTM SH 44802 841 Million
Modine Manufacturing Corp. MOD SH 74102 840 Million
QuinStreet Inc QNST SH 47743 838 Million
Haverty Furniture Companies, Inc. HVT SH 24776 835 Million
Cars.com Inc CARS SH 66007 835 Million
Fortress Capital Acquisition Corp. FCAX SH 85000 831 Million
Marlin Technology Corporation Cl A FINM SH 84999 830 Million
iShares MSCI World ETF URTH SH 6559 829 Million
Icahn Enterprises LP IEP SH 16556 827 Million
PDF Solutions Inc PDFS SH 35855 826 Million
Nuveen AMT-Free Quality Municipal Income Fund NEA SH 54392 826 Million
Pimco Municipal Income Fund III PMX SH 66000 826 Million
Ultra Clean Holdings Inc UCTT SH 19278 821 Million
Triple-S Management Corp GTS SH 23128 818 Million
Dominion Energy Units Series A N3:DOMINI DCUE SH 8418 818 Million
PotlatchDeltic Corp PCH SH 15833 817 Million
Blackberry Ltd BB SH 83903 816 Million
NanoString Technologies Inc NSTG SH 17005 816 Million
PC Connection Inc CNXN SH 18509 815 Million
Hanger Inc HNGR SH 37058 814 Million
Invesco Variable Rate Preferred ETF VRP SH 30940 811 Million
Virgin Galactic Holdings Inc SPCE SH 32044 811 Million
Ebix Inc. EBIX SH 30048 810 Million
Bristow Group Inc VTOL SH 25417 809 Million
Agrify Corp AGFY SH 43577 808 Million
Profound Medical Corp. PROF SH 55150 807 Million
Mister Car Wash Inc MCW SH 43981 803 Million
Liberty Oilfield Services Inc LBRT SH 66078 801 Million
Chunghwa Telecom Co. Ltd ADR CHT SH 20350 800 Million
Clearwater Paper Corp CLW SH 20876 800 Million
Lions Gate Entertainment Corp Class A LGF.A SH 56359 800 Million
CareMax, Inc CMAX SH 82870 800 Million
UiPath Inc PATH SH 15168 798 Million
PMV Consumer Acquisition Corp. PMVC SH 81210 797 Million
Healthstream Inc. HSTM SH 27854 796 Million
Seaboard Corp. (Hathaway Bakeries) SEB SH 194 795 Million
Endo International plc ENDP SH 245369 795 Million
Golar LNG Ltd GLNG SH 61205 794 Million
Ardagh Group S.A. ARD SH 31137 794 Million
C4 Therapeutics, Inc. CCCC SH 17676 790 Million
Eargo, Inc. EAR SH 117325 790 Million
Tutor Perini Corp. TPC SH 60790 789 Million
PG&E Corp. Equity Units Due 8/16/2023 PCGU SH 8226 786 Million
VanEck Junior Gold Miners ETF- GDXJ SH 20305 779 Million
Atara Biotherapeutics Inc ATRA SH 43410 777 Million
Sierra Bancorp BSRR SH 31896 774 Million
Cutera Inc CUTR SH 16570 772 Million
Ducommun, Inc DCO SH 15326 772 Million
ZoomInfo Technologies Inc. ZI SH 12617 772 Million
Allegheny Technologies Inc ATI SH 46327 770 Million
W&T Offshore Inc WTI SH 207119 770 Million
Liberty Sirius XM Group, Series B LSXMB SH 15300 768 Million
Natwest Group PLC NWG SH 125787 766 Million
Acadia Pharmaceuticals Inc ACAD SH 46066 765 Million
First Trust Senior Loan Fund ETF FTSL SH 15980 765 Million
PBF Logistics LP PBFX SH 60637 765 Million
Schnitzer Steel Industries Inc SCHN SH 17427 763 Million
Lucid Group Inc LCID SH 30077 763 Million
The Hackett Group Inc HCKT SH 38808 762 Million
Adaptimmune Therapeutics Plc ADR ADAP SH 147482 762 Million
Privia Health Group Inc PRVA SH 32287 760 Million
VanEck Short Muni ETF- SMB SH 42150 759 Million
Allogene Therapeutics Inc ALLO SH 29461 757 Million
Arrow Financial Corp. (Glens Falls, NY) AROW SH 21977 755 Million
SPDR Kensho Smart Mobility ETF HAIL SH 13775 754 Million
Just Eat Takeaway.com NV GRUB SH 51794 753 Million
Blucora Inc BCOR SH 48137 750 Million
Westwood Holdings Group Inc. WHG SH 39514 750 Million
TCR2 Therapeutics Inc TCRR SH 87933 748 Million
Xperi Corp XPER SH 39638 747 Million
Kearny Financial Corp KRNY SH 60117 747 Million
Mudrick Cap Acquisition Corporation II MUDS SH 75100 747 Million
Nuveen Quality Municipal Income Fund NAD SH 47763 746 Million
eXp World Holdings Inc EXPI SH 18743 745 Million
Melco Resorts & Entertainment Limited AD ADR MLCO SH 72616 744 Million
TGPX Holdings I LLC COOK SH 35562 744 Million
Frontline Ltd. (Bermuda) Sponsored ADR FRO SH 79236 742 Million
Invesco Aerospace & Defense ETF- PPA SH 10296 740 Million
BigBearai Holdings Inc BBAI SH 75000 740 Million
Super Micro Computer Inc SMCI SH 20200 739 Million
Gogoro Inc GGR SH 75000 739 Million
Cohu Inc. COHU SH 23121 738 Million
McAfee Corp. MCFE SH 33309 736 Million
Huazhu Grp Ltd ADS ADR HTHT SH 16018 735 Million
John Hancock Multifactor Mid Cap ETF- JHMM SH 14220 734 Million
Protagonist Therapeutics Inc PTGX SH 41363 733 Million
Jack Creek Investment Corp. JCIC SH 75000 731 Million
Arctos Northstar Acquisition Corp ANAC SH 75000 731 Million
Mizuho Financial Group Inc. ADR MFG SH 256576 729 Million
Pontem Corp. PNTM SH 75000 728 Million
TravelCenters of America LLC TA SH 14599 727 Million
Syndax Pharmaceuticals Inc SNDX SH 38067 727 Million
SurModics, Inc. SRDX SH 13053 726 Million
Petroleo Brasileiro SA Petrobras Class A ADR PBR.A SH 72619 726 Million
Vanguard Consumer Discretionary ETF VCR SH 2343 726 Million
Comstock Resources Inc. CRK SH 70095 725 Million
AdaptHealth Corp AHCO SH 31134 725 Million
Seer, Inc. SEER SH 20991 725 Million
Dr. Reddys Laboratories Ltd ADR RDY SH 11112 724 Million
Viking Therapeutics Inc VKTX SH 115318 724 Million
Erie Indemnity Co, Class A ERIE SH 4051 723 Million
Capital City Bank Group, Inc. CCBG SH 29047 719 Million
Coeur Mining Inc. CDE SH 116201 717 Million
Cara Therapeutics Inc CARA SH 46350 716 Million
Immunovant Inc IMVT SH 82394 716 Million
Nordic American Tanker Shipping Ltd NAT SH 278592 713 Million
Viant Technology Inc DSP SH 58299 713 Million
Resources Connection Inc RGP SH 45062 711 Million
Cedar Realty Trust, Inc. CDR SH 32693 709 Million
Smith-Midland Corp SMID SH 51028 708 Million
Gogo Inc GOGO SH 40911 708 Million
SPDR S&P Kensho New Economies Composite ETF KOMP SH 11626 708 Million
InterContinental Hotels Group PLC IHG SH 10966 705 Million
SPDR Bloomberg Investment Grade Floating Rate ETF FLRN SH 22981 705 Million
iShares Broad USD Investment Grade Corporate Bond ETF- USIG SH 11675 702 Million
Brookfield Real Assets Income Fund Inc RA SH 33498 700 Million
Aehr Test Systems AEHR SH 50953 696 Million
AvePoint Inc AVPT SH 81950 696 Million
Cohen & Steers Infrastructure Fund Inc UTF SH 25647 695 Million
Nelnet, Inc Class A NNI SH 8760 694 Million
GMS Inc GMS SH 15819 693 Million
Switch Inc SWCH SH 27321 693 Million
Allego NV ALLG SH 70000 692 Million
Helix Energy Solutions Group Inc. HLX SH 177971 691 Million
Circor International, Inc CIR SH 20922 691 Million
American National Insurance Co. (Galveston, TX) ANAT SH 3654 691 Million
Hawkins, Inc. HWKN SH 19801 691 Million
MannKind Corp MNKD SH 158781 691 Million
Acadia Realty Trust AKR SH 33810 690 Million
Zhihu Inc ZH SH 74490 688 Million
NAPCO Security Technologies, Inc. NSSC SH 15922 686 Million
Via Renewables Inc VIA SH 67314 686 Million
BTC iShares MSCI Turkey ETF TUR SH 32235 685 Million
DTE Energy Co. 6.25% Equity Units Due 11/1/2022 DTP SH 13634 685 Million
PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund HYS SH 6886 683 Million
Prospector Cap Corp PRSR SH 70008 683 Million
U.S. Silica Holdings, Inc. SLCA SH 85379 682 Million
Urban Outfitters Inc. URBN SH 22964 681 Million
Global Partner Acquisition Corp II Cl A GPAC SH 69996 679 Million
Ladder Capital Corp LADR SH 61192 676 Million
Amphastar Pharmaceuticals Inc AMPH SH 35497 675 Million
Delek Logistics Partners L.P. DKL SH 14905 674 Million
Haynes International Inc HAYN SH 18069 673 Million
Adams Diversified Equity Fund ADX SH 33989 673 Million
First Financial Northwest Inc FFNW SH 41102 673 Million
ETFMG Prime Cyber Security ETF HACK SH 11035 671 Million
WisdomTree U.S. MidCap Fund-N/A EZM SH 12845 668 Million
Schwab Short-Term U.S. Treasury ETF- SCHO SH 13047 668 Million
Alaunos Therapeutics Inc TCRT SH 366472 667 Million
Mersana Therapeutics Inc MRSN SH 70736 667 Million
VanEck Morningstar Wide Moat ETF MOAT SH 9097 666 Million
Affimed N.V. AFMD SH 107782 666 Million
Talos Energy Inc TALO SH 48210 664 Million
Liberty Latin America Ltd Class A LILA SH 50706 663 Million
ChargePoint Holdings Inc CHPT SH 33158 663 Million
Nuveen Dynamic Municipal Opportunities Fund NDMO SH 41461 663 Million
Global Partners LP GLP SH 31277 662 Million
REX American Resources Corp. REX SH 8287 662 Million
Spirit Airlines Inc SAVE SH 25484 661 Million
Resolute Forest Products Inc RFP SH 55581 661 Million
Datto Holding Corp. MSP SH 27645 661 Million
Pilgrims Pride Corp PPC SH 22706 660 Million
Chimera Investment Corp CIM SH 44352 659 Million
Tricida Inc TCDA SH 141949 659 Million
Bar Harbor Bankshares BHB SH 23422 657 Million
Insurance Acquisition Corp SFT SH 94729 657 Million
Quotient Technology Inc QUOT SH 112648 656 Million
Akoustis Technologies Inc AKTS SH 67486 655 Million
iHeartMedia Inc IHRT SH 26177 655 Million
Beauty Health Co SKIN SH 25253 655 Million
NovaGold Resources Inc NG SH 94807 652 Million
Universal Health Realty Income Trust UHT SH 11736 649 Million
Coherus BioSciences Inc CHRS SH 40377 649 Million
Avangrid Inc AGR SH 13320 647 Million
Anika Therapeutics Inc. ANIK SH 15159 645 Million
SiTime Corp SITM SH 3138 641 Million
Olema Pharmaceuticals, Inc. OLMA SH 23090 637 Million
NGM Biopharmaceuticals Inc NGM SH 30186 635 Million
AMERCO Inc UHAL SH 980 633 Million
Ruths Hospitality Group Inc RUTH SH 30497 632 Million
Lazard Ltd. Class A LAZ SH 13777 631 Million
GFL Environmental Inc. 6.00% Tangible Equity Units Due 03/15/2023 GFLU SH 7414 630 Million
WisdomTree U.S. LargeCap Dividend Fund-N/A DLN SH 5270 629 Million
Schrodinger, Inc. SDGR SH 11460 627 Million
Petmed Express Inc PETS SH 23295 626 Million
Village Farms International Inc VFF SH 75000 626 Million
Zymeworks Inc ZYME SH 21554 626 Million
Alight Inc. ALIT SH 54562 626 Million
Movado Group Inc MOV SH 19862 625 Million
Banco Bradesco S.A. ADR BBD SH 162817 623 Million
Direxion Daily S&P 500 Bear 3X Shares SPXS SH 26896 623 Million
AppFolio Inc APPF SH 5171 623 Million
Rubius Therapeutics Inc RUBY SH 34825 623 Million
DMC Global Inc. (Explosive Fabricators - Dynamic Materials) BOOM SH 16847 622 Million
Alpha Pro Tech Ltd APT SH 92478 622 Million
BioNTech SE ADR BNTX SH 2277 622 Million
Generation Bio Co. GBIO SH 24819 622 Million
ProQR Therapeutics N.V. PRQR SH 74192 621 Million
Altus Power Inc AMPS SH 62500 621 Million
Macatawa Bank Corp. MCBC SH 77245 620 Million
CEL-SCI Corp. CVM SH 56328 619 Million
Gotham Enhanced 500 ETF GSPY SH 26719 618 Million
iShares U.S. Basic Materials ETF- IYM SH 4950 617 Million
DXP Enterprises Inc. DXPE SH 20876 617 Million
Inhibrx, Inc. INBX SH 18535 617 Million
VanEck Fallen Angel High Yield Bond ETF- ANGL SH 18599 615 Million
Tattooed Chef Class A TTCF SH 33241 613 Million
Relay Therapeutics, Inc. RLAY SH 19433 613 Million
National Presto Industries Inc. NPK SH 7453 612 Million
AdvanSix Inc ASIX SH 15407 612 Million
FlexShares Quality Dividend Dynamic Index Fund QDYN SH 10300 611 Million
Rain Therapeutics Inc RAIN SH 40372 604 Million
Triumph Group, Inc. TGI SH 32388 603 Million
CRA International Inc. CRAI SH 6052 602 Million
Corvel Corp. CRVL SH 3227 601 Million
BlackRock MuniYield New York Quality Fund Inc MYN SH 43581 601 Million
Cricut Inc CRCT SH 21801 601 Million
Invesco BuyBack AchieversTM ETF- PKW SH 6660 600 Million
OneSpan Inc OSPN SH 31919 599 Million
Luther Burbank Corp LBC SH 44494 597 Million
Amerant Bancorp Inc AMTB SH 24125 597 Million
Saul Centers Inc BFS SH 13520 596 Million
Zogenix Inc ZGNX SH 39269 596 Million
G Squared Ascend I Inc GSQD SH 60000 592 Million
WisdomTree Investments Inc WETF SH 104228 591 Million
Figure Acquisition Corp I FACA SH 60000 591 Million
New Germany Fund Inc GF SH 29865 590 Million
Pearson Plc ADS ADR PSO SH 60982 590 Million
ProShares UltraPro Short S&P 500 ETF SPXU SH 33600 589 Million
Computer Programs and Systems Inc CPSI SH 16576 588 Million
Sutro Biopharma Inc STRO SH 31066 587 Million
Kosmos Energy Ltd KOS SH 197948 586 Million
Playtika Holding Corp PLTK SH 21209 586 Million
CVR Energy Inc CVI SH 35135 585 Million
Revance Therapeutics Inc RVNC SH 20949 584 Million
Forrester Research Inc FORR SH 11824 582 Million
Paratek Pharmaceuticals Inc PRTK SH 119825 582 Million
Equity Commonwealth Inc. EQC SH 22400 582 Million
Taysha Gene Therapies, Inc. TSHA SH 31268 582 Million
UroGen Pharma Ltd URGN SH 34559 581 Million
1st Source Corp SRCE SH 12270 580 Million
International Seaways Inc INSW SH 31791 579 Million
Invesco S&P 500 BuyWrite ETF- PBP SH 25150 578 Million
VanEck Investment Grade Floating Rate ETF- FLTR SH 22752 578 Million
Akero Therapeutics Inc AKRO SH 25844 578 Million
Cass Information Systems, Inc. (Cass Bank & Trust) CASS SH 13803 577 Million
Blink Chargng Co BLNK SH 20016 573 Million
Algonquin Power & Utilities Corp. Equity Units Due 06/15/2024 AQNU SH 11824 573 Million
DoubleVerify Holdings Inc DV SH 16723 571 Million
Carnival PLC ADS ADR CUK SH 24934 569 Million
Repare Therapeutics Inc. RPTX SH 21671 569 Million
Duck Creek Technologies, Inc. DCT SH 12770 565 Million
Corbus Pharmaceuticals Holdings Inc CRBP SH 553416 564 Million
DHT Holdings Inc DHT SH 86244 563 Million
1Life Healthcare Inc. ONEM SH 27825 563 Million
Meridian Bioscience Inc VIVO SH 29155 561 Million
Global X Funds Global X Internet of Things ETF SNSR SH 15452 561 Million
DermTech Inc DMTK SH 17383 558 Million
Invesco S&P Global Water Index ETF CGW SH 9982 557 Million
Scorpio Tankers Inc STNG SH 30054 557 Million
Johnson Outdoors, Inc., Class A JOUT SH 5257 556 Million
Kinetik Holdings Inc KNTK SH 8056 556 Million
Manitowoc Co. Inc. MTW SH 25862 554 Million
iShares MSCI Switzerland ETF EWL SH 11877 553 Million
Rayonier Advanced Materials Inc RYAM SH 73627 552 Million
BROADMARK REALTY CAPITAL ORD SHS BRMK SH 55954 552 Million
Natural Resource Partners LP NRP SH 23298 551 Million
NN Inc NNBR SH 104862 551 Million
Simulation Plus Inc SLP SH 13940 551 Million
ProShares Large Cap Core Plus CSM SH 5500 551 Million
iShares U.S. Consumer Staples ETF- IYK SH 3063 550 Million
Ceco Environmental Corp CECE SH 77938 549 Million
PIMCO Total Return Active Exchange-Traded Fund BOND SH 4963 549 Million
Invesco Senior Income Trust VVR SH 123000 547 Million
PG&E Corp. (Pacific Gas & Electric) PCG SH 56998 547 Million
Thermon Group Holdings Inc THR SH 31457 545 Million
Bright Scholar Education Holdings Ltd ADR BEDU SH 189972 545 Million
iShares Core MSCI Europe ETF IEUR SH 9692 543 Million
Buckle Inc BKE SH 13678 542 Million
Great Lakes Dredge & Dock Corp. GLDD SH 35933 542 Million
NGL Energy Partners LP Common Unit NGL SH 228299 541 Million
iShares MSCI Israel ETF EIS SH 7530 539 Million
Anglogold Ashanti Ltd ADS AU SH 33637 538 Million
MBIA Inc. MBI SH 41682 536 Million
Liberty Braves Group Series C BATRK SH 20297 536 Million
uniQure N.V. QURE SH 16680 534 Million
Dorian LPG Ltd LPG SH 43045 534 Million
VanEck Intermediate Muni ETF- ITM SH 10337 530 Million
Biomea Fusion Inc BMEA SH 44261 530 Million
Nuveen Municipal Credit Opportunities Fund NMCO SH 35000 529 Million
Lands End Inc LE SH 22435 528 Million
Global Medical REIT Inc GMRE SH 35801 526 Million
BTC iShares S&P GSCI Commodity-Indexed Trust GSG SH 31144 525 Million
Invesco S&P 500 Equal Weight Technology ETF- RYT SH 1820 525 Million
BlackRock Capital Allocation Trust BCAT SH 26000 525 Million
Alkami Technology Inc ALKT SH 21237 525 Million
iShares Robotics and Artificial Intelligence Multisector ETF IRBO SH 12375 524 Million
First Bank (Williamstown, NJ) FRBA SH 37093 523 Million
Scholar Rock Holding Corp SRRK SH 15831 523 Million
Dada Nexus Ltd. ADS DADA SH 26092 523 Million
Ranger Oil Corp ROCC SH 19560 522 Million
Precision BioSciences Inc DTIL SH 45264 522 Million
iStar Inc. (Starwood Financial) STAR SH 20743 520 Million
O2Micro International Ltd ADR OIIM SH 85967 519 Million
Nv5 Global Inc NVEE SH 5265 519 Million
CEMEX S.A. de C.V. Series A (Sponsored ADR) ADR CX SH 72195 518 Million
Catalyst Pharmaceuticals Inc CPRX SH 97657 518 Million
Futu Holdings Ltd FUTU SH 5687 518 Million
Agenus Inc AGEN SH 98520 517 Million
Agnico-Eagle Mines, Ltd AEM SH 9975 517 Million
Seres Therapeutics Inc MCRB SH 74316 517 Million
AES Corp. (The) 6.875% Equity Units Due 02/15/2024 AESC SH 5362 517 Million
Wipro Ltd ADR WIT SH 58444 516 Million
HPX Corp. HPX SH 52400 516 Million
Natural Order Acquisition Corp. NOACU SH 50000 516 Million
Liberty Media Acquisition Corp LMACU SH 50000 516 Million
American Public Education Inc APEI SH 20099 515 Million
BlackRock Utility Infrastructure & Power Opportunities Trust BUI SH 20485 515 Million
PORTMAN RIDGE FINANCE CORPORATION PTMN SH 21061 513 Million
AVEO Pharmaceuticals Inc AVEO SH 82802 512 Million
Inseego Corp INSG SH 76691 511 Million
BlackRock Municipal Income Trust II BLE SH 33700 510 Million
National HealthCare Corp NHC SH 7292 510 Million
BIONANO GENOMICS INC BNGO SH 92758 510 Million
Acushnet Holdings Corp GOLF SH 10909 509 Million
Oil States International Inc OIS SH 79512 508 Million
Byline Bancorp Inc BY SH 20652 507 Million
Sr Connect Acquisition Corp I SNRH SH 51927 507 Million
iShares Morningstar Mid-Cap ETF- IMCB SH 7608 506 Million
SunPower Corp SPWR SH 22140 502 Million
Altabancorp ALTA1 SH 11345 501 Million
Reliant Bancorp Inc RBNC SH 15786 499 Million
Burgundy Technology Acquisition Corp. BTAQ SH 50000 498 Million
WhiteHorse Finance Inc WHF SH 32650 497 Million
iShares Morningstar U.S. Equity ETF- ILCB SH 8176 496 Million
First Trust Water ETF- FIW SH 5823 496 Million
SES AI Corporation SES SH 49998 495 Million
The RMR Group Inc RMR SH 14763 494 Million
Tastemaker Acquisition Corp TMKR SH 50000 493 Million
Graphite Bio Inc GRPH SH 30107 493 Million
Brookdale Senior Living Inc. BKD SH 78092 492 Million
Vishay Precision Group Inc VPG SH 14160 492 Million
VBI Vaccines Inc VBIV SH 157849 491 Million
Harbor Custom Development, Inc. HCDI SH 208872 491 Million
Glbl Synergy Acquisition Corp GSAQ SH 50000 490 Million
Sibanye Stillwater Ltd SBSW SH 39648 489 Million
A10 Networks Inc ATEN SH 36305 489 Million
Empowerment & Inclusion Capital I Corp. EPWR SH 50000 489 Million
Athlon Acquisition Corp SWET SH 50000 489 Million
Corner Growth Acquisition Corp COOL SH 49998 488 Million
Epiphany Technology Acquisition Corp EPHY SH 49998 488 Million
BTC iShares U.S. Treasury Bond ETF GOVT SH 18350 487 Million
Douglas Emmett Inc DEI SH 15332 485 Million
Sasol Ltd. ADR SSL SH 25742 485 Million
TAL Education Group American Depositary ADR TAL SH 100150 485 Million
Fusion Acquisition Corp II FSNB SH 49998 485 Million
Inovio Pharmaceuticals Inc INO SH 67330 482 Million
Goldman Sachs BDC Inc GSBD SH 26263 482 Million
Atlantic Capital Bancshares Inc ACBI SH 18192 482 Million
Vanguard ESG U.S. Stock ETF ESGV SH 6025 482 Million
Park Electrochemical Corp. PKE SH 35065 480 Million
Petroleo Brasileiro SA (Petrobras) ADR PBR SH 46425 480 Million
Gabelli Equity Trust Inc-The Gabelli Equity Trust, Inc. GAB SH 72148 480 Million
ProShares VIX Short-Term Futures ETF VIXY SH 20978 478 Million
Cytosorbents Crp CTSOD1 SH 58772 477 Million
CSI Compressco LP CCLP SH 264763 475 Million
Ordinary Shares BST SH 9106 475 Million
Vanguard Russell 2000 Index ETF VTWO SH 5361 474 Million
HEXO Corp HEXO SH 257224 473 Million
Vanguard Emerging Markets Government Bond ETF VWOB SH 6032 472 Million
Eventbrite Inc EB SH 24961 472 Million
Invesco CurrencyShares Swiss Franc Trust FXF SH 4850 470 Million
iShares J.P. Morgan EM Local Currency Bond ETF LEMB SH 11078 469 Million
BlackRock MuniYield Quality Fund Inc MQY SH 28889 468 Million
Lyra Therapeutics Inc LYRA SH 51276 468 Million
Sterling Construction Company, Inc. STRL SH 20618 467 Million
Direxion Daily Gold Miners Index Bear 2X Shares DUST SH 19311 467 Million
First Trust Enhanced Short Maturity ETF FTSM SH 7796 467 Million
Shenandoah Telecommunications Co SHEN SH 14745 466 Million
Marlin Business Services Corp MRLN SH 20900 465 Million
Tower Semiconductor Ltd TSEM SH 15555 465 Million
ETFS Physical Swiss Gold Shares SGOL SH 27581 465 Million
CI Financial Corp CIXX SH 22790 464 Million
Avidity Biosciences, Inc. RNA SH 18820 464 Million
Brookfield Asset Management Reinsurance Partners Ltd BAMR SH 8360 464 Million
Extraction Oil & Gas Inc XOG SH 8188 462 Million
Earthstone Energy Inc ESTE SH 50078 461 Million
Vaxart Inc ORD VXRT SH 58034 461 Million
Bluebird Bio Inc BLUE SH 24117 461 Million
BellRing Brands, Inc. Class A Common BRBR SH 14984 461 Million
AXT Inc. AXTI SH 55254 460 Million
BTC iShares Core MSCI Total International Stock ETF IXUS SH 6465 459 Million
NiSource Inc Equity Units Due 12/01/2023 NIMC SH 4434 459 Million
Cato Corp. CATO SH 27702 458 Million
NantKwest Inc IBRX SH 47018 458 Million
Kirkland Lake Gold Ltd KL SH 11009 458 Million
PetroChina Co Ltd ADR PTR SH 9752 456 Million
Smith & Wesson Brands Inc. (American Outdoor Brands) SWBI SH 21906 455 Million
Direxion Daily FTSE China Bear 3X Shares YANG SH 23558 455 Million
Kronos Worldwide Inc. KRO SH 36545 454 Million
Nano-X Imaging Ltd. NNOX SH 20194 454 Million
Horizon Bancorp (IN) HBNC SH 24948 453 Million
Arcturus Therapeutics Ltd ARCT SH 9484 453 Million
TELUS International (Cda) Inc. TIXT SH 12900 452 Million
Akouos, Inc. AKUS SH 38633 449 Million
iShares Global 100 ETF- IOO SH 6285 447 Million
Ocular Therapeutix Inc OCUL SH 44739 447 Million
Meta Materials Inc MMAT SH 77194 446 Million
Kura Oncology Inc KURA SH 23755 445 Million
First Trust Consumer Discretionary AlphaDEX Fund FXD SH 7471 442 Million
Repay Hldgs Corp Cl A RPAY SH 19198 442 Million
Invesco Senior Loan ETF BKLN SH 19945 441 Million
GAN Ltd GAN SH 29656 441 Million
Atlantic Avenue Acquisition Corp. ASAQ SH 44736 438 Million
CAE Inc CAE SH 14583 436 Million
Zevia PBC ZVIA SH 37858 436 Million
American Electric Power Company Inc AEPPZ SH 8740 435 Million
Motorcar Parts of America Inc. MPAA SH 22198 433 Million
Vanguard Energy ETF VDE SH 5859 433 Million
Aeva Technologies Inc AEVA SH 54560 433 Million
Clear Channel Outdoor Holdings Inc CCO SH 159365 432 Million
Occidental Petroleum Corp. Warrants (03/08/2027) OXYWS.WI SH 36454 432 Million
PRCYCL TCHNL O PCT SH 32425 431 Million
USA Compression Partners LP USAC SH 25939 430 Million
Romeo Power Inc RMO SH 86892 430 Million
iShares 10-20 Year Treasury Bond ETF- TLH SH 2920 429 Million
China Petroleum & Chemical Corp. Sponsored ADR SNP SH 8699 428 Million
Skillz Inc SKLZ SH 43605 428 Million
Stanley Black & Decker, Inc. 5.25% Equity Units Due 11/15/2022 SWT SH 4057 427 Million
Retractable Technologies Inc. RVP SH 38537 425 Million
Sunesis Pharmaceuticals Inc VIRX SH 53032 425 Million
Nuveen Municipal Value Fund Inc. NUV SH 37424 424 Million
Greif Inc. Class B GEF.B SH 6544 424 Million
Intercept Pharmaceuticals Inc ICPT SH 28472 423 Million
FibroGen Inc FGEN SH 41321 422 Million
Apartment Investment and Management Co AIV SH 61410 421 Million
Appharvest Inc APPH SH 64533 421 Million
Beasley Broadcast Group Inc BBGI SH 157166 420 Million
BlackRock Municipal 2030 Target Term Trust BTT SH 16462 420 Million
Invesco New York AMT-Free Municipal Bond ETF PZT SH 16105 419 Million
ANI Pharmaceuticals Inc ANIP SH 12729 418 Million
Barnes & Noble Education Inc BNED SH 41809 418 Million
FAST Acquisition Corp. FST SH 32923 418 Million
Shaw Communications Inc Class B SJR SH 14376 417 Million
iShares Global Utilities ETF- JXI SH 7084 417 Million
RPC Inc RES SH 85469 415 Million
Oppenheimer Holdings, Inc. OPY SH 9137 414 Million
American Electric Power Company Inc AEPPL SH 8660 413 Million
Vaxcyte, Inc. PCVX SH 16269 413 Million
Nurix Therapeutics, Inc. NRIX SH 13789 413 Million
Sapiens International Corp SPNS SH 14322 412 Million
First Trust Consumer Staples AlphaDEX Fund FXG SH 7295 411 Million
Cohen & Steers Tax-Advantaged Preferred Securities & Income Fund PTA SH 16438 411 Million
China Life Insurance Co. Ltd. ADS ADR LFC SH 50210 410 Million
Vanguard Communication Services ETF VOX SH 2913 410 Million
Kinross Gold Corp. ADR KGC SH 76298 409 Million
Paya Holdings Inc PAYA SH 37637 409 Million
Liberty Global plc Class B LBTYB SH 13724 408 Million
BrightSpire Capital Inc BRSP SH 43332 407 Million
Aspira Womens Health Inc AWH SH 124974 406 Million
El Pollo Loco Holdings Inc LOCO SH 23981 405 Million
U.S. Global Jets ETF- JETS SH 17100 404 Million
Virtus AllianzGI Artificial Intelligence AIO SH 15091 403 Million
Soliton Inc SOLY SH 19743 402 Million
The First Bancshares Inc FBMS SH 10346 401 Million
MacroGenics Inc MGNX SH 19147 401 Million
GrowGeneration Corp GRWG SH 16271 401 Million
Monte Rosa Therapeutics Inc GLUE SH 17993 401 Million
Coca-Cola FEMSA, S.A.B. de C.V. ADR KOF SH 7119 400 Million
SPDR DoubleLine Total Return Tactical ETF TOTL SH 8276 400 Million
XBiotech Inc XBIT SH 30821 399 Million
Nektar Therapeutics, Inc. NKTR SH 22107 397 Million
Ultrapar Participacoes SA ADR UGP SH 146495 396 Million
Armstrong World Industries Inc. AWI SH 4142 395 Million
BlackRock MuniYield Quality Fund III Inc MYI SH 26894 395 Million
MorphoSys AG MOR SH 33579 395 Million
German American Bancorp Inc GABC SH 10192 394 Million
State Auto Financial Corp STFC SH 7731 394 Million
BEST Inc BEST SH 236109 394 Million
Seneca Foods Corp., Class A SENEA SH 8137 392 Million
Natl Research Corporation NRC SH 9311 392 Million
Jumia Technologies AG JMIA SH 21094 392 Million
SPDR SSGA US Small Cap Low Volatility Index ETF SMLV SH 3485 391 Million
Deep Lake Cap Acquisition Corp DLCA SH 40000 390 Million
Design Therapeutics Inc DSGN SH 26541 390 Million
TPI Composites Inc TPIC SH 11526 389 Million
Aligos Therapeutics, Inc. ALGS SH 25132 389 Million
SUMMIT MIDSTREAM PARTNERS LP SMLP SH 10940 389 Million
Encore Wire Corp WIRE SH 4088 388 Million
Ocugen Inc OCGN SH 54072 388 Million
iShares Morningstar Mid-Cap Growth ETF- IMCG SH 5618 387 Million
A-Mark Precious Metals Inc AMRK SH 6453 387 Million
iShares iBonds Dec 2026 Term Muni Bond ETF IBMO SH 14404 387 Million
Necessity Retail REIT Inc (The) RTL SH 48038 386 Million
BlackRock MuniHoldings California Quality Fund Inc MUC SH 24600 385 Million
ReneSola Ltd ADR SOL SH 58642 385 Million
Akebia Therapeutics Inc AKBA SH 133756 385 Million
Natura & Co. Holding S.A ADR NTCO SH 23165 385 Million
BTC iShares MSCI Emerging Markets Asia ETF EEMA SH 4554 384 Million
SSgA SPDR S&P World ex-US ETF SPDW SH 10582 383 Million
TPG RE Finance Trust Inc TRTX SH 30902 383 Million
Hersha Hospitality Trust HT SH 40809 381 Million
Titan International, Inc. TWI SH 53147 381 Million
Noah Holdings Ltd ADR NOAH SH 10253 381 Million
Aberdeen Total Dynamic Dividend Fund AOD SH 39000 380 Million
Ast Spacemobile Inc ASTS SH 35078 380 Million
Arbor Realty Trust ABR SH 20449 379 Million
Stoneridge Inc. SRI SH 18567 379 Million
Nuveen Taxable Municipal Income Fund NBB SH 16451 377 Million
Revolution Medicines, Inc. RVMD SH 13711 377 Million
Synchronoss Technologies Inc SNCR SH 156172 375 Million
Tekla Healthcare Investors HQH SH 14674 375 Million
Albireo Pharma Inc ALBO SH 11965 373 Million
Argan Inc. AGX SH 8536 373 Million
Anterix Inc ATEX SH 6151 373 Million
NVE Corp NVEC SH 5820 372 Million
Icl Group Ltd ICL SH 51200 372 Million
Cue Biopharma Inc CUE SH 25506 372 Million
United States Oil Fund USO SH 7054 371 Million
Lloyds Banking Group plc Sponsored ADR LYG SH 150407 369 Million
Invesco KBW Bank ETF KBWB SH 5500 369 Million
Royce Value Trust Inc RVT SH 20430 368 Million
Farmers National Banc Corp. FMNB SH 23421 368 Million
Construction Partners Inc ROAD SH 10993 367 Million
Oportun Financial Corp OPRT SH 14671 367 Million
Caesarstone Ltd CSTE SH 29447 366 Million
Golden Nugget Online Gaming Inc GNOG SH 21028 365 Million
Kinnate Biopharma Inc. KNTE SH 15865 365 Million
Unifi, Inc. UFI SH 16499 362 Million
BTC iShares 0-5 Year Investment Grade Corporate Bond ETF SLQD SH 7000 362 Million
Precision Drilling Corp. PDS SH 8907 360 Million
Gladstone Land Corp LAND SH 15792 360 Million
Luna Innovations Inc LUNA SH 37840 359 Million
Sight Sciences Inc SGHT SH 15823 359 Million
Esperion Therapeutics Inc. ESPR SH 29744 358 Million
Impinj Inc PI SH 6278 358 Million
James River Group Holdings Ltd JRVR SH 9460 357 Million
Stock Yards Bancorp Inc (S.Y. Bancorp Inc) SYBT SH 6061 355 Million
EverQuote Inc EVER SH 19068 355 Million
Red Robin Gourmet Burgers Inc RRGB SH 15353 354 Million
Theravance Biopharma Inc TBPH SH 47882 354 Million
Atomera Inc ATOM SH 15322 354 Million
Canoo Inc GOEV SH 46018 354 Million
Avid Technology Inc AVID SH 12163 352 Million
VIVINT SMART HOME ORD SHS CLASS A VVNT SH 37196 352 Million
E2open Parent Holdings, Inc. ETWO SH 31180 352 Million
QAD Inc., Class A QADA SH 4004 350 Million
WisdomTree International Hedged Quality Dividend Growth Fund-N/A IHDG SH 8100 350 Million
Tuesday Morning Corp TUEM SH 124979 350 Million
Immatics N.V. 4A3:FWB SH 26852 349 Million
Tusimple Holdings Inc TSP SH 9389 349 Million
Mercer International Inc MERC SH 30057 348 Million
Compania Cervecerias Unidas S.A. ADR CCU SH 20042 347 Million
Shattuck Labs, Inc. STTK SH 17039 347 Million
Eaton Vance Municipal Income Trust EVN SH 25000 346 Million
Funko Inc FNKO SH 18981 346 Million
The Lovesac Co LOVE SH 5238 346 Million
Barrett Business Services Inc BBSI SH 4515 344 Million
Tri-Continental Corp. TY SH 10284 343 Million
Social Cap Hedosophia Holdings Corp III CLOV SH 46464 343 Million
Pet DRx Corp PTLC SH 9073 342 Million
Virtus AllianzGI Dividend Interest & Premium Strategy Fund NFJ SH 23005 341 Million
Peapack-Gladstone Financial Corp PGC SH 10213 341 Million
Nuveen California Quality Municipal Income Fund NAC SH 21705 341 Million
Regional Management Corp RM SH 5853 341 Million
Global X Funds Global X FinTech ETF FINX SH 7100 341 Million
AquaBounty Technologies Inc AQB SH 83681 341 Million
Northern Genesis Acquisition Corp LEV SH 27000 341 Million
Greenhill & Co. Inc GHL SH 23190 339 Million
Amarin Corp. ADR AMRN SH 66438 339 Million
Embraer S.A. ADR ERJ SH 19817 337 Million
Canaan Inc. ADR CAN SH 55138 337 Million
Olympic Steel Inc ZEUS SH 13805 336 Million
Paysafe Limited PSFE SH 43386 336 Million
Kirklands Inc KIRK SH 17464 335 Million
Carriage Services Inc. Class A CSV SH 7487 334 Million
Origin Bancorp Inc OBNK SH 7877 334 Million
Gracell Biotechnologies Inc. ADR GRCL SH 24092 334 Million
Curiositystream Inc. CURI SH 31576 333 Million
Origin Materials Inc ORGN SH 48847 333 Million
Bluelinx Holdings Inc BXC SH 6786 332 Million
CalAmp Corp. CAMP SH 33400 332 Million
New Fortress Energy LLC NFE SH 11950 332 Million
Ion Acquisition Corp 1 Ltd TBLA SH 39271 332 Million
Proterra Inc PTRA SH 32805 332 Million
Korea Electric Power Co. ADR KEP SH 33576 331 Million
Philippine Long Distance Telephone Co ADR PHI SH 10150 331 Million
The Gorman-Rupp Company GRC SH 9240 331 Million
IVERIC bio Inc ISEE SH 20391 331 Million
Radiant Logistics Inc RLGT SH 51593 330 Million
iShares MSCI Malaysia ETF EWM SH 13001 329 Million
Sprague Resources LP SRLP SH 17700 329 Million
KemPharm KMPH SH 35127 328 Million
TCG BDC Inc CGBD SH 24454 328 Million
Great Southern Bancorp, Inc. GSBC SH 5966 327 Million
Powell Industries Inc. POWL SH 13246 325 Million
VanEck Oil Services ETF- OIH SH 1650 325 Million
Sierra Wireless Inc SWIR SH 20893 324 Million
First Community Bancshares, Inc (WV) FCBC SH 10216 324 Million
Black Stone Minerals L.P. BSM SH 26871 324 Million
iShares U.S. Utilities ETF- IDU SH 4090 323 Million
DallasNews Corp DALN SH 47489 323 Million
Oxford Lane Capital Corp OXLC SH 44765 323 Million
Ascendis Pharma A/S ADR ASND SH 2022 322 Million
Vera Bradley Inc VRA SH 34139 321 Million
ALX Oncology Holdings Inc. ALXO SH 4335 320 Million
ImmunoGen Inc. IMGN SH 56171 319 Million
FlexShares STOXX Global Broad Infrastructure Index Fund NFRA SH 5712 319 Million
CleanSpark Inc CLSK SH 27563 319 Million
Community Trust Bancorp, Inc. CTBI SH 7554 318 Million
Vor Biopharma Inc VOR SH 20249 318 Million
Stratasys Ltd SSYS SH 14723 317 Million
iShares MSCI Thailand ETF THD SH 4250 317 Million
Intrepid Potash Inc IPI SH 10212 316 Million
Shoe Carnival Inc SCVL SH 9711 315 Million
Energy Recovery Inc ERII SH 16569 315 Million
GT Biopharma GTBP SH 46701 315 Million
DoubleLine Income Solutions Fund DSL SH 17696 314 Million
Clear Secure Inc YOU SH 7647 314 Million
Hovnanian Enterprises Inc. Class A HOV SH 3240 312 Million
Vanguard Utilities ETF VPU SH 2243 312 Million
Verastem Inc VSTM SH 101252 312 Million
Robinhood Markets Inc HOOD SH 7418 312 Million
Kopin Corp. KOPN SH 60608 311 Million
Ares Commercial Real Estate Corp ACRE SH 20635 311 Million
Collegium Pharmaceutical Inc COLL SH 15729 311 Million
XPEL Inc XPEL SH 4096 311 Million
ATAI Life Sciences BV ATAI SH 21001 311 Million
Anavex Life Sciences Corp AVXL SH 17258 310 Million
Matrix Service Co MTRX SH 29580 309 Million
Sculptor Capital Management Inc Class A (Och-Ziff Capital Management) SCU SH 11084 309 Million
One Liberty Properties, Inc. OLP SH 10129 309 Million
West Fraser Timber Co Ltd WFG SH 3669 309 Million
iTeos Therapeutics, Inc. ITOS SH 11454 309 Million
Republic First BanCorp. Inc. FRBK SH 98996 305 Million
Northwest Pipe Co. NWPX SH 12818 304 Million
iShares MSCI South Africa ETF EZA SH 6466 304 Million
Enanta Pharmaceuticals Inc ENTA SH 5355 304 Million
Cogent Biosciences Inc COGT SH 36122 304 Million
ObsEva SA OBSV SH 97421 303 Million
Dynex Capital Inc DX SH 17497 302 Million
iShares MSCI Netherlands ETF EWN SH 6130 302 Million
Citizens & Northern Corp CZNC SH 11948 302 Million
Kimball Electronics Inc KE SH 11690 302 Million
Hercules Capital Inc HTGC SH 18139 301 Million
Pembina Pipeline Corp PBA SH 9420 299 Million
Groupon Inc GRPN SH 13050 298 Million
BTC iShares MSCI China A ETF CNYA SH 7000 298 Million
Deciphera Pharmaceuticals Inc DCPH SH 8781 298 Million
Suburban Propane Partners LP SPH SH 19361 297 Million
PAVmed Inc PAVM SH 34735 297 Million
Banco Santander Brasil SA ADR BSBR SH 45322 296 Million
Invesco Taxable Municipal Bond ETF BAB SH 9005 296 Million
Fidelity MSCI Health Care Index ETF FHLC SH 4637 296 Million
Radius Global Infrastructure, Inc. RADI SH 18065 295 Million
Aclaris Therapeutics Inc ACRS SH 16275 293 Million
ElectraMeccanica Vehicles Corp SOLO SH 82279 293 Million
TZP Strategies Acquisition Corp TZPS SH 30000 293 Million
Broadscale Acquisition Corp SCLE SH 30000 292 Million
Solaris Oilfield Infrastructure Inc SOI SH 34886 291 Million
OneConnect Financial Technology Co., Ltd. ADR OCFT SH 70955 291 Million
NexTier Oilfield Solutions Inc. (Keane Group) NEX SH 62867 289 Million
SolarWinds Corp SWI SH 17200 288 Million
Contango Oil & Gas Co. MCF SH 62701 287 Million
Bank of Marin Bancorp BMRC SH 7595 287 Million
First Mid Bancshares Inc FMBH SH 6984 287 Million
Puma Biotechnology Inc PBYI SH 40979 287 Million
Flexion Therapeutics Inc FLXN SH 47109 287 Million
Sage Therapeutics Inc SAGE SH 6481 287 Million
TPG Pace Beneficial Finance Corp. TPGY SH 27175 287 Million
Morphic Holding Inc MORF SH 5052 286 Million
Essential Utilities Inc WTRU SH 4982 286 Million
Seritage Growth Properties SRG SH 19201 285 Million
Homology Medicines Inc FIXX SH 36153 285 Million
Black Diamond Therapeutics, Inc. BDTX SH 33700 285 Million
Hyzon Motors Inc HYZN SH 41084 285 Million
Micron Technology, Inc. MU CALL 4000 284 Million
Peabody Energy Corp BTU SH 19204 284 Million
Moneygram International Inc MGI SH 35294 283 Million
Genco Shipping & Trading Ltd GNK SH 14046 283 Million
Global X Cybersecurity ETF BUG SH 9249 282 Million
Elanco Animal Health, Inc 5.00% Tangible Equity Units Due 02/01/2023 ELAT SH 5655 282 Million
Almaden Minerals Ltd AAU SH 700000 281 Million
Preferred Apartment Communities Inc APTS SH 22976 281 Million
Solid Biosciences Inc SLDB SH 117702 281 Million
PowerSchool Holdings Inc PWSC SH 11436 281 Million
MidWestOne Financial Group Inc MOFG SH 9290 280 Million
Relmada Therapeutics Inc RLMD SH 10687 280 Million
GoPro Inc GPRO SH 29897 280 Million
Mobile Telesystems OJSC ADS ADR MBT SH 28944 279 Million
Universal Insurance Holdings Inc UVE SH 21417 279 Million
SomaLogic Inc SLGC SH 22500 279 Million
Dimensional U.S. Targeted Value ETF DFAT SH 6289 279 Million
Townsquare Media Inc TSQ SH 21283 278 Million
Annovis Bio, Inc. ANVS SH 8745 278 Million
Summit Financial Group Inc SMMF SH 11293 277 Million
Main Street Capital Corp MAIN SH 6734 277 Million
Ballard Power Systems, Inc. BLDP SH 19622 276 Million
ProShares Ultra Silver AGQ SH 8643 276 Million
51job Inc ADR JOBS SH 3953 275 Million
Direxion Daily Regional Banks Bull 3X Shares DPST SH 1224 275 Million
Magenta Therapeutics Inc MGTA SH 37797 275 Million
Metropolitan Bank Holding Corp MCB SH 3250 274 Million
Berkshire Hathaway Inc Class B BRK.B PUT 1000 273 Million
Bassett Furniture Industries Inc BSET SH 15057 273 Million
Titan Machinery Inc TITN SH 10541 273 Million
Pliant Therapeutics, Inc. PLRX SH 16202 273 Million
BRP Inc DOOO SH 2937 272 Million
Boston Omaha Corp BOC SH 7015 272 Million
OneWater Marine Inc. ONEW SH 6764 272 Million
Forest Investments Inc GEG SH 121100 271 Million
American Superconductor Corp. AMSC SH 18549 270 Million
iShares MSCI Indonesia ETF EIDO SH 12426 270 Million
Defiance Next Gen Connectivity ETF- FIVG SH 7403 269 Million
Arrival SA ARVL SH 20465 269 Million
Enterprise Bancorp Inc EBTC SH 7458 268 Million
Pacer Trendpilot 100 ETF- PTNQ SH 4820 268 Million
Impact Shares YWCA Womens Empowerment ETF WOMN SH 8200 268 Million
iShares MSCI China Small-Cap ETF ECNS SH 5230 266 Million
Ryerson Holding Corp RYI SH 11923 266 Million
NetSTREIT Corp. NTST SH 11247 266 Million
BlackRock MuniYield Michigan Quality Fund Inc MIY SH 17160 265 Million
Invesco National AMT-Free Municipal Bond ETF PZA SH 9871 265 Million
FS Bancorp Inc. (WA) FSBW SH 7662 265 Million
Tidewater Inc. TDW SH 21915 264 Million
Daktronics Inc DAKT SH 48546 264 Million
WisdomTree Global ex-U.S. Quality Dividend Growth Fund-N/A DNL SH 6516 264 Million
First of Long Island Corp FLIC SH 12827 264 Million
Global X Silver Miners ETF SIL SH 7500 263 Million
UWM Holdings Corp. UWMC SH 37858 263 Million
Chase Corp. CCF SH 2566 262 Million
Apria Inc APR SH 7055 262 Million
Vanguard International Dividend Appreciation ETF VIGI SH 2990 261 Million
iHuman Inc. ADS IH SH 55400 261 Million
Loral Space and Communications Inc LORL SH 6017 259 Million
Materialise NV ADR MTLS SH 12907 259 Million
Passage Bio, Inc. PASG SH 25961 259 Million
WisdomTree U.S. Total Dividend Fund-N/A DTD SH 2195 258 Million
PAM Transportation Services Inc PTSI SH 5739 258 Million
Purple Innovation Inc PRPL SH 12289 258 Million
Tejon Ranch Co TRC SH 14469 257 Million
Nuveen New York Quality Municipal Income Fund NAN SH 17454 257 Million
Aemetis Inc AMTX SH 14054 257 Million
Genetron Holdings Ltd ADS GTH SH 18588 257 Million
Methanex Corp MEOH SH 5554 256 Million
AnaptysBio Inc ANAB SH 9437 256 Million
Blue Owl Cap Class A OWL SH 16418 255 Million
Forum Energy Technologies Inc FET SH 11274 254 Million
Absci Corp ABSI SH 21805 254 Million
Invesco Dynamic Leisure and Entertainment ETF- PEJ SH 5025 253 Million
FlexShares Morningstar US Market Factors Tilt Index Fund TILT SH 1500 253 Million
Orchid Island Capital Inc ORC SH 51582 252 Million
Vuzix Corp VUZI SH 24006 251 Million
Praxis Precision Medicines, Inc. PRAX SH 13574 251 Million
FutureFuel Corp FF SH 35051 250 Million
Home Bancorp Inc. (LA) HBCP SH 6434 249 Million
Merchants Bancorp MBIN SH 6309 249 Million
Quadratic Interest Rate Volatility and Inflation Hedge ETF- IVOL SH 8936 249 Million
Talis Biomedical Corp TLIS SH 39782 249 Million
Select Interior Concepts Inc SIC1 PUT 17200 248 Million
ALPS Clean Energy ETF ACES SH 3738 247 Million
JPMorgan Equity Premium Income ETF- JEPI SH 4148 247 Million
Dun & Bradstreet Holdings, Inc. DNB SH 14636 246 Million
ProShares Ultra Semiconductors USD SH 7200 246 Million
Global X Uranium ETF URA SH 10360 246 Million
Krystal Biotech Inc KRYS SH 4721 246 Million
RANPAK HOLDINGS CORP PACK SH 9160 246 Million
Cartesian Growth Corp GLBL SH 24999 246 Million
Banco de Chile ADR BCH SH 13275 245 Million
JPMorgan Chase & Co. AMJ PRN 1351081 245 Million
Autohome Inc ADR ATHM SH 5228 245 Million
Turmeric Acquisition Corp. TMPM SH 24999 245 Million
RCI Hospitality Holdings, Inc RICK SH 3561 244 Million
Express Inc EXPR SH 51616 244 Million
BTC iShares Currency Hedged MSCI Germany ETF HEWG SH 7628 244 Million
Biotech Acquisition Company Cl A BIOT SH 25000 244 Million
Mondee Holdings Inc MOND SH 25000 244 Million
COVA Acquisition Corp COVA SH 25000 244 Million
Universal Logistics Holdings Inc ULH SH 12091 243 Million
Invesco Trust for Investment Grade Municipals VGM SH 17732 243 Million
Verso Corp VRS SH 11722 243 Million
Tilray Inc TLRY SH 21545 243 Million
Fiesta Restaurant Group Inc FRGI SH 22050 242 Million
REV Group Inc REVG SH 14124 242 Million
Remark Holdings Inc MARK SH 229274 241 Million
Rekor Systems Inc REKR SH 20968 241 Million
Kronos Bio, Inc. KRON SH 11510 241 Million
Intl Money Express Inc IMXI SH 14379 240 Million
CorePoint Lodging Inc CPLG SH 15489 240 Million
Republic Bancorp Inc. (KY), Class A RBCAA SH 4719 239 Million
Century Therapeutics Inc IPSC SH 9487 239 Million
Cantaloupe Inc CTLP SH 22096 238 Million
Galapagos NV ADR GLPG SH 4519 238 Million
Spero Therapeutics Inc SPRO SH 12935 238 Million
Gladstone Commercial Corp GOOD SH 11264 237 Million
Spectrum Pharmaceuticals Inc. SPPI SH 108342 236 Million
Eaton Vance Risk-Managed Diversified Equity Income Fund ETJ SH 22100 236 Million
BlackRock Limited Duration Income Trust BLW SH 13765 235 Million
Rush Enterprises, Inc. Class B RUSHB SH 5090 233 Million
Euronav NV EURN SH 23872 233 Million
Green Plains Partners LP GPP SH 17578 233 Million
Gelesis Holdings Inc GLS SH 23490 233 Million
CoreCard Corporation CCRD SH 5714 232 Million
SPDR S&P International Dividend ETF DWX SH 6100 232 Million
Horizons NASDAQ-100 Covered Call ETF QYLD SH 10522 232 Million
Upland Software Inc UPLD SH 6908 231 Million
Infrastructure & Energy Alternatives Inc IEA SH 20177 231 Million
Ouster Inc OUST SH 31554 231 Million
Invesco S&P 500 Quality ETF- SPHQ SH 4738 230 Million
Atrion Corp. ATRI SH 330 230 Million
Intrusion Inc INTZ SH 56567 230 Million
Gencor Industries Inc GENC SH 20734 230 Million
Burford Capital Ltd BUR SH 20929 230 Million
GoHealth, Inc. GOCO SH 45538 229 Million
StepStone Group Inc. STEP SH 5369 229 Million
Defiance Next Gen SPAC Derived ETF- SPAK SH 10000 229 Million
loanDepot, Inc. Class A LDI SH 33882 229 Million
ChannelAdvisor Corp ECOM SH 9048 228 Million
Talaris Therapeutics Inc TALS SH 16789 228 Million
Kimball International Inc KBAL SH 20186 226 Million
SEACOR Marine Holdings Inc SMHI SH 48728 226 Million
Berkeley Lights, Inc. BLI SH 11568 226 Million
LG Display Co. Ltd ADR LPL SH 28318 225 Million
Mistras Group Inc MG SH 22189 225 Million
Gritstone bio Inc GRTS SH 20862 225 Million
Cymabay Therapeutics Inc CBAY SH 61265 224 Million
iShares Core Moderate Allocation ETF AOM SH 4984 223 Million
Daseke Inc DSKE SH 24177 223 Million
SPDR S&P North American Natural Resources ETF NANR SH 5598 223 Million
Transocean Ltd RIG SH 58479 222 Million
Alerus Financial Corp ALRS SH 7432 222 Million
Mesoblast Ltd MESO SH 36942 222 Million
Marinus Pharmaceuticals Inc MRNS SH 19470 222 Million
LiveOne Inc LVO SH 74371 222 Million
Columbia Financial Inc CLBK SH 11999 222 Million
Alico Inc ALCO SH 6454 221 Million
West Bancorporation Inc WTBA SH 7344 221 Million
Alpha and Omega Semiconductor Ltd AOSL SH 7056 221 Million
ETFMG Prime Junior Silver Miners ETF SILJ SH 18753 221 Million
Advantage Solutions Inc. ADV SH 25522 221 Million
Expro Group Holdings N.V. XPRO SH 74669 220 Million
Aldeyra Therapeutics Inc ALDX SH 25022 220 Million
Gold Fields Ltd ADR GFI SH 27004 219 Million
Schwab U.S. REIT ETF- SCHH SH 4805 219 Million
Retail Value Inc RVIC SH 8319 219 Million
Ashford Hospitality Trust, Inc. AHT SH 14820 218 Million
COMPASS Pathways PLC ADS CMPS SH 7306 218 Million
Bolt Biotherapeutics Inc BOLT SH 17235 218 Million
Allspring Multi-Sector Income Fund ERC SH 15945 216 Million
New England Realty Associates LP NEN SH 3540 216 Million
Invesco KBW High Dividend Yield Financial ETF KBWD SH 10614 216 Million
EDAP TMS S.A. ADR EDAP SH 33697 215 Million
TeraWulf Inc WULF SH 7520 214 Million
iShares MSCI Denmark ETF EDEN SH 1994 214 Million
Zynex Inc ZYXI SH 18737 213 Million
Pagseguro Digital Ltd PAGS SH 4127 213 Million
ORIC Pharmaceuticals, Inc. ORIC SH 10209 213 Million
Agilon Health Inc AGL SH 8116 213 Million
Cyteir Therapeutics Inc CYT SH 12150 213 Million
Astronics Corp. ATRO SH 15084 212 Million
Compugen Ltd CGEN SH 35584 212 Million
AcelRx Pharmaceuticals Inc ACRX SH 208185 212 Million
RAPT Therapeutics, Inc. RAPT SH 6842 212 Million
Connect Biopharma Holdings Ltd CNTB SH 8770 212 Million
KraneShares MSCI All China Health Care Index ETF- KURE SH 5635 211 Million
ATI Physical Therapy Inc ATIP SH 55482 211 Million
THE9 LTD-ADR NCTY SH 20462 211 Million
Winmark Corp WINA SH 976 210 Million
WideOpenWest Inc WOW SH 10680 210 Million
Eastern Bankshares, Inc. EBC SH 10356 210 Million
Oppenheimer S&P 500 Revenue ETF RWL SH 2878 209 Million
Senseonics Holdings Inc SENS SH 61572 209 Million
FlexShares iBoxx 3-Year Target Duration TIPS Index Fund TDTT SH 7926 208 Million
BeyondSpring Inc BYSI SH 13187 208 Million
PAE Inc PAE SH 34722 208 Million
Ortho Clinical Diagnostics Holdings PLC OCDX SH 11243 208 Million
Spok Holdings Inc SPOK SH 20206 207 Million
Provention Bio Inc PRVB SH 32343 207 Million
DNP Select Income Fund Inc. DNP SH 19359 206 Million
Heron Therapeutics Inc HRTX SH 19316 206 Million
Beam Glbl BEEM SH 7535 206 Million
Crinetics Pharmaceuticals Inc CRNX SH 9766 206 Million
Renalytix AI plc ADS RNLX SH 10283 206 Million
Reaves Utility Income Fund UTG SH 6264 205 Million
Eastern Co EML SH 8094 204 Million
Atlas Corp ATCO SH 13349 203 Million
Salisbury Bancorp Inc SAL SH 4000 203 Million
Ooma Inc OOMA SH 10891 203 Million
Veritone Inc VERI SH 8514 203 Million
Invacare Corp IVC SH 42469 202 Million
VSE Corp. VSEC SH 4193 202 Million
BankFinancial Corp BFIN SH 17583 202 Million
Invesco Dividend AchieversTM ETF- PFM SH 5608 202 Million
Altimmune Inc ALT SH 17825 202 Million
SELLAS Life Sciences Group Inc SLS SH 22001 202 Million
VanEck Africa Index ETF- AFK SH 9739 202 Million
Aspen Aerogels Inc ASPN SH 4394 202 Million
SSgA SPDR S&P 400 Mid Cap Value ETF MDYV SH 3041 201 Million
Federal Agricultural Mortgage Corp. Class A AGM.A SH 2000 201 Million
OwShares U.S. Quality Dividend ETF OUSA SH 4835 201 Million
Vanguard U.S. Value Factor ETF VFVA SH 2030 201 Million
Eos Energy Enterprises Inc. EOSE SH 14340 201 Million
Fluent Inc FLNT SH 87994 200 Million
Luxfer Holdings PLC LXFR SH 10185 200 Million
Arcimoto Inc FUV SH 17478 200 Million
Charah Solutions Inc CHRA SH 43561 200 Million
Invesco NASDAQ Next Gen 100 ETF QQQJ SH 6046 200 Million
iShares MSCI France ETF EWQ SH 5338 199 Million
DRDGold Ltd ADR DRD SH 24655 199 Million
First Trust NYSE Arca Biotechnology Index Fund- FBT SH 1200 199 Million
OneSpaWorld Holdings OSW SH 19981 199 Million
Warner Music Group Corp. Class A WMG SH 4652 199 Million
Diamond Hill Investment Group DHIL SH 1127 198 Million
Oramed Pharmaceuticals Inc ORMP SH 9005 198 Million
Companhia Paranaense de Energia ELP SH 30100 197 Million
CNB Financial Corp. (PA) CCNE SH 8088 197 Million
BlackRock Taxable Municipal Bond Trust BBN SH 7638 197 Million
American Software Inc. Class A AMSWA SH 8242 196 Million
Piedmont Lithium Ltd PLL SH 3598 196 Million
Sendas Distribuidora S.A. ADS ASAI SH 11243 196 Million
National CineMedia Inc NCMI SH 54848 195 Million
Amplify Online Retail ETF IBUY SH 1780 195 Million
Vanguard U.S. Quality Factor ETF VFQY SH 1670 195 Million
BlackRock Science & Technology Trust II BSTZ SH 5057 195 Million
EQ Health Acquisition Corp EQHA SH 20000 195 Million
Z-Work Acq Corp Class A ZWRK SH 19998 195 Million
First Internet Bancorp INBK SH 6225 194 Million
TrueCar Inc True SH 46690 194 Million
Park-Ohio Holdings Corp. PKOH SH 7546 193 Million
PIMCO Corporate & Income Opportunity Fund PTY SH 10555 193 Million
First Majestic Silver Corp AG SH 17036 193 Million
Ideanomics Inc IDEX SH 98137 193 Million
Accelerate Diagnostics Corp AXDX SH 33121 193 Million
Fulcrum Therapeutics Inc FULC SH 6841 193 Million
SIGA Technologies, Inc SIGA SH 25981 192 Million
Holly Energy Partners L.P. HEP SH 10498 192 Million
Sientra Inc SIEN SH 33584 192 Million
ProShares Russell 2000 Div Growers ETF SMDV SH 3116 192 Million
Solar Cap Ltd SLRC SH 10000 191 Million
Hooker Furniture Corp HOFT SH 7028 190 Million
Eagle Bulk Shipping Inc EGLE SH 3770 190 Million
PIMCO 25+ Year Zero Coupon U.S. Treasury Index Exchange-Traded Fund ZROZ SH 1303 190 Million
FlexShares STOXX US ESG Select Index Fund ESG SH 1800 190 Million
Sitio Royalties Corporation STR SH 40529 190 Million
Miller Industries Inc. (TN) MLR SH 5551 189 Million
Citizens Holding Co CIZN SH 10000 189 Million
Lightwave Logic, Inc. LWLG SH 20000 189 Million
Arbutus Biopharma Corp ABUS SH 44170 189 Million
ViewRay Inc VRAY SH 26205 189 Million
Pulmonx Corp. LUNG SH 5265 189 Million
ONCTERNAL THERAPEUTICS INC GTU2:FWB2 SH 45288 189 Million
Bancolombia SA ADR CIB SH 5444 188 Million
TherapeuticsMD Inc TXMD SH 253721 188 Million
Global X Video Games & Esports ETF HERO SH 6720 188 Million
Global-E Online Ltd GLBE SH 2618 188 Million
Golden Entertainment Inc GDEN SH 3818 187 Million
Radius Health Inc RDUS SH 15089 187 Million
BioClinica Inc BIT SH 10000 187 Million
Digimarc Corp DMRC SH 5413 186 Million
Intellicheck Inc IDN SH 22695 186 Million
Genius Sports Limited GENI SH 9994 186 Million
Cullinan Management Inc CGEM SH 8253 186 Million
Artesian Resources Corp, Class A ARTNA SH 4859 185 Million
Hingham Institution for Savings HIFS SH 550 185 Million
Stagwell Inc STGW SH 24088 185 Million
Krispy Kreme Inc DNUT SH 13223 185 Million
Tucows Inc TCX SH 2329 184 Million
Safe Bulkers Inc. SB SH 35604 184 Million
BlackRock MuniYield California Fund Inc MYC SH 12037 183 Million
Northrim BanCorp, Inc. NRIM SH 4316 183 Million
SoFi Technologies Inc SOFI SH 11553 183 Million
Endeavour Silver Corp EXK SH 44603 182 Million
FA Tierra XP Latin America Real Estate ETF MJ SH 12615 182 Million
Plymouth Industrial REIT Inc PLYM SH 7998 182 Million
CBTX Inc CBTX SH 6909 182 Million
Mesa Air Group Inc MESA SH 23768 182 Million
United States Cellular Corp. USM SH 5674 181 Million
iShares Mortgage Real Estate ETF- REM SH 5007 181 Million
Aeglea BioTherapeutics Inc AGLE SH 22719 181 Million
Blueknight Energy Partners L.P. L.L.C. BKEP SH 59030 180 Million
Paramount Group Inc PGRE SH 20047 180 Million
SP Plus Corp SP SH 5834 179 Million
BlackRock Health Sciences Trust BME SH 3766 179 Million
Waterstone Financial Inc WSBF SH 8725 179 Million
Atossa Genetics Inc ATOS SH 55009 179 Million
Siriuspoint Ltd SPNT SH 19317 179 Million
JPMorgan Ultra-Short Municipal Income ETF- JMST SH 3500 179 Million
Southern National Bancorp of VA Inc FRST SH 12279 178 Million
Donegal Group Inc DGICA SH 12268 178 Million
Madrigal Pharmaceuticals Inc MDGL SH 2233 178 Million
Cenovus Energy Inc CVE SH 17663 178 Million
Evofem Biosciences Inc EVFM SH 240616 178 Million
PMV Pharmaceuticals, Inc. PMVP SH 5980 178 Million
Covenant Logistics Group Inc. (Covenant Transport Group) CVLG SH 6410 177 Million
Ribbon Communications Inc RBBN SH 29667 177 Million
First Trust NASDAQ-100 Equal Weighted Index Fund- QQEW SH 1595 177 Million
Ocwen Financial Corp OCN SH 6281 177 Million
Computer Task Group, Inc. CTG CALL 22100 176 Million
HomeTrust Bancshares Inc HTBI SH 6281 176 Million
SPDR Blackstone Senior Loan ETF SRLN SH 3825 176 Million
Gossamer Bio Inc GOSS SH 13994 176 Million
Copa Holdings S.A. CPA SH 2151 175 Million
Castlight Health inc. CSLT SH 111166 175 Million
Equity Bancshares Inc EQBK SH 5243 175 Million
American Outdoor Brands, Inc. AOUT SH 7123 175 Million
NeoPhotonics Corp NPTN SH 19998 174 Million
Liberty Braves Group Series A BATRA SH 6477 174 Million
Invesco Dynamic Large Cap Value ETF- PWV SH 3897 173 Million
Actinium Pharmaceuticals Inc ATNM SH 19580 173 Million
Brightcove Inc BCOV SH 14939 172 Million
KNOT Offshore Partners L.P. KNOP SH 9176 172 Million
JPMorgan Diversified Return Global Equity ETF-JPMorgan Diversified Return Global Equity ETF JPGE SH 2873 172 Million
DIREXION DAILY AEROSPACE & DEFENSE BULL 3X SHARES DFEN SH 8375 172 Million
FRP Holdings Inc FRPH SH 3050 171 Million
Invesco China Technology ETF CQQQ SH 2600 171 Million
Duff & Phelps Utility and Infrastructure Fund Inc DPG SH 12745 171 Million
LabStyle Innovations Corp DRIO SH 12551 171 Million
Eaton Vance Tax-Managed Buy-Write Opportunities Fund ETV SH 10651 170 Million
VanEck Israel ETF- ISRA SH 3600 170 Million
ProShares S&P MidCap 400 Div Aristocrats ETF REGL SH 2509 170 Million
View Inc VIEW SH 31283 170 Million
Walt Disney Co. (The) DIS CALL 1000 169 Million
Nuveen New York AMT-Free Quality Municipal Income Fund NRK SH 12196 169 Million
MVB Financial Corp MVBF SH 3946 169 Million
PLBY Group, Inc. PLBY SH 7181 169 Million
4D Molecular Therapeutics, Inc. FDMT SH 6255 169 Million
American Express Co AXP CALL 1000 168 Million
Entravision Communications Corp. Class A EVC SH 23622 168 Million
Tiptree Inc TIPT SH 16752 168 Million
Invesco S&P 500 Pure Value ETF- RPV SH 2218 168 Million
Audiocodes Ltd. AUDC SH 5189 168 Million
Clovis Oncology Inc CLVS SH 37640 168 Million
Party City Holdco Inc PRTY SH 23698 168 Million
John Hancock Multifactor Large Cap ETF- JHML SH 3095 168 Million
PennantPark Investment Corp PNNT SH 25792 167 Million
First Bancorp Inc (ME) FNLC SH 5719 167 Million
IGM Biosciences Inc IGMS SH 2537 167 Million
Butterfly Network Inc BFLY SH 15985 167 Million
Bumble Inc BMBL SH 3338 167 Million
ARKO Corp. ARKO:TASE SH 16437 166 Million
Banco Santander Chile ADR BSAC SH 8347 165 Million
Compass Diversified Holdings CODI SH 5853 165 Million
Standard BioTools Inc LAB SH 25084 165 Million
ClearPoint Neuro Inc CLPT SH 9302 165 Million
Consolidated Water Co, Ltd. CWCO SH 14358 164 Million
SI-BONE Inc SIBN SH 7649 164 Million
Personalis Inc PSNL SH 8525 164 Million
ARC Document Solutions Inc ARC SH 55370 163 Million
Amerant Bancorp Inc AMTBB SH 7027 163 Million
Gabelli Dividend & Income Trust-The GDV SH 6270 162 Million
Eastman Kodak Co KODK SH 23768 162 Million
AlloVir, Inc. ALVR SH 6458 162 Million
Eaton Vance Tax Advantaged Dividend Income Fund EVT SH 5861 161 Million
Curis Inc CRIS SH 20608 161 Million
Opko Health Inc OPK SH 44194 161 Million
Clarus Corp CLAR SH 6289 161 Million
Select Energy Services Inc WTTR SH 31004 161 Million
KT Corp ADR KT SH 11749 160 Million
Bright Health Group Inc BHG SH 19620 160 Million
BBX Cap Corp BVH SH 6166 159 Million
North European Oil Royalty Trust NRT SH 14880 159 Million
Applied Optoelectronics Inc AAOI SH 22206 159 Million
NTN Buzztime Inc BTX SH 17036 158 Million
Southern Missouri Bancorp Inc SMBC SH 3519 158 Million
Global X MLP ETF MLPA SH 4466 158 Million
Xenon Pharmaceuticals Inc XENE SH 10360 158 Million
Business First Bancshares Inc BFST SH 6762 158 Million
BSQUARE Corp BSQR SH 64998 157 Million
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Civista Bancshares Inc CIVB SH 6740 157 Million
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PCSB Financial Corp PCSB SH 8510 157 Million
Rackspace Technology, Inc. RXT SH 11047 157 Million
Martin Midstream Partners L.P. MMLP SH 48847 156 Million
VirnetX Holding Corp VHC SH 39826 156 Million
iShares Emerging Markets Dividend ETF- DVYE SH 4003 156 Million
Avalanche Biotechnologies Inc ADVM SH 71724 156 Million
Replimune Group Inc REPL SH 5277 156 Million
Atlas Technical Consultants Inc ATCX SH 15325 156 Million
Amryt Pharma PLC AMYT SH 12986 156 Million
Marchex Inc MCHX SH 51960 155 Million
RBB Bancorp RBB SH 6149 155 Million
Moore Medical Corp. MMD SH 7100 155 Million
Precigen Inc. (Intrexon) PGEN SH 31121 155 Million
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CURO Group Holdings Corp CURO SH 8960 155 Million
CrossFirst Bankshares Inc CFB SH 11956 155 Million
Coupang Inc CPNG SH 5589 155 Million
Cardiff Oncology Inc CRDF SH 23155 154 Million
ProShares Ultra S&P500 SSO SH 1276 153 Million
iShares Russell Top 200 Growth ETF- IWY SH 1000 153 Million
Aviat Networks Inc AVNW SH 4653 153 Million
comScore Inc SCOR SH 39007 152 Million
Nautilus Inc NLS SH 16278 152 Million
PIMCO Corporate & Income Strategy Fund PCN SH 8420 152 Million
SPDR EURO Stoxx 50 ETF FEZ SH 3351 152 Million
PIMCO Enhanced Low Duration Active Exchange-Traded Fund LDUR SH 1493 152 Million
Act II Glbl Acquisition Corp FREE SH 13182 152 Million
Escalade Inc ESCA SH 7975 151 Million
Antares Pharma Inc ATRS SH 41589 151 Million
SSgA SPDR S&P 600 Small Cap ETF SLY SH 1595 151 Million
OrganiGram Holdings Inc OGI SH 65849 151 Million
SINOPEC Shanghai Petrochemical Co Ltd ADR SHI SH 6212 150 Million
John Hancock Investors Trust JHI SH 8045 150 Million
Fusion Fuel Green PLC HTOO SH 13842 150 Million
Coursera Inc COUR SH 4746 150 Million
Rocky Brands Inc. RCKY SH 3133 149 Million
Vine Energy Inc Class A VEI1 SH 9059 149 Million
Ecopetrol S.A. ADR EC SH 10322 148 Million
Kura Sushi USA Inc KRUS SH 3389 148 Million
Eaton Vance California Municipal Bond Fund EVM SH 12350 147 Million
Willamette Valley Vineyard Inc. WVVI SH 11606 147 Million
Epizyme Inc EPZM SH 28618 147 Million
AMMO Inc POWW SH 23901 147 Million
UFP Technologies Inc. UFPT SH 2376 146 Million
Aluminum Corp. of China Ltd. Class H ADR ACH SH 7794 146 Million
Bank First Corp BFC SH 2051 145 Million
Carter Bank and Trust CARE SH 10201 145 Million
SeaSpine Holdings Corp SPNE SH 9230 145 Million
Hycroft Mining Holding Corporation HYMC SH 97420 145 Million
India Globalization Capital Inc IGC SH 96996 144 Million
Athenex Inc ATNX SH 47743 144 Million
Identiv Inc INVE SH 7594 143 Million
Ternium S.A. ADR TX SH 3388 143 Million
Invesco BulletShares 2021 Corporate Bond ETF-Invesco BulletShares 2021 Corporate Bond ETF BSCL SH 6780 143 Million
CapStar Financial Holdings Inc CSTR SH 6735 143 Million
Vapotherm Inc VAPO SH 6420 143 Million
Greenlight Capital Re, Ltd. GLRE SH 19254 142 Million
Cellectis S.A. ADR CLLS SH 11269 142 Million
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Driven Brands Holdings Inc DRVN SH 4912 142 Million
Longboard Pharmaceuticals Inc LBPH SH 16072 142 Million
Noodles & Co NDLS SH 11945 141 Million
Surface Oncology Inc SURF SH 18578 141 Million
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Grupo Televisa S.A. GDR TV SH 12775 140 Million
American National Bankshares Inc AMNB SH 4241 140 Million
iShares MSCI Frontier and Select EM ETF FM SH 4115 140 Million
Ordinary Shares - Class B RFL SH 4568 140 Million
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Applied Therapeutics Inc APLT SH 8426 140 Million
Telos Corp TLS SH 4949 140 Million
Independence Holding Co IHC SH 2801 139 Million
Dyne Therapeutics, Inc. DYN SH 8557 139 Million
SQZ Biotechnologies Co SQZ SH 9617 139 Million
Decibel Therapeutics Inc DBTX SH 18081 139 Million
Revlon Inc. Class A REV SH 13618 138 Million
Suzano Papel e Celulose SA SUZ SH 13771 138 Million
Schwab U.S. Mid-Cap ETF SCHM SH 1798 138 Million
USD Partners LP USDP SH 22115 138 Million
Harmony Biosciences Holdings, Inc. HRMY SH 3598 138 Million
Acacia Research Corp ACTG SH 20127 137 Million
iShares Dow Jones U.S. ETF- IYY SH 1270 137 Million
BTC iShares MSCI Europe Financials ETF EUFN SH 7000 137 Million
ALPS Sector Dividend Dogs ETF SDOG SH 2689 137 Million
Del Taco Restaurants Inc TACO SH 15637 137 Million
Provident Bancorp Inc PVBC SH 8583 137 Million
Turning Point Brands Inc TPB SH 2876 137 Million
Eton Pharmaceuticals Inc ETON SH 27146 137 Million
Marqeta Inc MQ SH 6200 137 Million
Westlake Chemical Partners LP WLKP SH 5569 136 Million
Evolus Inc EOLS SH 17897 136 Million
Keros Therapeutics, Inc. KROS SH 3434 136 Million
Landec Corp. LNDC SH 14645 135 Million
Smith Micro Software Inc. SMSI SH 27805 135 Million
Performant Financial Corp PFMT SH 34090 135 Million
Regulus Therapeutics Inc RGLS SH 195961 135 Million
Oppenheimer S&P Ultra Dividend Revenue ETF RDIV SH 3466 135 Million
VOXX International Corporation VOXX SH 11737 134 Million
Build-A-Bear Workshop Inc BBW SH 7909 134 Million
iShares Emerging Markets Infrastructure ETF- EMIF SH 5341 134 Million
Garrett Motion Inc GTX SH 18248 134 Million
Atreca Inc BCEL SH 21451 134 Million
ROBO Global Healthcare Technology and Innovation ETF HTEC SH 2929 134 Million
Youdao, Inc. ADS DAO SH 11044 134 Million
Endeavor Group Holdings, Inc. EDR SH 4667 134 Million
iCAD Inc. ICAD SH 12351 133 Million
Edgio Inc EGIO SH 55809 133 Million
Direxion NASDAQ-100 Equal Weighted Index Shares QQQE SH 1610 133 Million
National Energy Services Reunited Corp NESR SH 10618 133 Million
Kiniksa Pharmaceuticals Ltd KNSA SH 11696 133 Million
Centrus Energy Corp LEU SH 3411 132 Million
Cohen & Steers Quality Income Realty Fund, Inc. RQI SH 8793 131 Million
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Velodyne Lidar Inc VLDR SH 22130 131 Million
Metacrine, Inc. MTCR SH 38201 131 Million
BlackRock Enhanced Global Dividend Trust BOE SH 11075 130 Million
Tecnoglass Inc TGLS SH 5999 130 Million
ARK Space Exploration & Innovation ETF ARKX SH 6634 130 Million
Eaton Vance Enhanced Equity Income Fund II EOS SH 5549 129 Million
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ARK Israel Innovative Technology ETF IZRL SH 4396 129 Million
BRT Apartments BRT SH 6636 128 Million
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Nuveen Preferred & Income Opportunities Fund JPC SH 12781 127 Million
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GoodRx Holdings, Inc. GDRX SH 3085 127 Million
Ikena Oncology Inc IKNA SH 10060 127 Million
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Old Second Bancorp Inc OSBC SH 9649 126 Million
BTC iShares MSCI Germany Small-Cap ETF EWGS SH 1550 126 Million
Invesco S&P MidCap Low Volatility ETF XMLV SH 2396 126 Million
Great Ajax Corp AJX SH 9364 126 Million
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SSqA SPDR S&P 600 Small Cap Value ETF SLYV SH 1520 125 Million
Pactiv Evergreen Inc. PTVE SH 9963 125 Million
IES Holdings Inc. (Integrated Electrical Services Inc.) IESC SH 2715 124 Million
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Peoples Financial Services Corp PFIS SH 2722 124 Million
Ring Energy Inc REI SH 41997 124 Million
Direxion Daily S&P Oil & Gas Exp. & Prod. Bear 2X Shares DRIP SH 20633 124 Million
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Global X Artificial Intelligence & Technology ETF AIQ SH 4093 124 Million
iShares iBonds Dec 2027 Term Muni Bond ETF IBMP SH 4595 124 Million
Applied Molecular Transport Inc. AMTI SH 4810 124 Million
Forestar Group Inc FOR SH 6601 123 Million
Eaton Vance Tax-Advantaged Global Dividend Income Fund ETG SH 5801 123 Million
Guaranty Bancshares Inc GNTY SH 3425 123 Million
Heritage-Crystal Clean Inc HCCI SH 4239 123 Million
Humanigen HGEN SH 20699 123 Million
Crescent Capital BDC, Inc. CCAP SH 6455 123 Million
Huaneng Power International, Inc. ADR HNP SH 5808 122 Million
iShares U.S. Consumer Discretionary ETF- IYC SH 1582 122 Million
BRF Brasil Foods S.ASA ADR BRFS SH 24266 122 Million
America First Multifamily Investors L.P. ATAX SH 20500 122 Million
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Liberty TripAdvisor Holdings Inc A LTRPA SH 39449 122 Million
ETFMG Prime Mobile Payments ETF IPAY SH 1800 122 Million
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Voya Global Equity Dividend and Premium Opportunity Fund IGD SH 20500 121 Million
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Avita Medical Ltd RCEL SH 6838 121 Million
Syros Pharmaceuticals Inc SYRS SH 27002 121 Million
Xtrackers USD High Yield Corporate Bond ETF HYLB SH 3031 121 Million
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Utah Medical Products, Inc. UTMD SH 1293 120 Million
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Forma Therapeutics Holdings, Inc. FMTX SH 5166 120 Million
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Gol Linhas Aereas Inteligentes S.A. ADR GOL SH 15551 119 Million
Columbia Seligman Premium Technology Growth Fund Inc STK SH 3600 119 Million
Multi-Asset Diversified Income Index Fund MDIV SH 7275 119 Million
MetroCity Bankshares, Inc. MCBS SH 5653 119 Million
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Colfax Corp, 5.75% Tangible Equity Units CFXA SH 640 119 Million
Mohawk Group Holdings Inc ATER SH 11022 119 Million
IDT Corp. Class B IDT SH 2807 118 Million
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i3 Verticals Inc IIIV SH 4863 118 Million
Amneal Pharmaceuticals Inc AMRX SH 21952 117 Million
Crawford & Co Class A CRD.A SH 12912 116 Million
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Ideaya Biosciences Inc IDYA SH 4549 116 Million
Sema4 Holdings Corp SMFR SH 15223 116 Million
China Southern Airlines Co Ltd. ADR ZNH SH 4141 115 Million
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KLX Energy Services Holdings Inc KLXE SH 24125 115 Million
Newpark Resource Inc NR SH 34428 114 Million
Citizens Inc., Class A CIA SH 18354 114 Million
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CorMedix Inc CRMD SH 24410 114 Million
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Silvercrest Asset Management Group Inc SAMG SH 7301 114 Million
ProShares Ultra Financials UYG SH 1800 114 Million
Unity Biotechnology Inc UBX SH 38041 114 Million
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Perpetua Resources PPTA SH 22890 114 Million
SSgA SPDR S&P 400 Mid Cap Growth ETF MDYG SH 1500 113 Million
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COCRYSTAL PHARMA INC COCP SH 107529 113 Million
MINISO Group Holding Ltd ADS MNSO SH 7389 113 Million
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Omega Flex Inc OFLX SH 788 112 Million
Orrstown Financial Services Inc ORRF SH 4800 112 Million
Blue Bird Corp BLBD SH 5390 112 Million
Atlanticus Holdings Corp ATLC SH 2088 111 Million
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Transcat, Inc. TRNS SH 1715 111 Million
Tillys Inc TLYS SH 7947 111 Million
Micro Focus International PLC MFGP SH 20482 111 Million
Amplify Transformational Data Sharing ETF BLOK SH 2485 111 Million
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Mission Produce, Inc. AVO SH 6060 111 Million
908 Devices Inc. MASS SH 3422 111 Million
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Clearfield Inc. CLFD SH 2492 110 Million
Cisco Systems, Inc. CSCO CALL 2000 109 Million
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Poseida Therapeutics, Inc. PSTX SH 14972 109 Million
DiDi Global Inc DIDIY SH 14000 109 Million
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Akers Biosciences Inc MYMD SH 15000 108 Million
US Xpress Enterprises Inc USX SH 12567 108 Million
Capital Bancorp Inc CBNK SH 4496 108 Million
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Misonix Inc. MSON1 SH 4230 107 Million
Voya Infrastructure, Industrials and Materials Fund IDE SH 8485 107 Million
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AGEAGLE AERIAL SYSTEMS INC UAVS SH 35682 107 Million
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Intapp Inc INTA SH 4152 107 Million
Erasca Inc ERAS SH 5029 107 Million
Grupo Aeroportuario del Centro Norte SAB de CV ADR OMAB SH 2254 106 Million
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Landmark Infrastructure Partners LP, 8.00% Series A Cumulative Redeemable Perpetual Preferred Units LMRKP SH 6500 106 Million
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China Liberal Education Holdings Ltd CLEU SH 49835 106 Million
Cano Health, Inc CANO SH 8355 106 Million
Limoneira Co. LMNR SH 6464 105 Million
Invesco California AMT-Free Municipal Bond ETF PWZ SH 3795 105 Million
Change Healthcare Inc Units CHNGU SH 1507 105 Million
Gatos Silver, Inc. GATO SH 8993 105 Million
Yellow Corporation YELL SH 18646 105 Million
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Invesco Mortgage Capital Inc IVR SH 33146 104 Million
Turtle Beach Corporation HEAR SH 3754 104 Million
Fidelity MSCI Consumer Discretionary Index ETF FDIS SH 1292 104 Million
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ONE Group Hospitality Inc STKS SH 9505 102 Million
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TriplePoint Venture Growth BDC Corp TPVG SH 6444 102 Million
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GTY Technology Holdings Inc GTYH SH 13534 102 Million
NuCana PLC ADR NCNA SH 39410 102 Million
Invesco Dynamic Pharmaceuticals ETF- PJP SH 1303 101 Million
Meta Data Limited AIU SH 206246 101 Million
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Reviva Pharmaceuticals Holdings, Inc. RVPH SH 24806 101 Million
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H.I.G. Acquisition Corp. HIGA SH 10299 101 Million
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ProShares UltraPro Short Russell2000 SRTY SH 10331 100 Million
Trepont Acquisition I Corp. TACA SH 10000 100 Million
Voya Global Advantage and Premium Opportunity Fund IGA SH 10000 99 Million
Invesco S&P 500 Top 50 ETF- XLG SH 299 99 Million
Mid Penn Bancorp, Inc. MPB SH 3591 99 Million
Chimerix Inc CMRX SH 16019 99 Million
Aravive Inc ARAV SH 26660 99 Million
Invesco BulletShares 2026 Corporate Bond ETF BSCQ SH 4640 99 Million
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Virtus InfraCap U.S. Preferred Stock ETF PFFA SH 3965 99 Million
Verrica Pharmaceuticals Inc VRCA SH 7928 99 Million
Eaton Vance Tax-Managed Diversified Equity Income Fund ETY SH 7000 98 Million
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Mereo BioPharma Group Plc MREO SH 40585 98 Million
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KL Acquisition Corp KLAQ SH 9999 98 Million
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Prometheus Biosciences Inc RXDX SH 4123 98 Million
Monument Circle Acquisition Corp Class A MON SH 10000 98 Million
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Lazard Global Total Return and Income Fund Inc LGI SH 4862 97 Million
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Abcam PLC ADS ABCM SH 4781 97 Million
Intevac Inc. IVAC SH 20000 96 Million
Braskem S.A. ADR BAK SH 4406 96 Million
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Invesco S&P SmallCap Information Technology ETF PSCT SH 690 96 Million
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Invesco NASDAQ Internet ETF- PNQI SH 400 95 Million
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Sana Biotechnology Inc SANA SH 4215 95 Million
Howard Bancorp Inc. (MD) HBMD SH 4648 94 Million
Nuveen AMT-Free Municipal Value Fund NUW SH 5513 94 Million
WAVE Life Sciences Ltd WVE SH 19214 94 Million
EATON VANCE FLOATING-RATE 2022 TARGET TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST EFL SH 10000 94 Million
360 DigiTech Inc QFIN SH 4647 94 Million
Stoke Therapeutics Inc STOK SH 3680 94 Million
Oncorus, Inc. ONCR SH 10017 94 Million
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Kins Technology Group Inc. KINZ SH 9498 94 Million
ChipMOS Technologies Inc IMOS SH 2728 93 Million
San Juan Basin Royalty Trust SJT SH 18289 93 Million
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HF Foods Group Inc HFFG SH 15443 93 Million
Autolus Therapeutics PLC AUTL SH 14191 93 Million
Xometry Inc XMTR SH 1610 93 Million
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Superior Industries International Inc. SUP SH 13053 92 Million
iShares U.S. Pharmaceuticals ETF- IHE SH 500 92 Million
Barings Participation Investors MPV SH 6635 92 Million
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iShares MSCI Norway ETF ENOR SH 3200 92 Million
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Alexanders, Inc. ALX SH 349 91 Million
Annexon, Inc. ANNX SH 4907 91 Million
Nuveen Dividend Advantage Municipal Fund 3 NZF SH 5400 90 Million
Startek Inc. SRT SH 16338 90 Million
First Trust Natural Gas ETF- FCG SH 5374 90 Million
iShares Core Conservative Allocation ETF AOK SH 2275 90 Million
Schwab U.S. TIPS ETF- SCHP SH 1443 90 Million
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ZK International Group Co Ltd ZKIN SH 32154 90 Million
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Lifetime Brands Inc LCUT SH 4866 89 Million
Source Capital, Inc. SOR SH 2000 89 Million
Willdan Group Inc WLDN SH 2495 89 Million
Logan Ridge Finance Corporation LRFC SH 3474 89 Million
ACORDA THERAPEUTICS INC CDG0:FWB2 SH 19426 89 Million
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Village Super Market Inc., Class A VLGEA SH 4080 88 Million
KVH Industries Inc. KVHI SH 9105 88 Million
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WisdomTree Floating Rate Treasury Fund USFR SH 3487 88 Million
CTO Realty Growth Inc CTO+A SH 1642 88 Million
FTC Solar Inc FTCI SH 11341 88 Million
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Angion Biomedica Corp ANGN SH 8925 87 Million
Credit Suisse High Yield Bond Fund DHY SH 35000 86 Million
First Trust Financials AlphaDEX Fund FXO SH 1941 86 Million
Siren Nasdaq NexGen Economy ETF- BLCN SH 1925 86 Million
MYT Netherlands Parent B.V. ADS MYTE SH 3199 86 Million
Climate Real Impact Solutions II Acquisition Corp. CLIM.UN SH 8600 86 Million
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iRadimed Corp IRMD SH 2534 85 Million
Spruce Biosciences, Inc. SPRB SH 14065 85 Million
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Idera Pharmaceuticals Inc IDRA SH 80859 83 Million
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89bio, Inc. ETNB SH 4259 83 Million
Century Casinos Inc CNTY SH 6112 82 Million
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Central Securities Corp CET SH 1942 82 Million
Daily Journal Corp (SC) DJCO SH 256 82 Million
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Evolution Petroleum Corp Inc EPM SH 14237 81 Million
SPDR(R) Bloomberg Short Term International Treasury Bond ETF- BWZ SH 2595 81 Million
CytomX Therapeutics Inc CTMX SH 15976 81 Million
DTF Tax-Free Income 2028 Term Fund Inc DTF SH 5509 80 Million
ProShares Online Retail ETF ONLN SH 1224 80 Million
Nkarta, Inc. NKTX SH 2875 80 Million
Velo3D Inc VLD SH 9515 80 Million
Immunocore Holdings PLC IMCR SH 2153 80 Million
Central and Eastern Europe Fund Inc (The) CEE SH 2733 79 Million
Franklin Liberty Short Duration U.S. Government ETF- FTSD SH 830 79 Million
Guggenheim BulletShares 2027 Corporate Bond ETF BSCR SH 3620 79 Million
Vanguard U.S. Multifactor ETF VFMF SH 790 79 Million
Frequency Therapeutics Inc FREQ SH 11255 79 Million
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Direxion Daily Semiconductor Bull 3X Shares SOXL SH 1950 78 Million
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MediaAlpha, Inc. MAX SH 4161 78 Million
iShares India 50 ETF- INDY SH 1500 77 Million
Direxion Daily Junior Gold Miners Index Bear 2X Shares JDST SH 5375 77 Million
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Heritage Insurance Holdings Inc HRTG SH 11118 76 Million
ETCT EMQQ The Emerging Markets Internet and Ecommerce ETF EMQQ SH 1540 76 Million
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OncoCyte Corp OCX SH 21270 76 Million
Brookfield Business Partners LP Units BBU SH 1662 76 Million
Preformed Line Products Co PLPC SH 1152 75 Million
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Empire State Realty OP L.P. ESBA SH 7494 75 Million
Adicet Bio, Inc ACET SH 9564 75 Million
Codiak BioSciences, Inc. CDAK SH 4570 75 Million
Cadiz Inc. CDZI SH 10558 74 Million
CTI BioPharma Corp CTIC SH 25111 74 Million
Nuveen Real Estate Income Fund. JRS SH 7000 74 Million
China Eastern Airlines Corp. ADR CEA SH 3881 74 Million
Voya Emerging Markets High Dividend Equity Fund IHD SH 10000 74 Million
Genius Brnds Int GNUS SH 54299 74 Million
Baozun Inc ADR BZUN SH 4207 74 Million
Cambium Networks Corp CMBM SH 2037 74 Million
So-Young International Inc SY SH 17435 74 Million
ThredUp Inc TDUP SH 3424 74 Million
WisdomTree U.S. AI Enhanced Value Fund-N/A AIVL SH 777 73 Million
Allied Motion Technologies Inc AMOT SH 2322 73 Million
First United Corp. FUNC SH 3942 73 Million
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Score Media and Gaming Sub Vot Class A SCR SH 2135 73 Million
Vertex, Inc. VERX SH 3791 73 Million
BioAtla, Inc. BCAB SH 2450 73 Million
BlackRock MuniHoldings Investment Quality Fund MFL SH 4984 72 Million
Schwab International Small-Cap Equity ETF SCHC SH 1736 72 Million
Braemar Hotels & Resorts Inc BHR SH 14772 72 Million
HyreCar Inc HYRE SH 8438 72 Million
Harmony Gold Mining Co. Ltd. ADR HMY SH 22416 71 Million
Key Tronics Corp. KTCC SH 10908 71 Million
SPDR S&P Emerging Asia Pacific ETF GMF SH 575 71 Million
Xunlei Ltd ADR XNET SH 24996 71 Million
Byrna Technologies Inc BYRN SH 3262 71 Million
SecureWorks Corp SCWX SH 3562 71 Million
iShares ESG Aware USD Corporate Bond ETF- SUSC SH 2566 71 Million
F45 Training Holdings Inc FXLV SH 4759 71 Million
TransAct Technologies Inc TACT SH 5000 70 Million
Pure Cycle Corp PCYO SH 5264 70 Million
Eros Media World PLC EMWP SH 75922 70 Million
GreenTree Hospitality Grp Ltd ADS GHG SH 8533 70 Million
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Mind Medicine Inc MNMD SH 30000 70 Million
Blue Foundry Bancorp BLFY SH 5057 70 Million
Invesco S&P MidCap Momentum ETF- XMMO SH 817 69 Million
New York Community Capital Trust V, BONUSES Units due 11/1/2051 NYCB+U SH 1290 69 Million
eGain Corp EGAN SH 6750 69 Million
First Trust Dow Jones Global Select Dividend Index Fund FGD SH 2770 69 Million
Hemisphere Media Group Inc HMTV SH 5629 69 Million
Associated Capital Group Inc AC SH 1852 69 Million
ShotSpotter Inc SSTI SH 1907 69 Million
HBT Financial, Inc. HBT SH 4421 69 Million
Recursion Pharmaceuticals Inc RXRX SH 2996 69 Million
UGI Corp UGIC SH 690 69 Million
Invesco India ETF PIN SH 2400 68 Million
VanEck Rare Earth/Strategic Metals ETF REMX SH 655 68 Million
JPMorgan Diversified Return Emerging Markets Equity ETF JPEM SH 1172 68 Million
Finance of America Companies Inc FOA SH 13728 68 Million
Impel Neuropharma Inc IMPL SH 5548 68 Million
Full House Resorts Inc FLL SH 6296 67 Million
United Airlines Holdings Inc UAL PUT 1400 67 Million
Cohen & Steers REIT & Preferred And Inco RNP SH 2600 67 Million
WisdomTree U.S. High Dividend Fund-N/A DHS SH 873 67 Million
Invesco S&P 500 Pure Growth ETF- RPG SH 346 67 Million
Natures Sunshine Products Inc NATR SH 4602 67 Million
First Trust Technology AlphaDEX Fund FXL SH 548 67 Million
TRITERRAS INC-CLASS A TRIT SH 11507 67 Million
Ontrak Inc. (Hythiam - Catasys) OTRK SH 6623 66 Million
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Westport Fuel WPRT SH 20000 66 Million
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Horizon Global Corp HZN SH 9417 66 Million
Prelude Therapeutics Inc. PRLD SH 2118 66 Million
Sigilon Therapeutics, Inc. SGTX SH 11747 66 Million
Zymergen Inc ZY SH 5008 66 Million
Lesaka Technologies Inc LSAK SH 13988 65 Million
Seabridge Gold Inc SA SH 4231 65 Million
Direxion Daily Technology Bull 3X Shares TECL SH 1150 65 Million
ETFS Physical Platinum Shares PPLT SH 719 65 Million
Ovid Therapeutics Inc OVID SH 19229 65 Million
Arcutis Biotherapeutics, Inc. ARQT SH 2701 65 Million
Quantum Corp QMCO SH 12396 64 Million
VanEck Biotech ETF BBH SH 315 64 Million
Natural Grocers By Vitamin Cottage, Inc. NGVC SH 5724 64 Million
SPDR MSCI ACWI Climate Paris Aligned ETF NZAC SH 512 64 Million
Rimini Street Inc RMNI SH 6611 64 Million
Red River Bancshares Inc RRBI SH 1292 64 Million
Skywater Technology Inc SKYT SH 2339 64 Million
Team Inc TISI SH 20792 63 Million
Industrias Bachoco S.A. de C.V. ADS ADR IBA SH 1425 63 Million
Invesco S&P 500 Equal Weight Utilities ETF- RYU SH 616 63 Million
Fidelity Total Bond ETF FBND SH 1179 63 Million
Selecta Biosciences Inc SELB SH 15123 63 Million
KANZHUN LTD BZ SH 1744 63 Million
Lexicon Pharmaceuticals Inc LXRX SH 12991 62 Million
United Insurance Holdings Corp UIHC SH 17017 62 Million
Organovo Holdings Inc ONVO SH 9054 62 Million
Amplify Lithium & Battery Technology ETF BATT SH 3612 62 Million
EHang Holdings Ltd. ADS EH SH 2595 62 Million
The Original BARK Company BARK SH 9054 62 Million
Accuray, Inc. ARAY SH 15567 61 Million
Xoma Corporation XOMA SH 2468 61 Million
Unity Bancorp, Inc. UNTY SH 2600 61 Million
First Trust Capital Strength ETF- FTCS SH 818 61 Million
iShares Asia 50 ETF- AIA SH 775 61 Million
Guggenheim Taxbl Muni Bnd & Invtmnt Grd Debt Trst Com Shrs Of benf Int GBAB SH 2500 61 Million
FlexShares Quality Dividend Defensive Index Fund QDEF SH 1150 61 Million
Gordon Pointe Acquisition Corp HOFV SH 23047 61 Million
Invesco BulletShares 2028 Corporate Bond ETF BSCS SH 2670 61 Million
Tiziana Life Sciences Ltd TLSA SH 41887 61 Million
UMH Properties, Inc. UMH SH 2600 60 Million
BlackRock MuniYield California Quality Fund Inc MCA SH 3766 60 Million
Invesco Municipal Income Opportunities Trust OIA SH 7485 60 Million
Origin Agritech Limited SEED SH 7307 60 Million
iShares MSCI Global Agriculture Producers ETF VEGI SH 1540 60 Million
iShares Global REIT ETF- REET SH 2187 60 Million
WM Technology Inc MAPS SH 4150 60 Million
Mesabi Trust SBI MSB SH 2000 59 Million
Nathans Famous Inc. NATH SH 964 59 Million
Putnam Municipal Opportunities Trust PMO SH 4278 59 Million
Riley Exploration Permian Inc REPX SH 2515 59 Million
Barron`s 400 ETF BFOR SH 1000 59 Million
First Trust Dorsey Wright Focus 5 ETF FV SH 1287 59 Million
Boxlight Corp BOXL SH 26272 59 Million
Advent Technologies Holdings Inc ADN SH 6826 59 Million
Acutus Medical, Inc. AFIB SH 6681 59 Million
Mirion Technologies Inc. MIR SH 5800 59 Million
Ozon Holdings PLC OZON SH 1172 59 Million
Enersis Americas SA ADR ENIA SH 9871 58 Million
BlackRock MuniVest Fund, Inc MVF SH 6127 58 Million
Pacer Trendpilot US Mid Cap ETF- PTMC SH 1654 58 Million
Peck Company Holdings Inc ISUN SH 7013 58 Million
Niu Technologies NIU SH 2519 58 Million
Lantern Pharma Inc. LTRN SH 5203 58 Million
Sensei Biotherapeutics Inc SNSE SH 5481 58 Million
Gold Royalty Corp. GROY SH 11515 58 Million
Turing Holding Corp TWKS SH 2005 58 Million
John Hancock Preferred Income Fund HPI SH 2671 57 Million
Centrais Electricas Pfd ADR EBR.B SH 7938 57 Million
RedHill Biopharma Ltd. ADR RDHL SH 12350 57 Million
Btrs Holdings Inc BTRS SH 5397 57 Million
ProShares Ultra Russell2000 UWM SH 1033 56 Million
Nuveen Select Maturities Municipal Fund NIM SH 5200 56 Million
Dyadic International Inc DYAI SH 10000 56 Million
First Trust NASDAQ-100-Technology Sector Index Fund- QTEC SH 357 56 Million
SPDR Dow Jones Global Real Estate ETF RWO SH 1090 56 Million
Sharps Compliance Corp SMED SH 6783 56 Million
AC Immune SA ACIU SH 8398 56 Million
Kezar Life Sciences Inc KZR SH 6530 56 Million
WisdomTree Cloud Computing Fund WCLD SH 980 56 Million
Gerdau SA ADR GGB SH 11164 55 Million
iShares U.S. Regional Banks ETF- IAT SH 916 55 Million
DZS Inc DZSI SH 4452 55 Million
Newegg Commerce Inc NEGG SH 3866 55 Million
Tonix Pharmaceuticals Holding Corp TNXP SH 91088 55 Million
Mustang Bio Inc MBIO SH 20409 55 Million
Panacea Acquisition Corp NUVB SH 5542 55 Million
CS Disco Inc LAW SH 1137 55 Million
Nuveen Preferred & Income Securities Fund JPS SH 5492 54 Million
Western Asset Emerging Markets Debt Fund Inc EMD SH 4000 54 Million
New Age Beverages Corp NBEV SH 38780 54 Million
Tekla World Healthcare Fund THW SH 3275 54 Million
Gamida Cell Ltd GMDA SH 13655 54 Million
LAVA Therapeutics BV LVTX SH 9070 54 Million
America Movil S.A.B. de C.V. ADR AMOV SH 3003 53 Million
Grupo Financiero Galicia S.A. ADR GGAL SH 5231 53 Million
21Vianet Group Inc ADR VNET SH 3068 53 Million
BTC iShares Morningstar Multi-Asset Income ETF IYLD SH 2200 53 Million
Grupo Aval Acciones y Valores S.A. ADR AVAL SH 9131 53 Million
NI Holdings Inc NODK SH 3017 53 Million
Verona Pharma PLC ADR VRNA SH 9710 53 Million
Azul SA ADR AZUL SH 2630 53 Million
Root, Inc. ROOT SH 10143 53 Million
Latch Inc LTCH SH 4701 53 Million
Teekay Corp. TK SH 14076 52 Million
StoneCastle Financial Corp BANX SH 2350 52 Million
Goldman Sachs Equal Weight U.S. Large Cap Equity ETF GSEW SH 783 52 Million
PlayAGS Inc AGS SH 6567 52 Million
Coastal Financial Corp CCB SH 1635 52 Million
Pioneer Bancorp Inc PBFS SH 4116 52 Million
Compania de Minas Buenaventura S.A. ADR BVN SH 7560 51 Million
Westwater Resources Inc WWR SH 14358 51 Million
Stereotaxis Inc STXS SH 9564 51 Million
Medicinova Inc MNOV SH 13412 51 Million
Hennessy Advisors Inc HNNA SH 5256 51 Million
Asensus Surgical Inc ASXC SH 27562 51 Million
Aurinia Pharmaceuticals Inc AUPH SH 2317 51 Million
HARTFORD TOTAL RETURN BOND ETF HTRB SH 1250 51 Million
Casa Systems Inc CASA SH 7552 51 Million
Invesco BulletShares 2026 High Yield Corporate Bond ETF BSJQ SH 2000 51 Million
Innovator Loup Frontier Tech ETF LOUP SH 1000 51 Million
Invesco BulletShares 2027 High Yield Corporate Bond ETF BSJR SH 2000 51 Million
Cabaletta Bio, Inc. CABA SH 4203 51 Million
ROBO Global(R) Artificial Intelligence ETF- THNQ SH 1195 51 Million
Invesco BulletShares 2028 High Yield Corporate Bond ETF BSJS SH 2000 51 Million
CONX Corp. CONXU SH 5112 51 Million
N-able Inc NABL SH 4095 51 Million
Nuveen S&P 500 Buy-Write Income Fund BXMX SH 3530 50 Million
Biocept Inc BIOC SH 12593 50 Million
BTC iShares Convertible Bond ETF ICVT SH 500 50 Million
Zedge Inc ZDGE SH 3716 50 Million
Invesco BulletShares 2024 High Yield Corporate Bond ETF BSJO SH 2000 50 Million
Aprea Therapeutics Inc APRE SH 9708 50 Million
DIREXION SHS ETF TR DAILY TECH BEAR TECS SH 10409 50 Million
Clever Leaves Holdings Inc. CLVR SH 6388 50 Million
Freightcar America Inc RAIL SH 10862 49 Million
Biglari Holdings, Inc. BH SH 284 49 Million
Invesco CEF Income Composite ETF PCEF SH 2030 49 Million
FlexShares Morningstar Emerging Markets Factor Tilt Index Fund TLTE SH 800 49 Million
Leap Therapeutics Inc LPTX SH 12120 49 Million
Kala Pharmaceuticals Inc KALA SH 18879 49 Million
Guggenheim BulletShares 2025 High Yield Corporate Bond ETF BSJP SH 2000 49 Million
Eyenovia Inc EYEN SH 10000 49 Million
Pacer Trendpilot International ETF- PTIN SH 1725 49 Million
VENUS CONCEPT ORD SHS VERO SH 19586 49 Million
Tarsus Pharmaceuticals, Inc. TARS SH 2274 49 Million
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Celestica Inc CLS SH 5446 48 Million
New America High Income Fund Inc HYB SH 4992 48 Million
BNY Mellon High Yield Strategies Fund DHF SH 15000 48 Million
Pimco Municipal Income Fund II PML SH 3269 48 Million
Molecular Templates Inc MTEM SH 7162 48 Million
Schwab Fundamental International Large Company Index ETF- FNDF SH 1474 48 Million
iShares MSCI Intl Quality Factor ETF IQLT SH 1259 48 Million
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Avrobio Inc AVRO SH 8588 48 Million
East Resources Acquisition Co ERESU SH 4684 48 Million
Figs Inc FIGS SH 1286 48 Million
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Western Asset Managed Municipals Fund Inc MMU SH 3500 47 Million
Ordinary Shares CASI SH 39297 47 Million
ProShares UltraPro Russell2000 URTY SH 478 47 Million
Schwab Fundamental U.S. Large Company Index ETF- FNDX SH 873 47 Million
Hepion Pharmaceuticals Inc HEPA SH 31000 47 Million
Guggenheim BulletShares 2024 Corporate Bond ETF BSCO SH 2110 47 Million
Ashford Inc AINC SH 3233 47 Million
Pacer Trendpilot European Index ETF- PTEU SH 1932 47 Million
Jounce Therapeutics Inc JNCE SH 6367 47 Million
Ponce Financial Group Inc PDLB SH 3278 47 Million
FTS International Inc FTSI SH 1891 47 Million
Legacy Housing Corp LEGH SH 2607 47 Million
Global X Cloud Computing ETF CLOU SH 1616 47 Million
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Drive Shack Inc DS SH 16518 46 Million
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India Fund Inc IFN SH 1992 46 Million
Flexsteel Industries Inc. FLXS SH 1499 46 Million
Axovant Gene Therapies Ltd SIOX SH 21256 46 Million
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Hamilton Beach Brands Holding Co HBB SH 2917 46 Million
enVVeno Medical Corporation NVNO SH 4438 46 Million
Biodesix, Inc. BDSX SH 5633 46 Million
Sohucom Ltd ADS SOHU SH 2182 45 Million
iShares Morningstar Small-Cap Growth ETF- ISCG SH 906 45 Million
BlackRock Municipal Income Quality Trust BYM SH 2945 45 Million
SSgA SPDR S&P Emerging Markets ETF SPEM SH 1064 45 Million
Harvard Bioscience Inc HBIO SH 6387 45 Million
Sprott Inc SII SH 1240 45 Million
Ellington Residential Mortgage REIT EARN SH 4074 45 Million
HUYA Inc HUYA SH 5357 45 Million
Pimco Municipal Income Fund PMF SH 3000 44 Million
Iteris Inc ITI SH 8319 44 Million
Hudbay Minerals Inc HBM SH 7000 44 Million
Direxion Daily S&P 500 Bull 3X Shares SPXL SH 412 44 Million
Direxion Daily Small Cap Bear 3X Shares TZA SH 1412 44 Million
iBio Inc IBIO SH 41527 44 Million
Bit Brother Limited BTB SH 51884 44 Million
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Exagen Inc XGN SH 3247 44 Million
NeoGames S.A. NGMS SH 1201 44 Million
Pfizer, Inc. PFE CALL 1000 43 Million
Carrols Restaurant Group Inc TAST SH 11776 43 Million
Gabelli Utility Trust-The GUT SH 5493 43 Million
BlackRock Credit Allocation Income Trust BTZ SH 2855 43 Million
Rada Electronic Industries Ltd. RADA SH 4000 43 Million
Invesco Dow Jones Industrial Average Dividend ETF- DJD SH 1000 43 Million
IMV INC IMV:TSE SH 25999 43 Million
Hookipa Pharma Inc HOOK SH 7254 43 Million
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Fennec Pharmaceuticals Inc FENC SH 4489 42 Million
Invesco California Value Municipal Income Trust VCV SH 3008 42 Million
Maiden Holdings Ltd MHLD SH 13396 42 Million
WisdomTree Emerging Markets ex-State-Owned Enterprises Fund-N/A XSOE SH 1115 42 Million
Enel Chile S.A. ADS ADR ENIC SH 17506 42 Million
Emerald Expositions Events Inc EEX SH 9763 42 Million
Celcuity Inc CELC SH 2337 42 Million
Fathom Holdings Inc. FTHM SH 1563 42 Million
Salem Media Group Inc SALM SH 11000 41 Million
Invesco Credit Opportunities Fund VTA1 SH 3505 41 Million
Global X Social Media ETF SOCL SH 680 41 Million
Pieris Pharmaceuticals Inc PIRS SH 8001 41 Million
SPDR DoubleLine Short Duration Total Return Tactical ETF STOT SH 828 41 Million
JPMorgan USD Emerging Markets Sovereign Bond ETF- JPMB SH 838 41 Million
Viomi Technology Co Ltd VIOT SH 9075 41 Million
Laird Superfood, Inc. LSF SH 2133 41 Million
Sharecare Inc SHCR SH 5000 41 Million
Joann Inc JOAN SH 3662 41 Million
Neuberger Berman Next Generation Connect NBXG SH 2156 41 Million
Icosavax Inc ICVX SH 1371 41 Million
Invesco Municipal Opportunity Trust VMO SH 2921 40 Million
Natuzzi SpA NTZ SH 2439 40 Million
InfuSystems Holdings Inc INFU SH 3036 40 Million
United States Brent Crude Oil Fund BNO SH 1960 40 Million
Amplify BlackSwan Growth & Treasury Core ETF SWAN SH 1173 40 Million
Greenwich LifeSciences, Inc. GLSI SH 1024 40 Million
Instil Bio Inc TIL SH 2211 40 Million
VanEck Low Carbon Energy ETF- SMOG SH 260 39 Million
Shore Bancshares Inc SHBI SH 2178 39 Million
Hallador Energy Co HNRG SH 13317 39 Million
Invesco BulletShares 2022 Corporate Bond ETF BSCM SH 1794 39 Million
iShares International Dividend Growth ETF- IGRO SH 600 39 Million
180 Life Sciences Corp ATNF SH 7153 39 Million
Freedom Holding Corp FRHC SH 628 39 Million
Entera Bio Ltd ENTX SH 8345 39 Million
Oyster Point Pharma, Inc. OYST SH 3255 39 Million
PLAYSTUDIOS Inc MYPS SH 8566 39 Million
Vertical Aerospace Ltd EVTL SH 3900 39 Million
Alignment Healthcare Inc ALHC SH 2452 39 Million
Instructure Holdings Inc INST SH 1742 39 Million
Adagio Therapeutics Inc ADGI SH 912 39 Million
Eaton Vance Senior Floating-Rate Trust EFR SH 2599 38 Million
Distribution Solutions Group Inc DSGR SH 758 38 Million
(DELISTED IN WCA) Ordinary Shares MLPX SH 1051 38 Million
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Clene Inc CLNN SH 5493 38 Million
NextCure Inc NXTC SH 5575 38 Million
IMARA Inc. IMRA SH 9348 38 Million
Monday.Com Ltd MNDY SH 115 38 Million
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund ETW SH 3446 37 Million
Constellation Brands, Inc. Class B STZ.B SH 176 37 Million
B2Gold Corp BTG SH 10871 37 Million
Assembly Biosciences Inc ASMB SH 10767 37 Million
Immutep Ltd ADR IMMP SH 9628 37 Million
Marin Software Inc MRIN SH 4080 37 Million
MiX Telematics Ltd ADR MIXT SH 3004 37 Million
For The Earth Corp FTEC SH 312 37 Million
First Trust Rising Dividend Achievers ETF RDVY SH 775 37 Million
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Bain Capital Specialty Finance Inc BCSF SH 2500 37 Million
Mirum Pharmaceuticals Inc MIRM SH 1848 37 Million
Eaton Vance Enhanced Equity Income Fund EOI SH 2031 36 Million
BlackRock Muniassets Fund Inc MUA SH 2338 36 Million
Union Bankshares Inc UNB SH 1132 36 Million
MakeMyTrip Ltd MMYT SH 1314 36 Million
Sandstorm Gold Ltd SAND SH 6270 36 Million
Alpine Immune Sciences Inc ALPN SH 3336 36 Million
Pacer Benchmark Data & Infrastructure Real Estate SCTRSM ETF- SRVR SH 930 36 Million
BIOMX ORD SHS PHGE SH 11863 36 Million
Velocity Financial, Inc. VEL SH 2757 36 Million
Trean Insurance Group, Inc. TIG SH 3467 36 Million
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Frontier Group Holdings Inc ULCC SH 2275 36 Million
CompX International, Inc. Class A CIX SH 1666 35 Million
ProShares Short Russell2000 RWM SH 1625 35 Million
Willis Lease Finance Corp. WLFC SH 931 35 Million
First Business Financial Services Inc FBIZ SH 1236 35 Million
Schwab U.S. Large-Cap Value ETF SCHV SH 519 35 Million
Vincerx Pharma Inc VINC SH 2189 35 Million
Yalla Group Ltd ADS YALA SH 4677 35 Million
Polymet Mining Corp PLM SH 11211 34 Million
Nuveen Massachusetts Premium Income Municipal Fund. NMT SH 2185 34 Million
Platinum Group Metals Ltd PLG SH 16808 34 Million
Gold Resource Corp GORO SH 21653 34 Million
Portage Biotech Inc PRTG SH 1678 34 Million
MagnaChip Semiconductor Corp MX SH 1937 34 Million
ETCT YieldShares High Income ETF YYY SH 2000 34 Million
Barings Global Short Duration High Yield Fund BGH SH 2000 34 Million
Harpoon Therapeutics Inc HARP SH 4351 34 Million
Wheels Up Experience Inc UP SH 5104 34 Million
PubMatic, Inc. PUBM SH 1282 34 Million
Inmune Bio Inc INMB SH 1700 33 Million
Avantis Emerging Markets Equity ETF AVEM SH 505 33 Million
Joby Aviation Inc JOBY SH 3305 33 Million
1stdibs.Com Inc DIBS SH 2729 33 Million
Rigel Pharmaceuticals Inc RIGL SH 8869 32 Million
Permian Basin Royalty Trust UBI PBT SH 5575 32 Million
YPF S.A. ADR YPF SH 6915 32 Million
Cronos Group Inc CRON SH 5655 32 Million
Direxion Daily Financial Bear 3x Shares FAZ SH 1367 32 Million
Global X SuperDividend U.S. ETF DIV SH 1635 32 Million
Controladora Vuela Co de Aviacion S.A.B. de C.V. ADR VLRS SH 1454 32 Million
Zealand Pharma A/S ADR ZEAL SH 1102 32 Million
Odonate Therapeutics Inc ODT SH 11100 32 Million
Plan Vista Corp. HPS SH 1678 31 Million
EVI Industries Inc EVI SH 1122 31 Million
Gabelli Multimedia Trust Inc.-The GGT SH 3442 31 Million
Milestone Scientific Inc MLSS SH 16543 31 Million
Invesco S&P 500 Equal Weight Consumer Staples ETF- RHS SH 200 31 Million
Arcos Dorados Holdings Inc ARCO SH 6063 31 Million
First Trust Energy Infrastructure Fund FIF SH 2448 31 Million
VictoryShares US Small Cap High Div Volatility Wtd ETF CSB SH 548 31 Million
Matterport Inc MTTR SH 1650 31 Million
Nextdoor Holdings Inc KIND SH 3000 31 Million
Akoya Biosciences Inc AKYA SH 2203 31 Million
Neuropace Inc NPCE SH 1955 31 Million
Nuveen Floating Rate Income Fund JFR SH 3000 30 Million
iShares U.S. Financial Services ETF- IYG SH 159 30 Million
NL Industries Inc. (National Lead) NL SH 5212 30 Million
Invesco Dynamic Building & Construction ETF- PKB SH 625 30 Million
Largo Resources Ltd LGO SH 2809 30 Million
Invesco S&P 500 GARP ETF- SPGP SH 350 30 Million
Aspen Group Inc ASPU SH 5399 30 Million
Turquoise Hill Resources Ltd TRQ SH 2000 30 Million
ProShares UltraShort Russell2000 TWM SH 2110 30 Million
Sterling Bancorp Inc SBT SH 5753 30 Million
Lazydays Holdings Inc LAZY SH 1415 30 Million
iShares iBonds Dec 2028 Term Muni Bond ETF IBMQ SH 1110 30 Million
AIM IMMUNOTECH ORD SHS HXB2:FWB2 SH 15000 30 Million
XP Inc. XP SH 748 30 Million
FS Development Corp GMTX SH 7509 30 Million
WeWork Inc WE SH 3035 30 Million
Forian Inc. FORA SH 2953 30 Million
Ziprecruiter Inc ZIP SH 1092 30 Million
Dynatronics Corp. DYNT SH 20000 29 Million
VanEck Pharmaceutical ETF PPH SH 400 29 Million
Clipper Realty Inc CLPR SH 3577 29 Million
Target Hospitality Corp TH SH 7646 29 Million
DouYu International Holdings Ltd DOYU SH 8830 29 Million
BlueCity Holdings Ltd ADS BLCT SH 9690 29 Million
Edgewise Therapeutics Inc EWTX SH 1727 29 Million
EBET, Inc EBET SH 867 29 Million
John Hancock Preferred Income Fund II HPF SH 1313 28 Million
Companhia Siderurgica Nacional SA SID SH 5331 28 Million
BlackRock Enhanced Equity Dividend Trust BDJ SH 2898 28 Million
Invesco DWA Technology Momentum ETF- PTF SH 187 28 Million
Colony Bankcorp, Inc. CBAN SH 1491 28 Million
SPDR Morgan Stanley Technology ETF XNTK SH 178 28 Million
Bio-Rad Laboratories Inc Class B BIO.B SH 38 28 Million
VanEck Mortgage REIT Income ETF- MORT SH 1485 28 Million
BTC iShares MSCI United Kingdom Small-Cap ETF EWUS SH 600 28 Million
Immunic Inc IMUX SH 3215 28 Million
Global X SuperDividend REIT ETF SRET SH 2951 28 Million
ReShape Lifesciences Inc. RSLS SH 9595 28 Million
HeadHunter Group PLC HHR SH 576 28 Million
Creatd Inc. CRTD S