PLTR |
PALANTIR TECH INC |
0x84D94A9Fe08DD99C75f3965Ff82077D3a55b6Ec0 |
500 |
HOOD |
ROBINHOOD MARKETS INC |
0x1c2498F2a17c684DB61c0DEe2371c118C5ea3d5E |
500 |
COIN |
COINBASE GLOBAL INC |
0xD346A4cdA0762dBa2F353610518842c107BdB1d4 |
500 |
A |
AGILENT TECHNOLOGIES INC |
0x9b38E33624e605Ff66B406D18cbB59ad56B4409f |
500 |
AA |
ALCOA CORPORATION |
0x2348E60982ce72F1b62496ae20856fB10722B86f |
500 |
AACB |
ARTIUS II ACQUISITION INC |
0xFF5b9c2472d6D2e808EF55355C2189E67826cad0 |
500 |
AACBU |
ARTIUS II ACQUISITION INC UNIT 1 COM & RT (27/11/2029) |
0x85b70E5e8Ef305aF06828cE2139F628AC688Cc2b |
500 |
AACG |
ATA CREATIVITY GLOBAL SPON ADS EACH REP 2 ORD SHS |
0x0725203A5bea4F721F57533D7513CEd2bAbf3D83 |
500 |
AACI |
ARMADA ACQUISITION CORP II |
0xcbf5BeAA25a85854Bd223c1834f9fa0f96a6bFe2 |
500 |
AACIU |
ARMADA ACQUISITION CORP II UNIT 1 ORD CL A & 1/2 WT (21/05/2030) |
0xb80Abad54ffAAABf8fF190BECB03ed25b2f54e77 |
500 |
AACT |
ARES ACQUISITION CORPORATION II |
0x0eB11c86D8303c808E200daFE7CAb9c818325C37 |
500 |
AACT.U |
ARES ACQUISITION CORPORATION II UNIT 1 CL A & 1/2 WT |
0x4d5Cd9a34867Bd0Cee4c5929cD179329ca54A61E |
500 |
AAM |
AA MISSION ACQUISITION CORP. |
0x37e641a83246149c35D3dbf9DBcD1c8e500B7342 |
500 |
AAM.U |
AA MISSION ACQUISITION CORP. UNITS(1 ORD A & 1/2 WT) |
0x545cf49274c2Cb31D0a301FA140738AFd258513B |
500 |
AAME |
ATLANTIC AMERICAN CORP |
0xbBd8430817F215bc72437Cb417cFDcba50455b5C |
500 |
AAMI |
ACADIAN ASSET MANAGEMENT INC |
0x2b95214911dF2381aDc9053aC1b5482A90F3d61d |
500 |
AAOI |
APPLIED OPTOELECTRONICS INC |
0x8996F5172496CbC59345030058CDe03AcAeEc231 |
500 |
AAON |
AAON INC |
0xc56B671b7eb812B60208Ff6C7D2950D595f67f82 |
500 |
AAP |
ADVANCE AUTO PARTS INC |
0x5872dB852238a54C5bD64E51f41E7E53D61fa478 |
500 |
AAPG |
ASCENTAGE PHARMA GROUP INTL SPON ADS EACH REP 4 ORD SHS |
0xA71FFd83501a0f210fE0DfCcB2097070Fd3Cc56C |
500 |
AAPL |
APPLE INC |
0x02eE7B622FeEE18A8fC3226cd5d8CD9DE548BF6F |
500 |
AAT |
AMERICAN ASSETS TRUST INC |
0x0F14DF260984c3a36F20F3c2BcFAbE017a75509D |
500 |
AAUC |
ALLIED GOLD CORP |
0xe39A5567B24C64Bbdc6B906823EC279f06Aa92dd |
500 |
AB |
ALLIANCEBERNSTEIN HOLDING LP |
0xA6a4380582a612E6e8287396A72334BbC9EDE813 |
500 |
ABAT |
AMERICAN BATTERY TECHNOLOGY CO |
0xdf0B9304705F13dB57e2B186BaeE368a73c8177b |
500 |
ABBV |
ABBVIE INC |
0xEa4b7447c4B5bb53ADC453366828d166F2299e4f |
500 |
ABCB |
AMERIS BANCORP |
0x407685A08AE742743232f1d7e5660bF71aCCDd53 |
500 |
ABCL |
ABCELLERA BIOLOGICS INC |
0x3d75984e1Cc04600C85ACe2B688EcD0eB4e34a2F |
500 |
ABEO |
ABEONA THERAPEUTICS INC |
0xad714F525f447962d502FE0c03EDfe3aF2aD4EE0 |
500 |
ABEV |
AMBEV SA SPON ADR EACH REP 1 ORD SHS |
0x9cA7927a5C153630B17E84f61d489Bb4f807dbAb |
500 |
ABL |
ABACUS GLOBAL MANAGEMENT INC |
0x9c351AEe4AeFe8F8893b547F64a5Deb7E1810C1D |
500 |
ABLLL |
ABACUS GLOBAL MANAGEMENT INC 9.875% SENIOR NOTES 15/11/2028 USD25 |
0xd94c2F3eBe79476FA8A79aB4CCb76404FaD08937 |
500 |
ABLV |
ABLE VIEW GLOBAL INC |
0x2b6474E0b781c1FbE0BE2c1Cc0a53a713450C206 |
500 |
ABM |
ABM INDUSTRIES INC |
0xa4ced33Fa7b470ad3bf4031FB4EE0906447091E1 |
500 |
ABNB |
AIRBNB INC |
0x457F5dd607dB4c29d6FEBCda3a6629cAB573d241 |
500 |
ABOS |
ACUMEN PHARMACEUTICALS INC |
0x4c2E07c30ab93C7C05d677CF21A2E39F0a68BD12 |
500 |
ABP |
ABPRO HOLDINGS INC |
0x2835C9dfe8bf9B917C068929033773D0a4c53A57 |
500 |
ABR |
ARBOR REALTY TRUST INC |
0x37aE4f9C76f5737586DCa56747a29BDfb6cf41e9 |
500 |
ABRpD |
ARBOR REALTY TRUST INC 6.375% SERIES D CUMULATIVE RED PFD STK |
0x3093CB543c86865915AFD41f50D2B8d87f0BD3F9 |
500 |
ABRpF |
ARBOR REALTY TRUST INC 6.25% SER F FXD/FLTG RATE CUMULATIVE PFD |
0x503D603dABE2F2f380DD56E8872609B76ac236C3 |
500 |
ABSI |
ABSCI CORP |
0x37bAFE4f841461200D679Cb7B19a2dd9d9f317B7 |
500 |
ABT |
ABBOTT LABORATORIES |
0x206049c19755Ee881069D75e69d75B6C3a76A246 |
500 |
ABTS |
ABITS GROUP INC |
0xE053098595Bb30c75E61D9b8957a9235c3F9FC9F |
500 |
ABUS |
ARBUTUS BIOPHARMA CORP |
0x63a0Bf816EB559e9C13E8858b047cD0Ef0B59baa |
500 |
ABVC |
ABVC BIOPHARMA INC |
0xF7bbeF759fA7Af4E1E8Bc59F5D4cf23917Ae3584 |
500 |
ABVE |
ABOVE FOOD INGREDIENTS INC |
0x9F7e1A1c86aC485e4CBAd18B7dF6B10ac24d43a8 |
500 |
ABVX |
ABIVAX SPON ADS EACH REP 1 ORD SHS |
0x0d64779a1Aab8a6C63AEB5CA9c40B83dDE25324B |
500 |
AC |
ASSOCIATED CAP GROUP INC |
0xD066dA42fCC41B7D2B387634Dbe3e2855702b7a5 |
500 |
ACAD |
ACADIA PHARMACEUTICALS INC |
0x21c0738dFe497946528bBeA085C3140cDB31D496 |
500 |
ACB |
AURORA CANNABIS INC |
0xBd08Fb06EDE0C1043095577E93c99960B8e46649 |
500 |
ACCO |
ACCO BRANDS CORPORATION |
0x2Bf082E9B893a5367fF6Da6d34B806088738e3fc |
500 |
ACCS |
ACCESS NEWSWIRE INC |
0x5B4e442f3E1fA79eB6bBa3E0C3183c1925aaCFC8 |
500 |
ACDC |
PROFRAC HOLDING CORP |
0x72dB387602d8715CcC0EcA7ABFB3116d572e28e0 |
500 |
ACEL |
ACCEL ENTERTAINMENT INC |
0x7ef860b38d4d8912A28c99139F03aFE010112cdB |
500 |
ACET |
ADICET BIO INC |
0x46aE78fa1aCa7d8972b820Ae0331a3b765b7f569 |
500 |
ACGL |
ARCH CAPITAL GROUP |
0x097a45C1654Bb17b2eC892792b22e071D7588600 |
500 |
ACGLN |
ARCH CAPITAL GROUP DEP SHS EACH REP 1/1000TH NCUM PFD SER G |
0x2668E90B2931c4988f3Bf6491CcA7d9806351e41 |
500 |
ACHC |
ACADIA HEALTHCARE |
0x19B47C8e676A2BD61690204C790B1e811b8A7bbF |
500 |
ACHR |
ARCHER AVIATION INC |
0xefAAe3029b2AfE816A95120a11F8336615368514 |
500 |
ACHV |
ACHIEVE LIFE SCIENCE INC |
0x65f2F8E40986a156A01AF8B81045e8A8d2890f8E |
500 |
ACI |
ALBERTSONS COMPANIES INC |
0x62aaf20234E3810124316df0884C4f005bCD5c56 |
500 |
ACIC |
AMERICAN COASTAL INSURANCE CORP |
0x19B09fa460Ca1aa6E049834a906fc9726d45c705 |
500 |
ACIU |
AC IMMUNE SA |
0xc4a0f18aC05278390506F3E97C831E81dBB362FA |
500 |
ACIW |
ACI WORLDWIDE INC |
0x365854E16F54Ae2DA933e6be1909743ed9460dd1 |
500 |
ACLS |
AXCELIS TECHNOLOGIES INC |
0xA9B1B4E188699e7881396EF6325A1FD05cd9A3CA |
500 |
ACLX |
ARCELLX INC |
0x6956A6790B2F27Aa4775fDD778318e0118A158e7 |
500 |
ACMR |
ACM RESEARCH INC |
0x7121e571807C62DBc5a398f3280FA0844668f8Fc |
500 |
ACN |
ACCENTURE PLC |
0x98ea340a94D2D86A9A3DE1a59A56693C0208c882 |
500 |
ACNB |
ACNB CORP |
0xD686552fDB2268544731fEafdFAaa52b0ff643CD |
500 |
ACNT |
ASCENT INDUSTRIES CO |
0xbBbb17fF0a77Ded172B4399B83E6c700FC935Bf4 |
500 |
ACOG |
ALPHA COGNITION INC |
0x270175b9F8DDd259B88Dc548BB2b18a9D81a9B6C |
500 |
ACON |
ACLARION INC |
0x144608a0F23180138f2BB8D0FD621c5eC20aBe3f |
500 |
ACP |
ABRDN INCOME CREDIT STRATEGIES FUND |
0x6ba882c19ac377e493d77e8854E7e1Ef702fe36d |
500 |
ACPpA |
ABRDN INCOME CREDIT STRATEGIES FUND 5.250% CUM PERPETUAL PFD STOCK SER A |
0xab28433de7E278fd089b89C68406a030eD36730a |
500 |
ACR |
ACRES COMMERCIAL REALTY CORP |
0xE77679761F64de6521C0b60761f6C6C4D08D0B1a |
500 |
AACT.W |
ARES ACQUISITION CORPORATION II REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 |
0xb0188DAca9FEc9536CdCf0B980CA688eAC7b901a |
500 |
AAM.W |
AA MISSION ACQUISITION CORP. WARRANTS, EACH WHOLE WARRANT ENTITLES THE HOLDER TO PURCHASE ONE CLASS A ORDINARY SHARE AT A PRICE OF $11.50 PER SHARE |
0xdeb6C7Bd80C6207876200DA10e47eD0dE8e82782 |
500 |
ABG |
ASBURY AUTOMOTIVE GROUP INC COMMON STOCK |
0x8EC0e0De2DE498866b82f22b240eB647dCe49459 |
500 |
ABR$D |
ARBOR REALTY TRUST 6.375% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK, LIQUIDATION PREFERENCE $25.00 PER SHARE |
0xA543A71F28b8C7096317923EBA58AEbD71af1590 |
500 |
ABR$E |
ARBOR REALTY TRUST 6.25% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x9e09FcdF473e60fb0a357CC3183A41686350Aa78 |
500 |
ABR$F |
ARBOR REALTY TRUST 6.25% SERIES F FIXED |
0xAd1295722A2bAA064bDB9bF5Cd2Fd6a3E35b33Ea |
500 |
ACA |
ARCOSA, INC. COMMON STOCK |
0xc32094f772846a42EB82D8b5d7625d0771d7EbeE |
500 |
ACHR.W |
ARCHER AVIATION INC. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A COMMON STOCK AT AN EXERCISE PRICE OF $11.50 |
0x6e55AF0604EA4D16B230387e6dD5A03d18BBFE07 |
500 |
ACLO |
TCW AAA CLO ETF |
0x4Bfc8be8125ED7c074a1fC29286DBaFb0ab54411 |
500 |
ACM |
AECOM COMMON STOCK |
0x573839E26028098d1e8b52f55d1Baa740A98ED4C |
500 |
ACP$A |
ABRDN INCOME CREDIT STRATEGIES FUND 5.250% SERIES A PERPETUAL PREFERRED STOCK |
0xd81bc879c3E5261e797462b10F6b0F82601AE174 |
500 |
ACR$C |
ACRES COMMERCIAL REALTY CORP. 8.625% FIXED |
0xCfd3625E9CF58B708AF1284af8D911f8Ce42eE37 |
500 |
ACR$D |
ACRES COMMERCIAL REALTY CORP. 7.875% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x054559c99000F256fF24294ED0b3f4Cad9A0d656 |
500 |
ACRE |
ARES COMMERCIAL REAL ESTATE CORPORATION COMMON STOCK |
0xc98a525C4DAea810Ee29D62d8188A8aA3fBBF35a |
500 |
ACV |
VIRTUS DIVERSIFIED INCOME & CONVERTIBLE FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xE3E5Cd33cbAFC565F00dB1E2a36C24fa8aD64305 |
500 |
ACVA |
ACV AUCTIONS INC. CLASS A COMMON STOCK |
0x0002C3172e1C74166d8353A35df36Da2CF25e45F |
500 |
ADC |
AGREE REALTY CORPORATION COMMON STOCK |
0x0C30a924E14bf9f97F75f39BB32f791Eaf9a3DDe |
500 |
ADC$A |
AGREE REALTY CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH OF A 4.250% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xAf7AfF151099d1d01aA3ACFFd0e13Bd0C1bD6f89 |
500 |
ADCT |
ADC THERAPEUTICS SA COMMON SHARES |
0xb56E9D757b6E5fB6335aceC5c8a895582D8D03A2 |
500 |
ADM |
ARCHER |
0x573662A9df3B7a00ce1f3381A285d2884Bf7Aa1a |
500 |
ADNT |
ADIENT PLC ORDINARY SHARES |
0x9aa9FEb73e44AABBbd9e21A854816eD715102fc0 |
500 |
ADT |
ADT INC. COMMON STOCK |
0x7a481b3e27cb20B6AeC151B6998808BCDd012cb6 |
500 |
ADX |
ADAMS DIVERSIFIED EQUITY FUND INC. |
0x204A4f3E2F53C1E5B6d7b9259Be2B28cFd31e781 |
500 |
AEE |
AMEREN CORPORATION COMMON STOCK |
0xa0EfefdA61B3aEa2ff07541eC722EDDcF9DeA1e5 |
500 |
AEFC |
AEGON FUNDING COMPANY LLC 5.10% SUBORDINATED NOTES DUE 2049 |
0xE257653B3208CCf681Df45A7b5E0b926f7EB9AFf |
500 |
AEG |
AEGON LTD. NEW YORK REGISTRY SHARES |
0x357229D316737E38323340002bb69348A11A60a2 |
500 |
AEM |
AGNICO EAGLE MINES LIMITED COMMON STOCK |
0xE740100c26438aD2699080f21aa14c70cCF2e00C |
500 |
AEO |
AMERICAN EAGLE OUTFITTERS, INC. COMMON STOCK |
0xf293879bB12525f52CaecAa372256C290517c51b |
500 |
AER |
AERCAP HOLDINGS N.V. ORDINARY SHARES |
0x888A33b95A0Ab090422F749225985e5b7e3E1102 |
500 |
AES |
THE AES CORPORATION COMMON STOCK |
0xf0059859AA850E62Ad7E46914ca9675BB9485Bf5 |
500 |
AESI |
ATLAS ENERGY SOLUTIONS INC. COMMON STOCK |
0xd43D67E4F7b3661AEB2fe68fe9EB4CC17f052F37 |
500 |
AFB |
ALLIANCEBERNSTEIN NATIONAL MUNICIPAL INCOME FUND INC |
0xA3d3357063c7Dd5a67881DC41f4eBCB9A03bf978 |
500 |
AFG |
AMERICAN FINANCIAL GROUP, INC. COMMON STOCK |
0xD85A6452C81A81A1c3d18df4A56F0D5d0f32b3f2 |
500 |
AFGB |
AMERICAN FINANCIAL GROUP, INC. 5.875% SUBORDINATED DEBENTURES DUE 2059 |
0x464926a084695a3C2995491Cf218905468888f5F |
500 |
AFGC |
AMERICAN FINANCIAL GROUP, INC. 5.125% SUBORDINATED DEBENTURES DUE 2059 |
0x04e54cE61d0fA0473ABEc41cFcc13D04610EA38C |
500 |
AFGD |
AMERICAN FINANCIAL GROUP, INC. 5.625% SUBORDINATED DEBENTURES DUE 2060 |
0x5C6B3171e616fa0b40F4e04d42FA0321105f1Ddb |
500 |
AFGE |
AMERICAN FINANCIAL GROUP, INC. 4.500% SUBORDINATED DEBENTURES DUE 2060 |
0xE0b55D5C48c2e2f364b114929b8272F53c9F33c7 |
500 |
AFL |
AFLAC INCORPORATED COMMON STOCK |
0x425102314360F68cF5f7aeBF216d9118A840507e |
500 |
AG |
FIRST MAJESTIC SILVER CORP. ORDINARY SHARES (CANADA) |
0xBd8deBd074818b7734F3fc8782Dee045B10f856F |
500 |
AGCO |
AGCO CORPORATION COMMON STOCK |
0x57dEE977AbeBe981085187F3eBe0bD7596e40A7c |
500 |
AGD |
ABRDN GLOBAL DYNAMIC DIVIDEND FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x35b6dc6f2f9cAEF23d95F66011352D10e436833A |
500 |
AGI |
ALAMOS GOLD INC. CLASS A COMMON SHARES |
0xF2242412b56A8D77e2ce9B6F633C046dd3793ea5 |
500 |
AGL |
AGILON HEALTH, INC. COMMON STOCK |
0x5620B3238e782e8Cd501d6FB2c149d3215FFF7d7 |
500 |
AGM |
FEDERAL AGRICULTURAL MORTGAGE CORPORATION COMMON STOCK |
0x3D0122bCA0B7B92464E37158257756a1D6E01C1f |
500 |
AGM$D |
FEDERAL AGRICULTURAL MORTGAGE CORPORATION 5.700% NON |
0x557fF07A07024bB3Fb984cC005fBBb317b7b43bB |
500 |
AGM$E |
FEDERAL AGRICULTURAL MORTGAGE CORPORATION 5.750% NON |
0xa7470101d8a17b28F71e9FE2A2Aa788228117c81 |
500 |
AGM$F |
FEDERAL AGRICULTURAL MORTGAGE CORPORATION 5.250% NON |
0xee889F6963214BCd06B3Bff6E6a637b99635bCa3 |
500 |
AGM$G |
FEDERAL AGRICULTURAL MORTGAGE CORPORATION 4.875% NON |
0x8e3D268a4Ace3A1808c096731Fc5acc8caCA969F |
500 |
AGM.A |
FEDERAL AGRICULTURAL MORTGAGE CORPORATION COMMON STOCK |
0x9Fa5A1dDf6De4B8570990b269eb66C5D4EeFF62e |
500 |
AGO |
ASSURED GUARANTY LTD. COMMON STOCK |
0xc264b4D4b01e9EB744416507573975F4c710d28e |
500 |
AGRO |
ADECOAGRO S.A. COMMON SHARES |
0xf091ac82c5D1AcA5A3F7bc7d47BE91C81b2DbA2c |
500 |
AGS |
PLAYAGS, INC. COMMON STOCK |
0x9a7b0acB062258a17b2400Bf20217dc34a271D59 |
500 |
AGX |
ARGAN, INC. COMMON STOCK |
0x429bdE465Fd5da2269C741de716C816124248827 |
500 |
AHH |
ARMADA HOFFLER PROPERTIES, INC. COMMON STOCK |
0xd63B05798dA6b0F5bCB6F099D8106CC714BD4243 |
500 |
AHH$A |
ARMADA HOFFLER PROPERTIES, INC. 6.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0xaD3e5318B1a1813c498f190171D61D0b9b6dA656 |
500 |
AHL |
ASPEN INSURANCE HOLDINGS LIMITED CLASS A ORDINARY SHARES |
0xa5Da1536a1Fb6ABdd8DA763Ef055a29B95eF3871 |
500 |
AHL$D |
ASPEN INSURANCE HOLDINGS LIMITED 5.625% PERPETUAL NON |
0xeE6c868FD6D3ABD32482E9d9B80D63C81ee32095 |
500 |
AHL$E |
ASPEN INSURANCE HOLDINGS LIMITED DEPOSITARY SHARES, EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 5.625% PERPETUAL NON |
0xc8de36BCbE807C950bCc224dE82485dE98454cBc |
500 |
AHL$F |
ASPEN INSURANCE HOLDINGS LIMITED DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 7.00% PERPETUAL NON |
0x47294a069ce578Ef7D41151aA228da3E23d3a46E |
500 |
AHR |
AMERICAN HEALTHCARE REIT, INC. COMMON STOCK |
0x16F54e958AaCa22D7b7C29e594147773E1E88D43 |
500 |
AHT |
ASHFORD HOSPITALITY TRUST INC COMMON STOCK |
0x9e9C988d85A32D33811B41a5Fd4b0a3446F026ee |
500 |
AHT$D |
ASHFORD HOSPITALITY TRUST INC 8.45% SERIES D CUMULATIVE PREFERRED STOCK |
0x3D3994cb974500CD5a933d05346fD681b993A961 |
500 |
AHT$F |
ASHFORD HOSPITALITY TRUST INC 7.375% SERIES F CUMULATIVE PREFERRED STOCK |
0x83Eb6C045bD7A93eB22E7D8bd6c1432293634C74 |
500 |
AHT$G |
ASHFORD HOSPITALITY TRUST INC 7.375% SERIES G CUMULATIVE PREFERRED STOCK |
0xD1Df706dfDEc94E0d237F7c48Ac64CC0e1F894db |
500 |
AHT$H |
ASHFORD HOSPITALITY TRUST INC 7.50% SERIES H CUMULATIVE PREFERRED STOCK |
0x0c81020d96A7BA6D9759676c7139612cfdFeF7D5 |
500 |
AHT$I |
ASHFORD HOSPITALITY TRUST INC 7.50% SERIES I CUMULATIVE PREFERRED STOCK |
0x37151fCC32F6424f1dd69573be03f1622806A482 |
500 |
AI |
C3.AI, INC. CLASS A COMMON STOCK |
0x1Aa2682A988cFe3CE76dFb2aF858266CE3B2e447 |
500 |
AIG |
AMERICAN INTERNATIONAL GROUP, INC. NEW COMMON STOCK |
0x3419e0441b07C8721DD7bD057F5d04aB17a0242F |
500 |
AII |
AMERICAN INTEGRITY INSURANCE GROUP, INC. COMMON STOCK |
0x9A24c084096A121f4e5D0fd16B6639a026AE4e00 |
500 |
AIN |
ALBANY INTERNATIONAL CORPORATION COMMON STOCK |
0x11d76fD5D3CAa518e5f30C01314B0D2Fc184f7e1 |
500 |
AIO |
VIRTUS ARTIFICIAL INTELLIGENCE & TECHNOLOGY OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x2849F6A3384eB26365a79a1257bEcbcA75664744 |
500 |
AIR |
AAR CORP. COMMON STOCK |
0x8F9b1334F02a3E6869B0FeAE5deb4A7b3Bf27C28 |
500 |
AIT |
APPLIED INDUSTRIAL TECHNOLOGIES, INC. COMMON STOCK |
0x265F7646BC46EFBb88CFA2D5d0cE44484F348380 |
500 |
AIV |
APARTMENT INVESTMENT AND MANAGEMENT COMPANY COMMON STOCK |
0x6c758E41E0D802a5C1f27618d6CEC5a48A0A1a74 |
500 |
AIZ |
ASSURANT, INC. COMMON STOCK |
0x69356a91c4585f3123CCab4c04f2b3872Cbc81f2 |
500 |
AIZN |
ASSURANT, INC. 5.25% SUBORDINATED NOTES DUE 2061 |
0x83EC18FDe408a14618BAB80e3E40E6D025C36449 |
500 |
AJG |
ARTHUR J. GALLAGHER & CO. COMMON STOCK |
0x8AA622640a479d317421f81296d0f45962D27B04 |
500 |
AKA |
A.K.A. BRANDS HOLDING CORP. COMMON STOCK |
0x73c15F1B9f52a6b455da34b566fdB63EC23A08d6 |
500 |
AKAF |
ETF SERIES SOLUTIONS THE FRONTIER ECONOMIC FUND |
0xE7c740636F82722881821599f2F44AeC30C27625 |
500 |
AKO.A |
EMBOTELLADORA ANDINA S.A. COMMON STOCK |
0x7c824DA236c3f88c1B2C637ba8964a90aA117A50 |
500 |
AKO.B |
EMBOTELLADORA ANDINA S.A. COMMON STOCK |
0xDd124f44B437d9D83FaB7281FfE4971b190aB439 |
500 |
AKR |
ACADIA REALTY TRUST COMMON STOCK |
0x0e4821B0f46553dDC56fc874CD9b679543B8d168 |
500 |
AL |
AIR LEASE CORPORATION CLASS A COMMON STOCK |
0xD827f73E6062586fC916B313a2E6a08DC6BE626B |
500 |
ALB |
ALBEMARLE CORPORATION COMMON STOCK |
0x03c4511f35B3859Fc3d986CEc36B54EceceB614e |
500 |
ALB$A |
ALBEMARLE CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/20TH OF 7.25% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK |
0xA08ba3F94Ca2F82cAE41045fE42060421f16c176 |
500 |
ALC |
ALCON INC. ORDINARY SHARES |
0x22E3DcaC406181C83f2Db2B7B4B0Bc213E9485ED |
500 |
ALE |
ALLETE, INC. |
0x15854AAC99611183DaC6Bc6592963666554EA97E |
500 |
ALEX |
ALEXANDER & BALDWIN, INC. COMMON STOCK REIT HOLDING COMPANY |
0xf9bF52cbbfd767e350aA043276485B5144555EC7 |
500 |
ALG |
ALAMO GROUP, INC. COMMON STOCK |
0x29105eCB5CF9b268b9faa7f912C7A305b9861f0d |
500 |
ALIT |
ALIGHT, INC. CLASS A COMMON STOCK |
0x8405118cfE193536925E78dBbeC1a4dc2504f086 |
500 |
ALK |
ALASKA AIR GROUP, INC. COMMON STOCK |
0xA75B4cD1A38a6bb6aC61043bC594D5453d71B397 |
500 |
ALL |
ALLSTATE CORPORATION (THE) COMMON STOCK |
0xada1B77bE71dB44105a19300ADaC438f52d177Ad |
500 |
ALL$B |
ALLSTATE CORPORATION (THE) 5.100% FIXED |
0xFA376AE4527c3fe27773e9e883Aa967B5ef1F31F |
500 |
ALL$H |
ALLSTATE CORPORATION (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK, SERIES H |
0x7CFACd8871107abE1ae303f7FdC778D26eDb20fD |
500 |
ALL$I |
ALLSTATE CORPORATION (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK, SERIES I |
0xD06C0D28eBF12629760081FB776C5378D1d7C706 |
500 |
ALL$J |
ALLSTATE CORPORATION (THE) DEPOSITARY SHARES EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK, SERIES J |
0x068198Fb881A056D98a30D14d3C7c908d230c84f |
500 |
ALLE |
ALLEGION PLC ORDINARY SHARES |
0x2742FA9614F8fFbF331346a8c0824cDa33F6E79F |
500 |
ALLY |
ALLY FINANCIAL INC. COMMON STOCK |
0x215927A5bbEae179387e2667345B4e0d35807d8E |
500 |
ALSN |
ALLISON TRANSMISSION HOLDINGS, INC. COMMON STOCK |
0xD7D92Bc2F688DDe3fFcA972B78074F6a9489DcD3 |
500 |
ALTG |
ALTA EQUIPMENT GROUP INC. CLASS A COMMON STOCK |
0x4BC0Ef157FcaE5e86084F234Ba5003dCF19bF6a2 |
500 |
ALTG$A |
ALTA EQUIPMENT GROUP INC. DEPOSITARY SHARES (EACH REPRESENTING 1/1000TH IN A SHARE OF 10% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK) |
0x0A5D418ef2bDf455b1DDcb42d29aA047CAe0aC18 |
500 |
ALUR |
ALLURION TECHNOLOGIES, INC. COMMON STOCK |
0x0141625CBe977087c8722bDed53F1e26cC860E0a |
500 |
ALUR.W |
ALLURION TECHNOLOGIES, INC. WARRANTS, EACH WHOLE WARRANT EXERCISABLE TO PURCHASE 1.420455 SHARES OF COMMON STOCK AT AN EXERCISE PRICE OF $8.10 PER SHARE OF COMMON STOCK |
0x14a9032c30FDad7f02490f6aEf4987633BC964Cd |
500 |
ALV |
AUTOLIV, INC. COMMON STOCK |
0xA09928d4a65ff17CD8816b5112404a2F1e612088 |
500 |
ALX |
ALEXANDER'S, INC. COMMON STOCK |
0x2759f3B7a803a93107C72f8AD49A9872983B5a6c |
500 |
AM |
ANTERO MIDSTREAM CORPORATION COMMON STOCK |
0x2033A241f6Ace742052CFAF994Fb76B117140e08 |
500 |
AMBC |
AMBAC FINANCIAL GROUP, INC. COMMON STOCK |
0x5eB926a29e8114994B4a96A5669C3596af25321d |
500 |
AMBP |
ARDAGH METAL PACKAGING S.A. ORDINARY SHARES |
0xEa36d6D28496080eeAf55706F99f4b05d33Ad722 |
500 |
AMBP.W |
ARDAGH METAL PACKAGING S.A. WARRANTS, EACH EXERCISABLE FOR ONE SHARE AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x0210C236c4B35EC031948438086F5d26991C519C |
500 |
AMC |
AMC ENTERTAINMENT HOLDINGS, INC. CLASS A COMMON STOCK |
0x5DCAA713EaDD4A149cC363a9bae6D6a33d72562b |
500 |
AMCR |
AMCOR PLC ORDINARY SHARES |
0x072bAFB8Ca038064dC423aF96558CADcd1350F1b |
500 |
AME |
AMETEK, INC. |
0x9C7F68506FC08B90d8DBA26003237d93f2659279 |
500 |
AMG |
AFFILIATED MANAGERS GROUP, INC. COMMON STOCK |
0xAd7F1998ebCAdA08a66F0606F4a3C763fA0aE871 |
500 |
AMH |
AMERICAN HOMES 4 RENT COMMON SHARES OF BENEFICIAL INTEREST |
0x4F81819f7786701B572dFb147f4953A167581c12 |
500 |
AMH$G |
AMERICAN HOMES 4 RENT SERIES G CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES OF BENEFICIAL INTEREST |
0x66d92303F397a40edE3872853d1d762eE054A731 |
500 |
AMH$H |
AMERICAN HOMES 4 RENT SERIES H CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SHARES OF BENEFICIAL INTEREST |
0x65580A9201fB06884af3877A35707Ba09561b4bd |
500 |
AMN |
AMN HEALTHCARE SERVICES INC |
0xCc6dBDb265882863a5C44e54a27cB253e0F8fE49 |
500 |
AMP |
AMERIPRISE FINANCIAL, INC. COMMON STOCK |
0x8033224CCf29Efacb0D4334a45747f598aF36ea6 |
500 |
AMPX |
AMPRIUS TECHNOLOGIES, INC. COMMON STOCK |
0xA776EeF0deF78C6196ae0F9174631e2dbeA2531e |
500 |
AMPX.W |
AMPRIUS TECHNOLOGIES, INC. WARRANTS TO PURCHASE ONE SHARE OF COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x20bA6F4e8f896DD3f1568cd31F46D657f75faff0 |
500 |
AMPY |
AMPLIFY ENERGY CORP. COMMON STOCK |
0x1952707A5f3b560955171e38ed5B2699Ad8618c7 |
500 |
AMR |
ALPHA METALLURGICAL RESOURCES, INC. COMMON STOCK |
0x83dC5C0b27DEAb943E54eD68810F67CAdfEFe0e1 |
500 |
AMRC |
AMERESCO, INC. CLASS A COMMON STOCK |
0xC7c1146FE87769A8C2F3840E233c94B602784Cd2 |
500 |
AMRZ |
AMRIZE LTD ORDINARY SHARES |
0xe16c432b421ff332d6E637552BD7940CB666542C |
500 |
AMT |
AMERICAN TOWER CORPORATION (REIT) COMMON STOCK |
0x92D55446195f2787Ff3e65b54A18e3aF64E242f4 |
500 |
AMTB |
AMERANT BANCORP INC. CLASS A COMMON STOCK |
0x0D1f03444156C6348b13b7EAe7e910E6062fdA4A |
500 |
AMTD |
AMTD IDEA GROUP AMERICAN DEPOSITARY SHARES, EACH REPRESENTING SIX (6) CLASS A ORDINARY SHARES |
0x36286B7d9eF7AcAE988204414495484ddC697176 |
500 |
AMTM |
AMENTUM HOLDINGS, INC. COMMON STOCK |
0xf614ebC2FE3922d35E6cCd5909a8bAC79909bB41 |
500 |
AMWL |
AMERICAN WELL CORPORATION CLASS A COMMON STOCK |
0x7bd94DcFAc0f5eA8401089AD2B2e873169dbb2eC |
500 |
AMX |
AMERICA MOVIL, S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THE RIGHT TO RECEIVE TWENTY (20) SERIES B SHARES |
0xE22CA6108c234C1F6De2170c7BF0f0fd81d3d64e |
500 |
AN |
AUTONATION, INC. COMMON STOCK |
0x2C3d37F9e05A562248cFa38B40c7Bf8aa3D29C46 |
500 |
ANET |
ARISTA NETWORKS, INC. COMMON STOCK |
0x2003168829D3878a6856C5f808184a7daDE54777 |
500 |
ANF |
ABERCROMBIE & FITCH COMPANY COMMON STOCK |
0xcb6Ac4453C89588400718345271a630974B1f5f9 |
500 |
ANG$B |
AMERICAN NATIONAL GROUP INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 6.625% FIXED |
0x33d3ec15fF40d3876BF43c71294f6cAbd8E4636D |
500 |
ANG$D |
AMERICAN NATIONAL GROUP INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 7.375% FIXED |
0xa72654b1Cdbb6A012a5980F301f5750E650AFAb5 |
500 |
ANRO |
ALTO NEUROSCIENCE, INC. COMMON STOCK |
0x7add1940E75472b5641Dc51618165175408f177A |
500 |
ANVS |
ANNOVIS BIO, INC. COMMON STOCK |
0x1E624B596D6Aae78B27c6BD99FF79C49268eFD22 |
500 |
AOD |
ABRDN TOTAL DYNAMIC DIVIDEND FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x0178edEBcC877860DB9a1f37fe6a514096570Fe7 |
500 |
AOMD |
ANGEL OAK MORTGAGE REIT, INC. 9.750% SENIOR NOTES DUE 2030 |
0xFeEcc0c43901D11E11bB375f695190A8aB780353 |
500 |
AOMN |
ANGEL OAK MORTGAGE REIT, INC. 9.500% SENIOR NOTES DUE 2029 |
0x3ea32510e7828753d565D5B06519A83960A31a11 |
500 |
AOMR |
ANGEL OAK MORTGAGE REIT, INC. COMMON STOCK |
0xe28Ab0d37D9D715C8F358902dC61a602015fAC2A |
500 |
AON |
AON PLC CLASS A ORDINARY SHARES (IRELAND) |
0xFc6C36450b5B4171dD055183a74DfB8472D16B58 |
500 |
AORT |
ARTIVION, INC. COMMON STOCK |
0x7EC4f3b98C6a887cf75ffd00404E4C486534F13B |
500 |
AOS |
A.O. SMITH CORPORATION COMMON STOCK |
0xb0D723860cd5DdAd54f35e066F9D131648Cd170F |
500 |
AP |
AMPCO |
0x51F591e3169410a41dd97375b2aD93557E8D169A |
500 |
APAM |
ARTISAN PARTNERS ASSET MANAGEMENT INC. CLASS A COMMON STOCK |
0xEBdA99957FB70DCb67e2283b1a0453b86bE339e9 |
500 |
APD |
AIR PRODUCTS AND CHEMICALS, INC. COMMON STOCK |
0x1B374Bb6ca0EeC848B6307E1fBfcb98a046bAB70 |
500 |
APG |
API GROUP CORPORATION COMMON STOCK |
0x96B3B8e2Ffd6FEac9c53bFEB8D8EB19909b2bE8b |
500 |
APH |
AMPHENOL CORPORATION COMMON STOCK |
0xc3D082a40Cfc215Dc277f1BDb871950Dfc1561be |
500 |
APLE |
APPLE HOSPITALITY REIT, INC. COMMON SHARES |
0x6Cb4700C0A0bc51d292ce318BcEB8602Eb7eB8d1 |
500 |
APO |
APOLLO GLOBAL MANAGEMENT, INC. (NEW) COMMON STOCK |
0x0bD5Ee327095475a20df2757bE6F43F1c0b73A99 |
500 |
APO$A |
APOLLO GLOBAL MANAGEMENT, INC. 6.75% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK |
0x288b4eaD95E6b5064616DE9F4c8212D32d7154c5 |
500 |
APOS |
APOLLO GLOBAL MANAGEMENT, INC. 7.625% FIXED |
0x8d19bB97571eF92950698D0bD77ce991a3e3632d |
500 |
APTV |
APTIV PLC ORDINARY SHARES |
0xC6004D19dAd13273B2de55dE829bbdc7EC7a113B |
500 |
AQN |
ALGONQUIN POWER & UTILITIES CORP. COMMON SHARES |
0xC526c0bd9CA6bf6bBebfaF63b8cE0a189434d496 |
500 |
AQNB |
ALGONQUIN POWER & UTILITIES CORP. 6.20% FIXED |
0x172f0921AcF0d9D7737BF5A3aCa69Dbb660Ab362 |
500 |
AR |
ANTERO RESOURCES CORPORATION COMMON STOCK |
0x58C569c136853CBB81493ed277ccd806e7e314BB |
500 |
ARCO |
ARCOS DORADOS HOLDINGS INC. CLASS A SHARES |
0xA2dc6280FFE8C28633096b13bd971284E07F0932 |
500 |
ARDC |
ARES DYNAMIC CREDIT ALLOCATION FUND, INC. COMMON SHARES |
0x67fD73C6a96ad38842913Be0A7a38C3ed82Ec179 |
500 |
ARDT |
ARDENT HEALTH, INC. COMMON STOCK |
0xfF2Ea2A383C83211F7E11aF2C55359BdeF728430 |
500 |
ARE |
ALEXANDRIA REAL ESTATE EQUITIES, INC. COMMON STOCK |
0x11F5e8b0E6e2c7A45CEa8D5374Db9cB2D3D44194 |
500 |
ARES |
ARES MANAGEMENT CORPORATION CLASS A COMMON STOCK |
0x2c381A3885687c3d736E850DE0aA663e91D1212E |
500 |
ARES$B |
ARES MANAGEMENT CORPORATION 6.75% SERIES B MANDATORY CONVERTIBLE PREFERRED STOCK |
0xE3698569f8ad64F9c481CA4FCaDEA4AB075C6664 |
500 |
ARGD |
ARGO GROUP INTERNATIONAL HOLDINGS, LTD. 6.5% SENIOR NOTES DUE 2042 |
0x17970FF9a82Af62D40121df560d97Cb4901c9dEA |
500 |
ARGO$A |
ARGO GROUP INTERNATIONAL HOLDINGS, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 7.00% RESETTABLE FIXED RATE PREFERENCE SHARE, SERIES A |
0xd77b701604535Ce9D714d80eD0d9F70d5965234E |
500 |
ARI |
APOLLO COMMERCIAL REAL ESTATE FINANCE, INC |
0x76626982C5d313b3529a951DfF3b754074621181 |
500 |
ARIS |
ARIS WATER SOLUTIONS, INC. CLASS A COMMON STOCK |
0xE4FF4e530c4F77D757B8FC4737EF5544AE7903Fd |
500 |
ARL |
AMERICAN REALTY INVESTORS, INC. COMMON STOCK |
0x631D0627887310D403686957aDa1e3eE8b5B1889 |
500 |
ARLO |
ARLO TECHNOLOGIES, INC. COMMON STOCK |
0x0628CaC55B4C37126e7A29880B12484f05727cA0 |
500 |
ARMK |
ARAMARK COMMON STOCK |
0xc21530a2EBEB4c4CB3EA42A663ae8031f49FB1b6 |
500 |
AROC |
ARCHROCK, INC. COMMON STOCK |
0xcC7f81A9766aEafa98240FE9c3F8e113968B130D |
500 |
ARR |
ARMOUR RESIDENTIAL REIT, INC. |
0x705bBf830128a41C80E2cAdCB65F3Eaa2A4907A5 |
500 |
ARR$C |
ARMOUR RESIDENTIAL REIT, INC. 7% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK (LIQUIDATION PREFERENCE $25.00 PER SHARE) |
0x53e950BD1d5376cF00F4856C9ab296F1DB142A99 |
500 |
ARW |
ARROW ELECTRONICS, INC. COMMON STOCK |
0x8e6557B54408eAf9982ED996b3B5f9aeeA3ddcf0 |
500 |
AS |
AMER SPORTS, INC. ORDINARY SHARES |
0x18695dfC59f80B0608C47273CD4E0eB5747e8aae |
500 |
ASA |
ASA GOLD AND PRECIOUS METALS LIMITED |
0x2a234c68D229528Baf6905757c631F5fE2023842 |
500 |
ASAN |
ASANA, INC. CLASS A COMMON STOCK |
0x3EB337C8F62b644fCFc82Cf5a62B7bdcbADe6Ab3 |
500 |
ASB |
ASSOCIATED BANC |
0x25f08Ca81A47238252423b152A7bA493438A2Ee0 |
500 |
ASB$E |
ASSOCIATED BANC |
0x9226f71B3154FDE43AFedE75b26BAF84AFb98949 |
500 |
ASB$F |
ASSOCIATED BANC |
0xC9BCC29e29A50459b8b1E5B33B7647037d4a93e5 |
500 |
ASBA |
ASSOCIATED BANC |
0x406350a349E0D95Ee592368C2071ee07B1584d60 |
500 |
ASC |
ARDMORE SHIPPING CORPORATION COMMON STOCK |
0x1F880CedeBa8314d9c74c6d858503069F9714427 |
500 |
ASG |
LIBERTY ALL |
0x74b80E9483ac3c2A7dd9Ab5459aA4f7139f4Ff20 |
500 |
ASGI |
ABRDN GLOBAL INFRASTRUCTURE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x8e963eEAD4c42AE598b916cEFA23048453A644A1 |
500 |
ASGN |
ASGN INCORPORATED COMMON STOCK |
0x98a3affee9c44D2A3928b2AbdC821f54962b5740 |
500 |
ASH |
ASHLAND INC. COMMON STOCK |
0x92417c78239Bf5dC3f48d5F2ad1BD338BA8a1f1A |
500 |
ASIC |
ATEGRITY SPECIALTY INSURANCE COMPANY HOLDINGS COMMON STOCK |
0xc1377DB2F68692A41a9b55a870D7EB6b97392c08 |
500 |
ASIX |
ADVANSIX INC. COMMON STOCK |
0xf15b2d3484Ce28CE6f82FE6853aEAF21085d69a3 |
500 |
ASPN |
ASPEN AEROGELS, INC. COMMON STOCK |
0x57a2C739dd6500ECF12422F8fddEeE05e5b58074 |
500 |
ASR |
GRUPO AEROPORTUARIO DEL SURESTE, S.A. DE C.V. COMMON STOCK |
0x2aec34976C743DDBb648A334b93D174735EeeA1C |
500 |
ASX |
ASE TECHNOLOGY HOLDING CO., LTD. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO COMMON SHARES) |
0xbC043F2eE8F68917520A8D295D3E1De8904E626A |
500 |
ATCO$D |
ATLAS CORP. 7.95% SERIES D |
0xE7F91dbD128d0f07a9e6eFd4F615b912D5a8d356 |
500 |
ATCO$H |
ATLAS CORP. 7.875% SERIES H |
0x012aBA242f193Aa90E9Ea49419e320fb732C4364 |
500 |
ATEN |
A10 NETWORKS, INC. COMMON STOCK |
0xa875932882b3b585Af0DaaE30d672E6183B617ce |
500 |
ATGE |
ADTALEM GLOBAL EDUCATION INC. COMMON STOCK |
0xf9Abf84DAA9A60e1Aa699dB63381AB9222e9A407 |
500 |
ATH$A |
ATHENE HOLDING LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 6.35% FIXED |
0xE732eBC5A1CC38090B520AF2125Bbb250A04a2a7 |
500 |
ATH$B |
ATHENE HOLDING LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 5.625% FIXED RATE PERPETUAL NON |
0xDc0B7dAd4C821E152dFDD0643847cb4402c13D22 |
500 |
ATH$C |
ATHENE HOLDING LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 6.375% FIXED |
0x2E02F33Ec92dcEcceA5F6d55A17187C1Dd6cDCB3 |
500 |
ATH$D |
ATHENE HOLDING LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 4.875% FIXED |
0xd5B099F563b7fA12C771d47007C64905C86dB853 |
500 |
ATH$E |
ATHENE HOLDING LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 7.750% FIXED |
0xDAcdEfB64e68E4B1cc1Bea403e59F786EbF5438E |
500 |
ATHM |
AUTOHOME INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FOUR CLASS A ORDINARY SHARES. |
0xfD59D741B3F8Ea624A96ed366B5D68754Fe934fC |
500 |
ATHS |
ATHENE HOLDING LTD. 7.250% FIXED |
0x57c34649aAC06E8Cba59b4c8C956078602923533 |
500 |
ATI |
ATI INC. COMMON STOCK |
0xaD9C68F648C46e143cffe69B11806517d8Cb7D0a |
500 |
ATKR |
ATKORE INC. COMMON STOCK |
0xeF3C156B0e23bEBFa1d21D59aA9D1E56807a1840 |
500 |
ATMU |
ATMUS FILTRATION TECHNOLOGIES INC. COMMON STOCK |
0x93c23797ae29B3409ff9d7dC4ABf15e9AeE6a696 |
500 |
ATO |
ATMOS ENERGY CORPORATION COMMON STOCK |
0x211370A02C81c8647DB0A7E6d97f68D603A42e25 |
500 |
ATR |
APTARGROUP, INC. COMMON STOCK |
0x27680a972712861cc964B1668D00D651B7fFAE79 |
500 |
ATS |
ATS CORPORATION COMMON SHARES |
0x4Fbc03D75438618f11cb333dceC4aCd352708fa8 |
500 |
ATUS |
ALTICE USA, INC. CLASS A COMMON STOCK |
0x4474251B3052EdAED42F46490A43b898498c54e5 |
500 |
AU |
ANGLOGOLD ASHANTI PLC ORDINARY SHARES |
0x0E6EB7DE7e4A7A031c5eec6Cb1814970971e99E7 |
500 |
AUB |
ATLANTIC UNION BANKSHARES CORPORATION COMMON STOCK |
0x085b94Fa67821C58Ef0E80F81eD60b6590029760 |
500 |
AUB$A |
ATLANTIC UNION BANKSHARES CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH OWNERSHIP INTEREST IN A SHARE OF 6.875% PERPETUAL NON |
0x7fAdc19F3a4eE658500659F9514CF962cBD79CC6 |
500 |
AUNA |
AUNA SA CLASS A ORDINARY SHARES |
0xd4aC7158Cc3020a6bbb1a97AC6e7f4e58446D138 |
500 |
AVA |
AVISTA CORPORATION COMMON STOCK |
0xF64976cb1343F2982D8C4ac3109c2c470d4B4215 |
500 |
AVAL |
GRUPO AVAL ACCIONES Y VALORES S.A. ADR (EACH REPRESENTING 20 PREFERRED SHARES) |
0x7ACee1ef21Bf584D904c5AA13d8d6b73dF1885D2 |
500 |
AVB |
AVALONBAY COMMUNITIES, INC. COMMON STOCK |
0x913313b497588a5cA33AF3A719AA9B31975d038a |
500 |
AVD |
AMERICAN VANGUARD CORPORATION COMMON STOCK ($0.10 PAR VALUE) |
0x66dE0695C24e1f9e878e16a34e030A3E00cFB48a |
500 |
AVK |
ADVENT CONVERTIBLE AND INCOME FUND |
0xBd8eD99b8564fc633C3346c6Fb535679304A4e38 |
500 |
AVNS |
AVANOS MEDICAL, INC. COMMON STOCK |
0xCB5c1879bf3a8c809676Ce4545aABAA86d28823c |
500 |
AVNT |
AVIENT CORPORATION COMMON STOCK |
0x275563227B976FCE23F362BC03458cc1aD1454Cf |
500 |
AVTR |
AVANTOR, INC. COMMON STOCK |
0x66E84e2CE730D0cA700ce17bF5b1EB36611E22f0 |
500 |
AVY |
AVERY DENNISON CORPORATION COMMON STOCK |
0x75C5cef6bC492115e1fA92981D8A6aDd6469A548 |
500 |
AWF |
ALLIANCEBERNSTEIN GLOBAL HIGH INCOME FUND |
0xFABDE361422F6f4175f5ACf3d323c664A2BeC404 |
500 |
AWI |
ARMSTRONG WORLD INDUSTRIES INC COMMON STOCK |
0xA1f02D1BeEAbA3916e1A1721F75d21a57B81a33D |
500 |
AWK |
AMERICAN WATER WORKS COMPANY, INC. COMMON STOCK |
0x01C48e330B1D61BB94afc91C82515a4532D51516 |
500 |
AWP |
ABRDN GLOBAL PREMIER PROPERTIES FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x8a4d428B1C2039e656994723449f69E2048E35B2 |
500 |
AWR |
AMERICAN STATES WATER COMPANY COMMON STOCK |
0x8C475263f7bFff51FA645F3cbF356A5dC840341F |
500 |
AX |
AXOS FINANCIAL, INC. COMMON STOCK |
0x63F0DFB4d4446EA3a577B54e6B1cAe3D472be386 |
500 |
AXL |
AMERICAN AXLE & MANUFACTURING HOLDINGS, INC. COMMON STOCK |
0xfb1A03a5AaB62d42D3F1a9834B3c9C94CeF8c85A |
500 |
AXP |
AMERICAN EXPRESS COMPANY COMMON STOCK |
0xE1BFa5370dB1Aef9f4986318B90257e230F675aC |
500 |
AXR |
AMREP CORPORATION COMMON STOCK |
0x59e6378C7d821B9c14B62C3Fdb785Ec3fE712e81 |
500 |
AXS |
AXIS CAPITAL HOLDINGS LIMITED COMMON STOCK |
0xA93111168D965D61d404D6e8dB173c5D87FEF4e8 |
500 |
AXS$E |
AXIS CAPITAL HOLDINGS LIMITED DEPOSITARY SHARES, EACH REPRESENTING 1/100TH INTEREST IN A SHARE OF A 5.50% SERIES E PREFERRED SHARES |
0xB844FF79fF906B5B0FcE7cc4957A189c452f98eb |
500 |
AXTA |
AXALTA COATING SYSTEMS LTD. COMMON SHARES |
0x62421554F1e920D5676d8B1E0367cEB4C2885e47 |
500 |
AYI |
ACUITY INC. COMMON STOCK |
0xe4BbB779e0eedafacA55512a78733B16a50ecc59 |
500 |
AZEK |
THE AZEK COMPANY INC. CLASS A COMMON STOCK |
0xB39cF01BD372053A48B475b83535eF1F64F6dFb8 |
500 |
AZO |
AUTOZONE, INC. COMMON STOCK |
0x832b3f9CEaeBa793dFd37ae2d77ca0943A19b604 |
500 |
AZZ |
AZZ INC. |
0x0b77cF67a458303f7EbD798b894a58E7bc4e5A49 |
500 |
B |
BARRICK MINING CORPORATION COMMON SHARES |
0xEB6A9666790926740F8f11DFf1942B8D9Add3d01 |
500 |
BA |
BOEING COMPANY (THE) COMMON STOCK |
0xf69c914DCc3395Dd382A9152E1DCe3B3Bf76dA66 |
500 |
BA$A |
BOEING COMPANY (THE) DEPOSITARY SHARES, EACH REPRESENTING A 1/20TH INTEREST IN A SHARE OF 6.00% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK, PAR VALUE $1.00 |
0x48C7891aeb8F3B67F86D9cca2Cb02a6EB7450fA3 |
500 |
BABA |
ALIBABA GROUP HOLDING LIMITED AMERICAN DEPOSITARY SHARES EACH REPRESENTING EIGHT ORDINARY SHARE |
0x8fc1b2465d5c6043A044abE732D3b652d54c7A64 |
500 |
BAC |
BANK OF AMERICA CORPORATION COMMON STOCK |
0xaB33C4b380A51E87d3787336126A1c42B2904eac |
500 |
BAC$B |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 6.000% NON |
0xa607eb35a59a9c186522d965c1aEBc0AC4525758 |
500 |
BAC$E |
BANK OF AMERICA CORPORATION DEPOSITARY SH REPSTG 1/1000TH PERP PFD SER E |
0x39c0D6cc772fFCA294d591562486dB29260aAc46 |
500 |
BAC$K |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 5.875% NON |
0x56faC849534877Ba5D975531E70284aA582e6B5f |
500 |
BAC$L |
BANK OF AMERICA CORPORATION NON CUMULATIVE PERPETUAL CONV PFD SER L |
0x7ac3B04c2693B9E2aD3762aB6194E54662920e12 |
500 |
BAC$M |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 5.375% NON |
0x4E388eF6eCb2266917c258B066cB51b7c47b2fE7 |
500 |
BAC$N |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 5.000% NON |
0x4EF0Bc23C375589C121fB298b0B7888fb5B3313D |
500 |
BAC$O |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 4.375% NON |
0xF2140DF039788B28857C1c2f6F1286391acf0eb8 |
500 |
BAC$P |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 4.125% NON |
0x1EbBD33EFCfa3b281E16288367632b478960D860 |
500 |
BAC$Q |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 4.250% NON |
0x9B297f4946cE6022e60F1666FcFE51b47Dc46251 |
500 |
BAC$S |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 4.750% NON |
0x663ad2D2f662FAfB9dcb6Ce8e356205987641dDE |
500 |
BAH |
BOOZ ALLEN HAMILTON HOLDING CORPORATION COMMON STOCK |
0x7F3BC8A0a8EdbAD64E76E873Ba1CE6d3FECF7746 |
500 |
BAK |
BRASKEM SA ADR |
0x425eE9D0e1B95210125Bd59efB1e98C74d03384D |
500 |
BALL |
BALL CORPORATION COMMON STOCK |
0xe8D8b0C7f5F9e061F8CD84737F5B32A375107cfA |
500 |
BALY |
BALLY'S CORPORATION COMMON STOCK |
0x15C73e139D65a8839556032D6C6fd7F58DdB91F9 |
500 |
BAM |
BROOKFIELD ASSET MANAGEMENT INC CLASS A LIMITED VOTING SHARES |
0x3A4b29D70DB0a69202418475424fbE69B6Fa9bd8 |
500 |
BANC |
BANC OF CALIFORNIA, INC. COMMON STOCK |
0xf348d7CFEd548471369A3Df68E10054473472e31 |
500 |
BANC$F |
BANC OF CALIFORNIA, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 7.75% NON |
0xefbe62cE83B8371380aC90D36c2FA39f1Dc38416 |
500 |
BAP |
CREDICORP LTD. COMMON STOCK |
0xaCa4AEcaC2e205542DFB3504c8e63ae4bee298DA |
500 |
BARK |
BARK, INC. CLASS A COMMON STOCK |
0xd2f9748DD2E3Aad43E286EDdf817CeE47a167255 |
500 |
BARK.W |
BARK, INC. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR SHARES OF COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x5Fcb6059bC37B69Bc7BdE643a5703F1E8559f7aF |
500 |
BAX |
BAXTER INTERNATIONAL INC. COMMON STOCK |
0x6c9e81Bd3e7dD98FE08068458C1d65bAC345F0DD |
500 |
BB |
BLACKBERRY LIMITED COMMON STOCK |
0x880e6a4A0a40345fea32825d2caC07e0183f1790 |
500 |
BBAI |
BIGBEAR.AI, INC. COMMON STOCK |
0xe3021D1BEF0D4059c39dc118f5e8aB906B99c5ef |
500 |
BBAI.W |
BIGBEAR.AI, INC. REDEEMABLE WARRANTS, EACH EXERCISABLE FOR ONE SHARE OF COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x366e0b6C7078A8a38500a8a83e117cCc8085BB51 |
500 |
BBAR |
BANCO BBVA ARGENTINA S.A. ADS |
0xC527D3e70BE495D00D329469a1587A26E1dC08F2 |
500 |
BBD |
BANCO BRADESCO SA AMERICAN DEPOSITARY SHARES |
0xF2b480e936D3Ef6b40e0e2fCEa6306Bb17C96333 |
500 |
BBDC |
BARINGS BDC, INC. COMMON STOCK |
0x37deB2eFb5221450c53Cf4fef71a4Cfa6b53287D |
500 |
BBDO |
BANCO BRADESCO SA AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) |
0x1b854b1E7FebA934e865c15214c5F19f03c7b42e |
500 |
BBN |
BLACKROCK TAXABLE MUNICIPAL BOND TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x4E1029Ccd9c5740098AA9e992490a967979D5764 |
500 |
BBU |
BROOKFIELD BUSINESS PARTNERS L.P. LIMITED PARTNERSHIP UNITS |
0xA4dDd4ead870ba686F34B0338527a35aa50d064A |
500 |
BBUC |
BROOKFIELD BUSINESS CORPORATION CLASS A EXCHANGEABLE SUBORDINATE VOTING SHARES |
0x2d3529874E92AA236DDBe81b89dD772952Ac6d5d |
500 |
BBVA |
BANCO BILBAO VIZCAYA ARGENTARIA S.A. COMMON STOCK |
0x41EB685FDCA10D08Dc5e7DE6C9c364f3C5B87096 |
500 |
BBW |
BUILD |
0xdbb377f85FE285Cb5340Cbd3ae7426C496a05d63 |
500 |
BBWI |
BATH & BODY WORKS, INC. |
0x56c97629Ff8269EF72C8f2B5d3bC7130759b4661 |
500 |
BBY |
BEST BUY CO., INC. COMMON STOCK |
0xa005D65ba91FDAA0f1EA10eD4470b1b84C081633 |
500 |
BC |
BRUNSWICK CORPORATION COMMON STOCK |
0x9a5a43f8307313395C1F23a2DC3b7180B891a60c |
500 |
BC$A |
BRUNSWICK CORPORATION 6.500% SENIOR NOTES DUE 2048 |
0x137e0B9aF3C55268Ec0bdaf337b865550C5bf961 |
500 |
BC$C |
BRUNSWICK CORPORATION 6.375% NOTES DUE 2049 |
0x1441aD993f6e50ac3798910C63B4E7b232f5118d |
500 |
BCAT |
BLACKROCK CAPITAL ALLOCATION TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x5655B4f2d51ED7ac7Cd9860031407A933789f5fC |
500 |
BCC |
BOISE CASCADE, L.L.C. COMMON STOCK |
0x09145315d725987B5e3046d2731305017E5Ab46D |
500 |
BCE |
BCE, INC. COMMON STOCK |
0xD5D7835e611015aDF74af41ee34B115beE81cE47 |
500 |
BCH |
BANCO DE CHILE ADS |
0x3B4Bb167E56B3a281FD3a706f2Dc99033d9375D8 |
500 |
BCO |
BRINKS COMPANY (THE) COMMON STOCK |
0x26e99Abcb87b08dB8DFFa8748Fc1b33c62218441 |
500 |
BCS |
BARCLAYS PLC COMMON STOCK |
0xBE9bCEa35707047c8e6DC8fb89D46E9A59a2298E |
500 |
BCSF |
BAIN CAPITAL SPECIALTY FINANCE, INC. COMMON STOCK |
0xBce2a028086648f11c068AEeFC950C2Be870C646 |
500 |
BCX |
BLACKROCK RESOURCES COMMON SHARES OF BENEFICIAL INTEREST |
0xE8CDfE64b19e7025Da9e5704760C4655Ec9D9239 |
500 |
BDC |
BELDEN INC COMMON STOCK |
0x5831ed0c312e00B77544CD2DaE3D4254F9d79b03 |
500 |
BDJ |
BLACKROCK ENHANCED EQUITY DIVIDEND TRUST |
0x2201580d3CaCB4ec73576b3b448ea2adaeCF126b |
500 |
BDN |
BRANDYWINE REALTY TRUST COMMON STOCK |
0x44fFC29a83FBac5F9C9502ad4D77d10565599281 |
500 |
BDX |
BECTON, DICKINSON AND COMPANY COMMON STOCK |
0xe8aB933Fb74dE261956052a4c1eA8C0C274A662F |
500 |
BE |
BLOOM ENERGY CORPORATION CLASS A COMMON STOCK |
0xe8B55002D74Ccb8d474Fd2E0A0b0648B317C6F1b |
500 |
BEDU |
BRIGHT SCHOLAR EDUCATION HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FOUR CLASS A ORDINARY SHARE |
0x402119CE9113C4fB7ea29c0aDb9DA80507a72790 |
500 |
BEKE |
KE HOLDINGS INC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THREE CLASS A ORDINARY SHARES) |
0x3Ac6472BA37Dbab677a9eD568B414fB850FA982e |
500 |
BEN |
FRANKLIN RESOURCES, INC. COMMON STOCK |
0x06092e67D9592ab519CF911bda120AeDDc267098 |
500 |
BEP |
BROOKFIELD RENEWABLE PARTNERS L.P. LIMITED PARTNERSHIP UNITS |
0xE13a5E4cFec48A132E10E673B61514d2bA6d9cc5 |
500 |
BEP$A |
BROOKFIELD RENEWABLE PARTNERS L.P. 5.25% CLASS A PREFERRED LIMITED PARTNERSHIP UNITS, SERIES 17 |
0x61590ceD60A649FF9518B968bE9796E3Ecd7b77C |
500 |
BEPC |
BROOKFIELD RENEWABLE CORPORATION BROOKFIELD RENEWABLE CORPORATION CLASS A SUBORDINATE VOTING SHARES |
0xa0Dac8e116834b18b56B00Fb904a02b270F58B99 |
500 |
BEPH |
BROOKFIELD BRP HOLDINGS (CANADA) INC. 4.625% PERPETUAL SUBORDINATED NOTES |
0xF9373Aabebf77BcD9DdB2D8f169E38Cf77e0b9ec |
500 |
BEPI |
BROOKFIELD BRP HOLDINGS (CANADA) INC. 4.875% PERPETUAL SUBORDINATED NOTES |
0xfBb481dDE92e94BCF25DEea240cA70004199147f |
500 |
BEPJ |
BROOKFIELD BRP HOLDINGS (CANADA) INC. 7.250% PERPETUAL SUBORDINATED NOTES |
0x85B4269aFbD22010b0Bc7e81239D3268E2A908fa |
500 |
BF.A |
BROWN FORMAN INC CLASS A COMMON STOCK |
0xAed5907efc470934B10179bde01Fdba26Cb7E1D3 |
500 |
BF.B |
BROWN FORMAN INC CLASS B COMMON STOCK |
0xBf26Bec356F22C3E006E8311B45A85D712e9E224 |
500 |
BFAM |
BRIGHT HORIZONS FAMILY SOLUTIONS INC. COMMON STOCK |
0x47EC60B301995B76D0315bC78fd1E02E370D04D1 |
500 |
BFH |
BREAD FINANCIAL HOLDINGS, INC. COMMON STOCK |
0x0bE5b703a2f969683ea8190A8b0CA9c7d6168294 |
500 |
BFK |
BLACKROCK MUNICIPAL INCOME TRUST |
0x1128dF10a8EB945F8f33042DDe23d846f8f34432 |
500 |
BFLY |
BUTTERFLY NETWORK, INC. CLASS A COMMON STOCK |
0xffb7883D0B7145b3C6398d7483Dfd7E8f51bffd3 |
500 |
BFLY.W |
BUTTERFLY NETWORK, INC. WARRANTS |
0x6AA84d51350AB98356629354A69C72c7aAc4CDAA |
500 |
BFS |
SAUL CENTERS, INC. COMMON STOCK |
0x13CA581879AE9741F47437DB7e170bb62c266D43 |
500 |
BFS$D |
SAUL CENTERS, INC. DEPOSITARY SHARES, EACH REPRESENTING 1/100TH OF A SHARE OF 6.125% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xE3B917bf64D45AdD39C055dFa9C16919E291a249 |
500 |
BFS$E |
SAUL CENTERS, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/100TH FRACTIONAL INTEREST IN A SHARE OF 6.000% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x1ca6B03a977c76d2A85D5eed65159D44Ab86d346 |
500 |
BFZ |
BLACKROCK CALIFORNIA MUNICIPAL INCOME TRUST |
0x05FEB4b25622950103d7EdD5Dd6d528da8a21E90 |
500 |
BG |
BUNGE LIMITED COMMON SHARES |
0x1C4c5c5148D17dec6aC6E096eBCA3D04a81E4A50 |
500 |
BGB |
BLACKSTONE STRATEGIC CREDIT 2027 TERM FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xD901cA661a477Ff7de17e8CaB588B311d76aCD8b |
500 |
BGH |
BARINGS GLOBAL SHORT DURATION HIGH YIELD FUND COMMON SHARES OF BENEFICIAL INTERESTS |
0x06BC3e52cf774FbAffBD21bCF1F8beD768233cBb |
500 |
BGR |
BLACKROCK ENERGY AND RESOURCES TRUST |
0x7E8F390AdF0cbAdb6c0538C4E9FA79bF8c0b3faD |
500 |
BGS |
B&G FOODS, INC. COMMON STOCK |
0xCbcf89506f2ecC092e1a20e783E8ea5f41b237aA |
500 |
BGSF |
BGSF, INC. COMMON STOCK |
0x35452EE0091446342c6330BD3C3C5Fb214eA14f6 |
500 |
BGT |
BLACKROCK FLOATING RATE INCOME TRUST |
0x3A304df196a141217f3335ab7522170B86B02fa9 |
500 |
BGX |
BLACKSTONE LONG SHORT CREDIT INCOME FUND COMMON SHARES |
0x4ff453813f73B16c64551338323f5a3587335362 |
500 |
BGY |
BLACKROCK ENHANCED INTERNATIONAL DIVIDEND TRUST |
0xE985922aCdb08Fda97514E10df3C6c2bd6C96Cdf |
500 |
BH |
BIGLARI HOLDINGS INC. CLASS B COMMON STOCK |
0x39409a8D18B775CD8409A8280FA43f7119257823 |
500 |
BH.A |
BIGLARI HOLDINGS INC. CLASS A COMMON STOCK |
0x26aAafEAab9049213E7773773392a062Ff93CD10 |
500 |
BHC |
BAUSCH HEALTH COMPANIES INC. COMMON STOCK |
0x50DCc7D13f19749Ca57522aFACa241c771309Eec |
500 |
BHE |
BENCHMARK ELECTRONICS, INC. COMMON STOCK |
0x2c8aA1d2099154b8e0CdDeE5B693f6929064C6B1 |
500 |
BHK |
BLACKROCK CORE BOND TRUST |
0x046a72CbFfB4474814F8824C5cc1C542F0853E93 |
500 |
BHLB |
BERKSHIRE HILLS BANCORP, INC. COMMON STOCK |
0xf8B9222c7be3dFC96AAc234680A2302c95847e41 |
500 |
BHP |
BHP GROUP LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO ORDINARY SHARES) |
0xf6722c36f6bB0d30AaC346Eb9bbc04668B581fbb |
500 |
BHR |
BRAEMAR HOTELS & RESORTS INC. COMMON STOCK |
0xEd0d69F2a935Be5Dc3d966Bce5dDA896c76a2c71 |
500 |
BHR$B |
BRAEMAR HOTELS & RESORTS INC. 5.50% SERIES B CUMULATIVE CONVERTIBLE PREFERRED STOCK, PAR VALUE $0.01 PER SHARE |
0x364140c39c283CeC7DF806BA75c2E203361D6f0A |
500 |
BHR$D |
BRAEMAR HOTELS & RESORTS INC. 8.25% SERIES D CUMULATIVE PREFERRED STOCK, PAR VALUE $0.01 PER SHARE |
0xDeB63Fc794Cfa954Aed123b454cE021230DF62C4 |
500 |
BHV |
BLACKROCK VIRGINIA MUNICIPAL BOND TRUST |
0xe849dB281400Bb7Bb2375EA0e7D9Bd22152ECE1b |
500 |
BHVN |
BIOHAVEN LTD. COMMON SHARES |
0x09273aC05648f376fE5e375536f24a4506bb52FB |
500 |
BILL |
BILL HOLDINGS, INC. COMMON STOCK |
0xaa13dbD7Dd800fF839c68600f380B888BCC88754 |
500 |
BIO |
BIO |
0x6eD44474fC1f67a700C111433Eb44c2Fc13bCbE9 |
500 |
BIO.B |
BIO |
0xE093C059328dB0e36191C05b5E6c090DD3c7bb02 |
500 |
BIP |
BROOKFIELD INFRASTRUCTURE PARTNERS LP LIMITED PARTNERSHIP UNITS |
0x9d86414237820ba214e43D2781cdfB6BAff5Fdf8 |
500 |
BIP$A |
BROOKFIELD INFRASTRUCTURE PARTNERS LP 5.125% CLASS A PREFERRED LIMITED PARTNERSHIP UNITS, SERIES 13 |
0xaB8Ef1a18346432CCbD40689a30f54724381CB8f |
500 |
BIP$B |
BROOKFIELD INFRASTRUCTURE PARTNERS LP 5.000% CLASS A PREFERRED LIMITED PARTNERSHIP UNITS, SERIES 14 |
0x581a82D82032922519D639c4F14A863BBcf308b7 |
500 |
BIPC |
BROOKFIELD INFRASTRUCTURE CORPORATION BROOKFIELD INFRASTRUCTURE CORPORATION |
0xb3Fe9768F8D99C17b23DcaA42381B5c536a7ED4f |
500 |
BIPH |
BROOKFIELD INFRASTRUCTURE CORPORATION 5.000% SUBORDINATED NOTES DUE 2081 |
0x28f22c9b6bbF165d894E3541f2e9d810a8e9C350 |
500 |
BIPI |
BIP BERMUDA HOLDINGS I LIMITED 5.125% PERPETUAL SUBORDINATED NOTES |
0x089d17CA4db7D67DE0Aa9a0C87f6E53b080A107D |
500 |
BIPJ |
BROOKFIELD INFRASTRUCTURE CORPORATION 7.250% SUBORDINATED NOTES DUE 2084 |
0x894907d97A38c0C10312319F1C5e2B3Bf051ffF0 |
500 |
BIRK |
BIRKENSTOCK HOLDING PLC ORDINARY SHARES |
0xE01036473CcA166F18a761E0743F56FE57e1D9A4 |
500 |
BIT |
BLACKROCK MULTI |
0xA5cCB2507D4644d3d61e36b01cdd9fd95d278A7d |
500 |
BJ |
BJ'S WHOLESALE CLUB HOLDINGS, INC. COMMON STOCK |
0xc48f5910C6610BAB56250b7175f3410AB04dEFE2 |
500 |
BK |
THE BANK OF NEW YORK MELLON CORPORATION COMMON STOCK |
0xD266c0e6f96AfE77961E49C27E8d7443822bBA8B |
500 |
BK$K |
THE BANK OF NEW YORK MELLON CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/4,000TH INTEREST IN A SHARE OF SERIES K NONCUMULATIVE PERPETUAL PREFERRED STOCK |
0xa6Bf0749D7D184D42F70814a81D3F1fb4Ad320e3 |
500 |
BKD |
BROOKDALE SENIOR LIVING INC. COMMON STOCK |
0x75d669D08541928d510bc1f2d5bEaD0aF90cd268 |
500 |
BKE |
BUCKLE, INC. (THE) COMMON STOCK |
0xB697FA8Fb5DFc6e0d7667fA660E23f5771761a73 |
500 |
BKH |
BLACK HILLS CORPORATION COMMON STOCK |
0x22ea3bc27F63b4934E69D8e112fE50Eb620C6f70 |
500 |
BKKT |
BAKKT HOLDINGS, INC. CLASS A COMMON STOCK |
0xb3294Ce0fEbD9104178a5c5ecB335E1F16adC312 |
500 |
BKKT.W |
BAKKT HOLDINGS, INC. WARRANT |
0xd9df69658449F138A2F4Ecb8490874CA38F3a0bF |
500 |
BKN |
BLACKROCK INVESTMENT QUALITY MUNICIPAL TRUST INC. (THE) |
0xB82ccFd5ee88c90A6e92Fd5Ba160C8C9C01885A7 |
500 |
BKSY |
BLACKSKY TECHNOLOGY INC. CLASS A COMMON STOCK |
0xd1005D68720a3faD458EA8A6093b7F7E3775D567 |
500 |
BKSY.W |
BLACKSKY TECHNOLOGY INC. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK |
0xf0125005dAb763DECFFA97546B6BC2d925f1d867 |
500 |
BKT |
BLACKROCK INCOME TRUST INC. (THE) |
0xFDF849F483c3D1fE0Ebdd219F8D4FC431FC404D1 |
500 |
BKU |
BANKUNITED, INC. COMMON STOCK |
0xBAEFbb5e22A91886B97185b1a2e4D5b7a43d15B1 |
500 |
BKV |
BKV CORPORATION COMMON STOCK |
0x669260E72906f54E23c7531338ab346082b73383 |
500 |
BLCO |
BAUSCH + LOMB CORPORATION COMMON SHARES |
0xb8D8EdC3bdb3d0EE0969FD3d2f724280e82B6Ce1 |
500 |
BLD |
TOPBUILD CORP. COMMON STOCK |
0xf3DE8dC98BDa3B0d8aD3908dB7852aCFC34da669 |
500 |
BLDR |
BUILDERS FIRSTSOURCE, INC. COMMON STOCK |
0x449E7e2C86E03681101ceb85A8bb92464707C834 |
500 |
BLE |
BLACKROCK MUNICIPAL INCOME TRUST II |
0xda2abFd2990Cdb523F2c1E26B0FdF400b105f64c |
500 |
BLK |
BLACKROCK, INC. COMMON STOCK |
0x962B5F8127817759aC7158CA866B0319154CD7e4 |
500 |
BLND |
BLEND LABS, INC. CLASS A COMMON STOCK |
0xA1e1de9f9767a6233b2322A6234c307ecF92FbA4 |
500 |
BLW |
BLACKROCK LIMITED DURATION INCOME TRUST |
0x7103b155069bBe145A24877fa36faF039038788A |
500 |
BLX |
BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A. |
0x3A2344fb8442fF8c22d31b7EAF03553BE1F83548 |
500 |
BMA |
BANCO MACRO S.A. ADR (REPRESENTING TEN CLASS B COMMON SHARES) |
0x744658a11b6271AE7eaa7D43311Ce53420e6Da12 |
500 |
BME |
BLACKROCK HEALTH SCIENCES TRUST |
0x392FA57aA0033F67c9318bCa78Ede3D19692FfFc |
500 |
BMEZ |
BLACKROCK HEALTH SCIENCES TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x33f4b0143704784756AD80901Ccee71402599a40 |
500 |
BMI |
BADGER METER, INC. COMMON STOCK |
0x5839F4Ad07ea254eC7410A2e89ceFe954A81409E |
500 |
BML$G |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON |
0x98B58D71BEAbE6936e3fA20d42445958bfe01c4b |
500 |
BML$H |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON |
0x1b13BAbf2da61321A624E45C9258438d6494f082 |
500 |
BML$J |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON |
0x69a0D3Cb0Df4749DaF28BD0e07D3805c1d0eA4B7 |
500 |
BML$L |
BANK OF AMERICA CORPORATION DEPOSITARY SHARES (EACH REPRESENTING A 1/1200TH INTEREST IN A SHARE OF FLOATING RATE NON |
0x144Ce6F47cA9F6aaaAfCBdE5FFE4529923E0a0BC |
500 |
BMN |
BLACKROCK 2037 MUNICIPAL TARGET TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xc9D923699c49938D1e6e83dE80f69FaD4ef417A4 |
500 |
BMO |
BANK OF MONTREAL COMMON STOCK |
0xB74fD751a4Cb6EC9f47Db750d5D2e2E83738eB01 |
500 |
BMY |
BRISTOL |
0x942DA1e5Bb9d4ed3Cd17918e49EeBBe29f2A5134 |
500 |
BN |
BROOKFIELD CORPORATION CLASS A LIMITED VOTING SHARES |
0xDE3e4A2FC4EBFbD24660ea035b64aE43a37D0941 |
500 |
BNED |
BARNES & NOBLE EDUCATION, INC COMMON STOCK |
0x3AD726A5611F45ee9bb2f8Ff7c6108974875ba09 |
500 |
BNH |
BROOKFIELD FINANCE INC. 4.625% SUBORDINATED NOTES DUE OCTOBER 16, 2080 |
0x12f7FB7A06f7d3a33F06D1757AB36383FD145401 |
500 |
BNJ |
BROOKFIELD FINANCE INC. 4.50% PERPETUAL SUBORDINATED NOTES |
0xA37a56e6A17C0F8170DcAB5DA12511c89D316de6 |
500 |
BNL |
BROADSTONE NET LEASE, INC. COMMON STOCK |
0xd1C6E01E42d74A3320eA6ED9ebE31Cf23483F05a |
500 |
BNS |
BANK NOVA SCOTIA HALIFAX PFD 3 ORDINARY SHARES |
0x80A3f1D8c7Aa3c969e2b821D2BFc25DfC1B579Cf |
500 |
BNT |
BROOKFIELD WEALTH SOLUTIONS LTD. CLASS A EXCHANGEABLE LIMITED VOTING SHARES |
0x4fB722f59D7E839508902291D4f559520c520f6C |
500 |
BNY |
BLACKROCK NEW YORK MUNICIPAL INCOME TRUST |
0x94724Aa09d8240d784940E2EDf6FE74C47e03709 |
500 |
BOC |
BOSTON OMAHA CORPORATION CLASS A COMMON STOCK |
0xb2c8d1f24E3e1a5cAE191F9e79e60A440C0b4F9C |
500 |
BODI |
THE BEACHBODY COMPANY, INC. CLASS A COMMON STOCK |
0xFd9aa16C8245096857885870D3ee7ae5F5844A7B |
500 |
BOE |
BLACKROCK ENHANCED GLOBAL DIVIDEND TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xA8Ad143D7Ca168066477affBDDA08c4EE3c0CF37 |
500 |
BOH |
BANK OF HAWAII CORPORATION COMMON STOCK |
0x1e876A838d8eeBb92735C65370A72888062f5677 |
500 |
BOH$A |
BANK OF HAWAII CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 4.375% FIXED RATE NON |
0x13d1498A5150271c3fBE2Af44cC7E242EaE028b4 |
500 |
BOH$B |
BANK OF HAWAII CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 8.000% FIXED RATE NON |
0x41D1e2A59A1D5F2aE542d26C2e76BFb8b1fdc715 |
500 |
BOND |
PIMCO ACTIVE BOND EXCHANGE |
0x57119b65e9fe89950d05De38dbd74e3483cdF1AD |
500 |
BOOT |
BOOT BARN HOLDINGS, INC. COMMON STOCK |
0x2d2E3098bf9158425A2bB82A4231B0E3335EA0F9 |
500 |
BORR |
BORR DRILLING LIMITED COMMON SHARES |
0x5336509994C56D079BeDc61cC6367A0235576a64 |
500 |
BOW |
BOWHEAD SPECIALTY HOLDINGS INC. COMMON STOCK |
0x7DFb51Bc3eAd4b245c46b74B5103ba18F8CbCaA6 |
500 |
BOX |
BOX, INC. CLASS A COMMON STOCK |
0x8671bfe72DBe633f3066FBE9Cb162De60A7a8661 |
500 |
BP |
BP P.L.C. COMMON STOCK |
0x62452c886b0f64C976676466586b38C9D073b325 |
500 |
BPT |
BP PRUDHOE BAY ROYALTY TRUST COMMON STOCK |
0x4C2fC9B0e7dA2983D1C32ddcF8Dd70266158103E |
500 |
BR |
BROADRIDGE FINANCIAL SOLUTIONS, INC. COMMON STOCK |
0x744cCb95Fc31ef19126fdBb1b7f0204C7e8C0805 |
500 |
BRBR |
BELLRING BRANDS, INC. COMMON STOCK |
0x885e456f39A19474C50880507d6D1891b91c29A3 |
500 |
BRC |
BRADY CORPORATION COMMON STOCK |
0xeA7084E2D3A7F515793b9D7d4fACE83166Bba0BC |
500 |
BRCC |
BRC INC. CLASS A COMMON STOCK |
0x219D20b61029305E06D8a69C9afc804F972112d5 |
500 |
BRDG |
BRIDGE INVESTMENT GROUP HOLDINGS INC. CLASS A COMMON STOCK |
0xAbd7F2bEe436C000BdDD75D936A5FdD9DA0C8d54 |
500 |
BRFS |
BRF S.A. |
0x1d05e4A0BFB8283353C0B5c93681ed915716eBDE |
500 |
BRK.A |
BERKSHIRE HATHAWAY INC. COMMON STOCK |
0x93FF9c906D3A142BAA1EccfC23a1e458DEe8db07 |
500 |
BRK.B |
BERKSHIRE HATHAWAY INC. NEW COMMON STOCK |
0x9dF2B5127294A6c6A040CD627bcDF75C899c73F3 |
500 |
BRO |
BROWN & BROWN, INC. COMMON STOCK |
0x45b42Ad985101a47341066a14857086bfd1C47C5 |
500 |
BROS |
DUTCH BROS INC. CLASS A COMMON STOCK |
0xe622c5B8796f74AA5707345a7a758F0aE32D4cb2 |
500 |
BRSP |
BRIGHTSPIRE CAPITAL, INC. CLASS A COMMON STOCK |
0x682b8E379564442a9Ec61477dd7821E80DdE285a |
500 |
BRT |
BRT APARTMENTS CORP. (MD) COMMON STOCK |
0x869f2439292a5D989Ea7b1f497Dbf6207Ee46F0E |
500 |
BRW |
SABA CAPITAL INCOME & OPPORTUNITIES FUND SBI |
0x37C41493580d09B62F37F6952e5463DA1A14BF28 |
500 |
BRX |
BRIXMOR PROPERTY GROUP INC. COMMON STOCK |
0x9e3bC9C218F770eE014DDA14cB2eF28bfb5AF775 |
500 |
BSAC |
BANCO SANTANDER |
0x5ee49B558e2b9b23CB7cb836eA78ef2574349844 |
500 |
BSBR |
BANCO SANTANDER BRASIL SA AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE UNIT |
0xa973131109956A650397da331857429e149e8e37 |
500 |
BSL |
BLACKSTONE SENIOR FLOATING RATE 2027 TERM FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x89d8fCABfB8266e7b30fe3E38be8eBA16D59A278 |
500 |
BSM |
BLACK STONE MINERALS, L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x05BFbc05E1EeCec9F66326f0DFcff196805630A4 |
500 |
BST |
BLACKROCK SCIENCE AND TECHNOLOGY TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x1B99eFc0f7A1AD5eEdaE626672024Ca7CcF13c30 |
500 |
BSTZ |
BLACKROCK SCIENCE AND TECHNOLOGY TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x3FAcB7b43f3b93C7A828186BD6F73C4eb3607cAb |
500 |
BSX |
BOSTON SCIENTIFIC CORPORATION COMMON STOCK |
0x383e5ebA8d8172874a3ffeFF8669E472C2C8267d |
500 |
BTA |
BLACKROCK LONG |
0xc5E1A58BF4e2fABb75184fb4c2A6A3Ea24AE475b |
500 |
BTCM |
BIT MINING LIMITED ADS |
0xAfEa5efadA0Aba5Af259A69Db2273BbB8C2DfAbb |
500 |
BTE |
BAYTEX ENERGY CORP COMMON SHARES |
0x33eC6b917b3EF86D47b92b50e4bd801C4c6608a3 |
500 |
BTI |
BRITISH AMERICAN TOBACCO INDUSTRIES, P.L.C. COMMON STOCK ADR |
0x9F61fA7cC3042BC57387aB39690ACBe9122952FF |
500 |
BTO |
JOHN HANCOCK FINANCIAL OPPORTUNITIES FUND COMMON STOCK |
0x28364Ce90AbC83E17605972f792Bb3Fe7450385c |
500 |
BTT |
BLACKROCK MUNICIPAL 2030 TARGET TERM TRUST |
0x2F25F97d258f2B9fa3F7B5263d7e745b84042c44 |
500 |
BTU |
PEABODY ENERGY CORPORATION COMMON STOCK |
0x4af3E85D960191d2ae94c3a11f43e1E04018cf40 |
500 |
BTX |
BLACKROCK TECHNOLOGY AND PRIVATE EQUITY TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x92f45ce1D1B656C38f84827Ddc3a0c7D2A1631c3 |
500 |
BTZ |
BLACKROCK CREDIT ALLOCATION INCOME TRUST |
0x0dc1D682e2A1B5E6a619Ad8A07a21CEd280E1bE3 |
500 |
BUD |
ANHEUSER |
0x48E3FE7847D2d34e086cb1425f20DE27BA0F141b |
500 |
BUI |
BLACKROCK UTILITY, INFRASTRUCTURE & POWER OPPORTUNITIES TRUST |
0xDb5437d71061cD6013A5A29C249eB6925B0b32f6 |
500 |
BUR |
BURFORD CAPITAL LIMITED ORDINARY SHARES |
0xA63c1398D4c42fA65F96b5538a7eB74E94e1a203 |
500 |
BURL |
BURLINGTON STORES, INC. COMMON STOCK |
0xAFAb7b336E8625064fd181d59426093EB7b33E10 |
500 |
BUXX |
EA SERIES TRUST STRIVE ENHANCED INCOME SHORT MATURITY ETF |
0xE6767b754daE00D45B3D97ff9BF205A1F9714015 |
500 |
BV |
BRIGHTVIEW HOLDINGS, INC. COMMON STOCK |
0x8525E9bdc44Aa4Ddb3bf1019a067b1453168afe0 |
500 |
BVN |
BUENAVENTURA MINING COMPANY INC. |
0x347bDDe5cBDB852b3480A87FCA7D9d31276F5743 |
500 |
BW |
BABCOCK & WILCOX ENTERPRISES, INC. COMMON STOCK |
0x0BC5EF526d061FD0707095022611dFCD8de2Dc0d |
500 |
BW$A |
BABCOCK & WILCOX ENTERPRISES, INC. 7.75% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK |
0x384F99740e4E186a5d3fcdAB4b33E7aAeb4D08e6 |
500 |
BWA |
BORGWARNER INC. COMMON STOCK |
0xeEef8882381fa9dCf5b34Bf17E97F24290041587 |
500 |
BWG |
BRANDYWINEGLOBAL GLOBAL INCOME OPPORTUNITIES FUND INC. |
0x68d6D8fd4991D46cF3b0F2f12b7D95C3E0d4b6E5 |
500 |
BWLP |
BW LPG LIMITED COMMON SHARES |
0xF95994360486a30eDe0bE2e3123b33CDeF9FA507 |
500 |
BWMX |
BETTERWARE DE MEXICO, S.A.P.I. DE C.V. ORDINARY SHARES |
0x471CD18Fcb8A87AE32cC0e4f5BF236f59dD7a675 |
500 |
BWNB |
BABCOCK & WILCOX ENTERPRISES, INC. 6.50% SENIOR NOTES DUE 2026 |
0x34DD2D552B8F8c835E2fdcAa357D7Cff9BE8b667 |
500 |
BWSN |
BABCOCK & WILCOX ENTERPRISES, INC. 8.125% SENIOR NOTES DUE 2026 |
0xDc0b5884a9082F087b7929C6FC71C27f0BAEAb14 |
500 |
BWXT |
BWX TECHNOLOGIES, INC. COMMON STOCK |
0xB67a9697EF88064A8F897DD89Bf496008d8e2d28 |
500 |
BX |
BLACKSTONE INC. COMMON STOCK |
0xF109D3989536224eD1f807d992baAd6509F5F107 |
500 |
BXC |
BLUELINX HOLDINGS INC. COMMON STOCK |
0x72675949a0EbB0Ad494B4Cf549F7b5874Be8d52e |
500 |
BXMT |
BLACKSTONE MORTGAGE TRUST, INC. COMMON STOCK |
0xD7876934b25a000Ad2593b74942a9EBFca5ffBFE |
500 |
BXMX |
NUVEEN S&P 500 BUY |
0xd567f543C7AC6A80da7C97408F7Da06749eA23bb |
500 |
BXP |
BXP, INC. COMMON STOCK |
0xBF46854F6251d016e43b87116E95Cf5123b0fdeF |
500 |
BXSL |
BLACKSTONE SECURED LENDING FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x92c5c9C764a50d56307562a537fF1d207973d2b6 |
500 |
BY |
BYLINE BANCORP, INC. COMMON STOCK |
0x335d40774D4941D16d92562720354C270bB8bB35 |
500 |
BYD |
BOYD GAMING CORPORATION COMMON STOCK |
0x882FE294cea67219981f4db023d4435E4c048e0B |
500 |
BYM |
BLACKROCK MUNICIPAL INCOME QUALITY TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x02b79C7Fa092f00E15c5D914AC290db39ecf47D3 |
500 |
BYON |
BEYOND, INC. COMMON STOCK |
0xa58353FC082BaeD6f055670113eA5a5316E54f91 |
500 |
BZH |
BEAZER HOMES USA, INC. COMMON STOCK |
0x3b0be26F793B15db71DF28e4fe858C1a53c458Db |
500 |
C |
CITIGROUP, INC. COMMON STOCK |
0x71359f91fE40cDdE4eAa188667088E42379b9D6D |
500 |
C$N |
CITIGROUP CAPITAL XIII 7.875% FIXED RATE FLOATING RATE TRUST PREFERRED SECURITIES (TRUPS) |
0x15082DE8A1107D50D5886938199A82eC67ab8587 |
500 |
CAAP |
CORPORACION AMERICA AIRPORTS SA COMMON SHARES |
0xf81898E6cD2046Cc98315A39a3b82F1Ff252E78f |
500 |
CABO |
CABLE ONE, INC. COMMON STOCK |
0x53dd07002F107CfF05F224FF54911A1bAcD9feAa |
500 |
CACI |
CACI INTERNATIONAL, INC. CLASS A COMMON STOCK |
0xfDE88eEa0d428ffD2989b4A460f5c09c8c51F244 |
500 |
CADE |
CADENCE BANK COMMON STOCK |
0xf83958548C5Ab421Be90737dC258B2a24515080e |
500 |
CADE$A |
CADENCE BANK 5.50% SERIES A |
0x74835A85E4a9B03Ee74f7b7F06fcC904E5aC379a |
500 |
CAE |
CAE INC. ORDINARY SHARES |
0x534a806c87F68Bd77b026Ce3852AdC3F8E9194d9 |
500 |
CAF |
MORGAN STANLEY CHINA A SHARE FUND INC. COMMON STOCK |
0xad3cDe9328EbC4dEDd4da3186D52ddf89bB92b3D |
500 |
CAG |
CONAGRA BRANDS, INC. COMMON STOCK |
0x01e46818b15cADC74Bee0726f9500e0f7414fDeE |
500 |
CAH |
CARDINAL HEALTH, INC. COMMON STOCK |
0xD59E2D5811be6d8F5bE17629248798fEcd09Ab27 |
500 |
CAL |
CALERES, INC. COMMON STOCK |
0x3a704c0173Fb17b79e01d2e5d15702AEB653c477 |
500 |
CALX |
CALIX, INC COMMON STOCK |
0x8440c9944Ef2F3950551958A443972850cff4b0c |
500 |
CANG |
CANGO INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO (2) CLASS A ORDINARY SHARES |
0xE506Ff425De9a7d20222b23e1538A8519a849930 |
500 |
CAPL |
CROSSAMERICA PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x1acBFF0898e68830354D05ecf8D5DaCe78ac3bdA |
500 |
CARR |
CARRIER GLOBAL CORPORATION COMMON STOCK |
0xab165be667708C494aeDfd63D3C220D5055c4CAe |
500 |
CARS |
CARS.COM INC. COMMON STOCK |
0xc0D6e9EA0921Fc06fc2d5D4d45dC84807f5cdb9F |
500 |
CAT |
CATERPILLAR, INC. COMMON STOCK |
0x8d2aB381e7287809e57Ea3dED2413FcA0bE62B12 |
500 |
CATO |
CATO CORPORATION (THE) CLASS A COMMON STOCK |
0x55f69d4Fb9A753dDD7B81a524bF0d867EE8abe11 |
500 |
CAVA |
CAVA GROUP, INC. COMMON STOCK |
0xE7991c1495c75Ab58c91dc2FaD6b9fBAE10D6209 |
500 |
CB |
CHUBB LIMITED COMMON STOCK |
0xA77945CB5e4f0DC6210b3C82e2B5B904245e779B |
500 |
CBAN |
COLONY BANKCORP, INC. COMMON STOCK |
0x741CB1aEe3ea365CB60cDd9cF40a4974F98a0d04 |
500 |
CBL |
CBL & ASSOCIATES PROPERTIES, INC. COMMON STOCK |
0xFD7f8dbadaf8B6C50d994e41E3Cc49d92edBb459 |
500 |
CBNA |
CHAIN BRIDGE BANCORP, INC. CLASS A COMMON STOCK |
0x7b06339eb0ecf432B97456f5a2b40C5d9a025093 |
500 |
CBRE |
CBRE GROUP INC COMMON STOCK CLASS A |
0xc4aF8467590F8721346e6624F92864fc06377291 |
500 |
CBT |
CABOT CORPORATION COMMON STOCK |
0xF21e466ed3485feeA1f04904A6731be643C9A11C |
500 |
CBU |
COMMUNITY FINANCIAL SYSTEM, INC. COMMON STOCK |
0x4E70AB5f0c95346C142fb3cD7541BCC1D151C4d3 |
500 |
CBZ |
CBIZ, INC. COMMON STOCK |
0xA860284D804917DDB831FbF02F4A86e43e84728B |
500 |
CC |
CHEMOURS COMPANY (THE) COMMON STOCK |
0x6C3755Fe5Ca6120DB4F026209F381BEcB3F4C4Da |
500 |
CCI |
CROWN CASTLE INC. COMMON STOCK |
0x6f9aDD965F756D12fcc58a014b8B8cCEdB4Aed64 |
500 |
CCIA |
CARLYLE CREDIT INCOME FUND 8.75% SERIES A PREFERRED SHARES DUE 2028 |
0x27fBD3342DB775c0498B35054fe1eeCEfd6a4e7a |
500 |
CCIF |
CARLYLE CREDIT INCOME FUND SHARES OF BENEFICIAL INTEREST |
0xCe9eb90e9A611a65a11b0161EA8F18CbF3F578D6 |
500 |
CCJ |
CAMECO CORPORATION COMMON STOCK |
0xF81Ba4c565a0fB15db5779786A3e855998886995 |
500 |
CCK |
CROWN HOLDINGS, INC. |
0xDf7BCB6A4f88004d8Ca1874aA198faA95Dc8DD88 |
500 |
CCL |
CARNIVAL CORPORATION COMMON STOCK |
0x5A0277778A0BB56d63E9C784517b9cD6FA155aab |
500 |
CCM |
CONCORD MEDICAL SERVICES HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTS THIRTY (30) CLASS A ORDINARY SHARES) |
0x4A8dC9f06f6e1ab484a18d1207F269E0b5f30eB3 |
500 |
CCO |
CLEAR CHANNEL OUTDOOR HOLDINGS, INC. COMMON STOCK |
0x93533B580fBFAD2127709Ae32C71514Bd0785868 |
500 |
CCRD |
CORECARD CORPORATION COMMON STOCK |
0xA2FD3912125198167A5321c3d3478178DcC97478 |
500 |
CCS |
CENTURY COMMUNITIES, INC. COMMON STOCK |
0xA4B86c353464F60223076976A4C965b1DE126983 |
500 |
CCU |
COMPANIA CERVECERIAS UNIDAS, S.A. COMMON STOCK |
0x41cdB9386206519c577E505bA0bc55370A383730 |
500 |
CCZ |
COMCAST HOLDINGS ZONES |
0xCa34212eA92fe7dfa81b5405E5C7162eb36C1D66 |
500 |
CDE |
COEUR MINING, INC. COMMON STOCK |
0x6f07951E701a1c3680F93b3F64675B6b2A22501C |
500 |
CDLR |
CADELER A/S AMERICAN DEPOSITARY SHARE (EACH REPRESENTING FOUR (4) ORDINARY SHARES) |
0x9cF78584072C9290F98aC1d5453A57D87C516703 |
500 |
CDP |
COPT DEFENSE PROPERTIES COMMON SHARES OF BENEFICIAL INTEREST |
0x52212bB4fEf6fD467D53751512755B5efBe0EF9f |
500 |
CDR$B |
CEDAR REALTY TRUST, INC. 7.25% SERIES B CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x0Dd2833dAEE56bA21D06C4C0682Cfe664053897C |
500 |
CDR$C |
CEDAR REALTY TRUST, INC. 6.50% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x0dfDf5ee8a8c5d4F0A97843E747D723f3517AF93 |
500 |
CDRE |
CADRE HOLDINGS, INC. COMMON STOCK |
0x609C46BEfdb1295E0752567CDa2573c4D13731e1 |
500 |
CE |
CELANESE CORPORATION COMMON STOCK |
0x2dA981885F0E030db4912070A02F896336DcdE61 |
500 |
CEE |
THE CENTRAL AND EASTERN EUROPE FUND, INC. (THE) COMMON STOCK |
0x23a0703b9a76d8494bdEcf824F0d431552429347 |
500 |
CELG.R |
BRISTOL |
0x6C0408AD03BC10603d0C94e8c7F18c02cc895C60 |
500 |
CEPU |
CENTRAL PUERTO S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTS TEN COMMON SHARES) |
0x9043963f6BA59835e7fF49f8c3b2770869Cff075 |
500 |
CF |
CF INDUSTRIES HOLDINGS, INC. COMMON STOCK |
0x3C7FF603b351734dE453E1Ee2f1b687c8C43758a |
500 |
CFG |
CITIZENS FINANCIAL GROUP, INC. COMMON STOCK |
0x6a43961D04353Ff758e7dC76633d5bE276071Dd5 |
500 |
CFG$E |
CITIZENS FINANCIAL GROUP, INC. DEPOSITARY SHARES EACH REPRESENTING 1/40TH INTEREST IN A SHARE OF 5.000% FIXED |
0x346976aBDe4b36Bd2D4D05F67335b21e99393486 |
500 |
CFG$H |
CITIZENS FINANCIAL GROUP, INC. DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 7.375% FIXED |
0x73ECB4ADf0639bCC07799bb262b1626Ac257889e |
500 |
CFR |
CULLEN/FROST BANKERS, INC. COMMON STOCK |
0x1C89314a20f92d8D0917343Fa2106420D56D0993 |
500 |
CFR$B |
CULLEN/FROST BANKERS, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF 4.450% NON |
0x9FE6aa525A02b4d8dAe4234C15D300c0aF5B39DE |
500 |
CGAU |
CENTERRA GOLD INC. COMMON SHARES |
0x170a3E881a51E1ca2bD8970a386F781D253E600f |
500 |
CGV |
TWO ROADS SHARED TRUST CONDUCTOR GLOBAL EQUITY VALUE ETF |
0x99475a18E07360EE73963811237D3358B17dA9cd |
500 |
CHCT |
COMMUNITY HEALTHCARE TRUST INCORPORATED COMMON STOCK |
0x4fc50B77aB7AbA7Fa640a8DBc519f68aa9974C24 |
500 |
CHD |
CHURCH & DWIGHT COMPANY, INC. COMMON STOCK |
0x22D9c0F0cE54b2F85b19b95073373A2c02bbD74f |
500 |
CHE |
CHEMED CORP |
0x5638074A49e1B1e456545d4c7B577B2F120FE1e0 |
500 |
CHGG |
CHEGG, INC. COMMON STOCK |
0xd22969470D0814391254dcD338431A7F4Af3ec1B |
500 |
CHH |
CHOICE HOTELS INTERNATIONAL, INC. COMMON STOCK |
0xE1A4F93c7d094B5B51Ac8d6A48eB60AA6a2bF446 |
500 |
CHMI |
CHERRY HILL MORTGAGE INVESTMENT CORPORATION COMMON STOCK |
0x6d46882eAB7d62a6eeD3F26764623803B250e47B |
500 |
CHMI$A |
CHERRY HILL MORTGAGE INVESTMENT CORPORATION 8.20% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x26e3D48ac753F449FDe1B29F4a74430976Ce1707 |
500 |
CHMI$B |
CHERRY HILL MORTGAGE INVESTMENT CORPORATION 8.250% SERIES B FIXED |
0xB156E79751125d107c56e3f93D138f5C316d604F |
500 |
CHN |
CHINA FUND, INC. (THE) COMMON STOCK |
0xdc2e1Dc7E40Fe0AA0500e0BD7D8B6720f73403ac |
500 |
CHPT |
CHARGEPOINT HOLDINGS, INC. COMMON STOCK |
0xF9b1991Cc3DBBA95a8263343175A50926593C7DA |
500 |
CHT |
CHUNGHWA TELECOM CO., LTD. |
0x82c904829d73951d5Fc697BD44C12514e792961b |
500 |
CHWY |
CHEWY, INC. CLASS A COMMON STOCK |
0x4D1D408238e26A568ba81A4907e25B689e5a35F9 |
500 |
CI |
THE CIGNA GROUP COMMON STOCK |
0x0D6fCDbe9d83E13Bc3FB4d6eFD70dCb8F48dF623 |
500 |
CIA |
CITIZENS, INC. CLASS A COMMON STOCK ($1.00 PAR) |
0x7F5721Fdd4A37753a3564754fa09D3E192a0a069 |
500 |
CIB |
GRUPO CIBEST S.A. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FOUR PREFERRED SHARES |
0x8D0Fcc3E717127C0B0b88950FC845cC959e27c74 |
500 |
CICB |
CION INVESTMENT CORPORATION 7.50% NOTES DUE 2029 |
0xcE34b7799702a7B6b0fa31E4E836954E1B8b3dB4 |
500 |
CIEN |
CIENA CORPORATION COMMON STOCK |
0x234cB7111C186Ed88F05B821E154699C9Da607F7 |
500 |
CIF |
MFS INTERMEDIATE HIGH INCOME FUND COMMON STOCK |
0x6676368F2A087BbFEcE0ef609a118808E1fE3283 |
500 |
CIG |
COMP EN DE MN CEMIG ADS AMERICAN DEPOSITARY SHARES |
0x2a6Fc8A40De3a34d507799FE8C9Ea90089610F10 |
500 |
CIG.C |
COMP EN DE MN CEMIG ADS AMERICAN DEPOSITARY RECEIPTS |
0x00e68ae10D0780Dc0Bd88E49B45dD07cFb3cfA66 |
500 |
CII |
BLACKROCK ENHANCED LARGE CAP CORE FUND, INC. COMMON STOCK |
0x69399bEaEF5168F49de1F27b5c5CB0931B9C25Ff |
500 |
CIM |
CHIMERA INVESTMENT CORPORATION COMMON STOCK |
0xEA3F4342c9EFa39c7A5DD1468373935569658367 |
500 |
CIM$A |
CHIMERA INVESTMENT CORPORATION 8.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x5ffcBA3A099177Cb2c892366Ea437cd32BDD5c66 |
500 |
CIM$B |
CHIMERA INVESTMENT CORPORATION 8.00% SERIES B FIXED |
0xC4C81c1AAcDe334229B2B928566976c822d389CD |
500 |
CIM$C |
CHIMERA INVESTMENT CORPORATION 7.75% SERIES C FIXED |
0xD74ed71CdE5c1C915dBEE4A1D906CBC44f32b60C |
500 |
CIM$D |
CHIMERA INVESTMENT CORPORATION 8.00% SERIES D FIXED |
0xaDdb5c6C0c4F73bcdBD23C3F8B0dD2c16d779c88 |
500 |
CIMN |
CHIMERA INVESTMENT CORPORATION 9.000% SENIOR NOTES DUE 2029 |
0x4745e562FB652Fb0d8418A598B951CcFFba713eE |
500 |
CIMO |
CHIMERA INVESTMENT CORPORATION 9.250% SENIOR NOTES DUE 2029 |
0xc3C4dBAECf1f89D882014fAEcaBC3cD7B3765De0 |
500 |
CINT |
CI&T INC CLASS A COMMON SHARES |
0x80Eb5a277bD2870362AEaad7767F906D5b13d3F5 |
500 |
CIO |
CITY OFFICE REIT, INC. COMMON STOCK |
0x0035E2E3ad33E3752de42566D9a9cD8e81Ea56BE |
500 |
CIO$A |
CITY OFFICE REIT, INC. 6.625% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x3111AE44dCC33d5C1175d0E03E2C7Bc72D678B90 |
500 |
CION |
CION INVESTMENT CORPORATION COMMON STOCK |
0x3c40dc81911bdf33b7DDc24f2ccD3F9deB0d5df0 |
500 |
CIVI |
CIVITAS RESOURCES, INC. COMMON STOCK |
0xD04028b703e93cB986BE5E425d54B1b42A7722ac |
500 |
CL |
COLGATE |
0x5fd615B3686fD7269b700F81DD3b1358C59016eB |
500 |
CLB |
CORE LABORATORIES INC. COMMON STOCK |
0xc9f552D74e65D22eDBA246C3430B17a77aD0c273 |
500 |
CLBR |
COLOMBIER ACQUISITION CORP. II CLASS A ORDINARY SHARES |
0xA6a6Cd2e50745434170c45A4240Fb07fE31E03f0 |
500 |
CLBR.U |
COLOMBIER ACQUISITION CORP. II UNITS, EACH CONSISTING OF ONE CLASS A ORDINARY SHARE AND ONE |
0xbec3837778759621Ea0728941EE430eE8c096f66 |
500 |
CLBR.W |
COLOMBIER ACQUISITION CORP. II WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x8A6100D9e8B8F1b57084e33879a23c95Be8E2158 |
500 |
CLCO |
COOL COMPANY LTD. COMMON SHARES |
0x891af8484D4b43aa327F95517CE91502a8B0b4E3 |
500 |
CLDT |
CHATHAM LODGING TRUST (REIT) COMMON SHARES OF BENEFICIAL INTEREST |
0x396F6Ce8aF23947A57F9Aa41F88bD3e7125C69bf |
500 |
CLDT$A |
CHATHAM LODGING TRUST (REIT) 6.625% SERIES A CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x76eF62475645c3c4e5c271b090d310A091eFa43b |
500 |
CLF |
CLEVELAND |
0x897366D1F84B1090ead4f57C759F0DcA5d87C6c3 |
500 |
CLH |
CLEAN HARBORS, INC. COMMON STOCK |
0x146A6aB518Fe998021226649c9b10121133A60Ec |
500 |
CLPR |
CLIPPER REALTY INC. COMMON STOCK |
0x198726Cd6f135358fA9d2eF3274c64873b1B702D |
500 |
CLS |
CELESTICA, INC. COMMON STOCK |
0x9aCCE5B96507714d0A41b2654c45C6d658B4058c |
500 |
CLVT |
CLARIVATE PLC ORDINARY SHARES |
0x5F4848cF0cCd8A90bd2E526a23c01f2d32735797 |
500 |
CLW |
CLEARWATER PAPER CORPORATION COMMON STOCK |
0x624c47D49dBB8273d2a0056B9A7AbD303ba86C9c |
500 |
CLX |
CLOROX COMPANY (THE) COMMON STOCK |
0xb3467Be9CF33690E44a73376012412Cc2C4d5b4e |
500 |
CM |
CANADIAN IMPERIAL BANK OF COMMERCE COMMON STOCK |
0x1f66297c30127aCC287806F6994673Ee6B9b0fC8 |
500 |
CMA |
COMERICA INCORPORATED COMMON STOCK |
0x5e9AF781eB9DB2fcbbb877176D1211f06727F137 |
500 |
CMBT |
CMB.TECH NV ORDINARY SHARES |
0x564957786c7fF633b6eb1bA597B7278376Dc664C |
500 |
CMC |
COMMERCIAL METALS COMPANY COMMON STOCK |
0x789166250e1AF354687336Cec9A1cb0939bc6fF5 |
500 |
CMCM |
CHEETAH MOBILE INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FIFTY (50) CLASS A ORDINARY SHARES |
0x645Ddd5578DA16c65dF853f4cEF6Ac02C72691e7 |
500 |
CMDB |
COSTAMARE BULKERS HOLDINGS LIMITED COMMON STOCK |
0x4dEC542dA1eEAB4Abfb25224b4e8cc6Bd85D83eA |
500 |
CMG |
CHIPOTLE MEXICAN GRILL, INC. COMMON STOCK |
0x5E59D57E4cce1907DF0Bf7258D045a4E1012e70C |
500 |
CMI |
CUMMINS INC. COMMON STOCK |
0xf4AAb5FeD48e857174c25E168AD23a18fFDdCdc5 |
500 |
CMP |
COMPASS MINERALS INTL INC COMMON STOCK |
0x95BA5Dde34A6fb8B2f1bC311468379e9eCF77f73 |
500 |
CMRE |
COSTAMARE INC. COMMON STOCK $0.0001 PAR VALUE |
0x50a1FC3A6f67d2edb55f95aEdc1aAb45cA526837 |
500 |
CMRE$B |
COSTAMARE INC. PERPETUAL PREFERRED STOCK SERIES B (MARSHALL ISLANDS) |
0xC973521741FbFD2C87fBF04DCa6d3Bd54AD042f7 |
500 |
CMRE$C |
COSTAMARE INC. PERPETUAL PREFERRED SERIES C (MARSHALL ISLANDS) |
0xa9c9A425365fA09163d854EFd516ED7D5f258A6A |
500 |
CMRE$D |
COSTAMARE INC. 8.75% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0x16629b642234FDC3be239922130561e9B68B4e98 |
500 |
CMS |
CMS ENERGY CORPORATION COMMON STOCK |
0x159B78a19B76Da63401fDA04842Bc05Bd47D23BB |
500 |
CMS$B |
CMS ENERGY CORPORATION PREFERRED STOCK |
0x0C2302FF3157071B3592CDcd885bD7755F8b62da |
500 |
CMS$C |
CMS ENERGY CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 4.200% CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK, SERIES C |
0x38c5C7FaD1875Aa0bB395d58b166168f46dce0E6 |
500 |
CMSA |
CMS ENERGY CORPORATION 5.625% JUNIOR SUBORDINATED NOTES DUE 2078 |
0x9Fd722Bb221e1DE10797A6cEC0463e03A114DE6A |
500 |
CMSC |
CMS ENERGY CORPORATION 5.875% JUNIOR SUBORDINATED NOTES DUE 2078 |
0x4d6AB77054C315D7EAF0b89b5f10fCBB24b112dE |
500 |
CMSD |
CMS ENERGY CORPORATION 5.875% JUNIOR SUBORDINATED NOTES DUE 2079 |
0xE7C2FB7AB3346dE0b5d174bAeBb83F223eCcb335 |
500 |
CMTG |
CLAROS MORTGAGE TRUST, INC. COMMON STOCK |
0x4F84EB99BF25bDd23E8C5901B56d7E35EF9E8d75 |
500 |
CMU |
MFS MUNICIPAL INCOME TRUST COMMON STOCK |
0x7F1935c995b568C4BedEDE6494C4f8e7e42A1Cea |
500 |
CNA |
CNA FINANCIAL CORPORATION COMMON STOCK |
0xced89201bCc2089FE9243ad57c6bf914e4a4e29f |
500 |
CNC |
CENTENE CORPORATION COMMON STOCK |
0xdACa18e259581e84d36313f3048f1c4Fe392582a |
500 |
CNF |
CNFINANCE HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWENTY (20) ORDINARY SHARES |
0xaeC6276f7670fe19488721C230eb522D4D99C8A3 |
500 |
CNH |
CNH INDUSTRIAL N.V. COMMON SHARES |
0x6beD46F45fc45bbBf354f1452C5A4DC2306E649e |
500 |
CNI |
CANADIAN NATIONAL RAILWAY COMPANY COMMON STOCK |
0x21c74ECf1557c04727CB358df2FC47455FCe9B5F |
500 |
CNK |
CINEMARK HOLDINGS INC CINEMARK HOLDINGS, INC. COMMON STOCK |
0x17616860c668E2118aB52ac08399513c38fa679d |
500 |
CNM |
CORE & MAIN, INC. CLASS A COMMON STOCK |
0x8B6b8797Cc3c624d7229DcEe69Bf8D914a252595 |
500 |
CNMD |
CONMED CORPORATION COMMON STOCK |
0x4e9d3b983664Ca4fBD203E64c0dEFb4c7365a9d5 |
500 |
CNNE |
CANNAE HOLDINGS, INC. COMMON STOCK |
0x0ac4BCC3d8c03ED364548d92e7C25e77e4A0E114 |
500 |
CNO |
CNO FINANCIAL GROUP, INC. COMMON STOCK |
0x1667b5A37503b8C7631cb466BF5c8532EE177476 |
500 |
CNO$A |
CNO FINANCIAL GROUP, INC. 5.125% SUBORDINATED DEBENTURES DUE 2060 |
0x244964f3790B492c035C07e04EE543037d4fE6d3 |
500 |
CNP |
CENTERPOINT ENERGY, INC (HOLDING CO) COMMON STOCK |
0x60888090530b837411e8Fb7B44CfcdFf266d320f |
500 |
CNQ |
CANADIAN NATURAL RESOURCES LIMITED COMMON STOCK |
0xC5A87fd899225a548934642776F126EF38b23066 |
500 |
CNR |
CORE NATURAL RESOURCES, INC. COMMON STOCK |
0x4f34DEEbdA03903745Ad840594a53D4556b47c9d |
500 |
CNS |
COHEN & STEERS INC COMMON STOCK |
0x873d932073Be46F6193Da2c0d425dF1698d2E5D1 |
500 |
CNX |
CNX RESOURCES CORPORATION COMMON STOCK |
0x058F116d379F4B32c640811c8a4612a65451D4e3 |
500 |
CODI |
D/B/A COMPASS DIVERSIFIED HOLDINGS SHARES OF BENEFICIAL INTEREST |
0x2d8EF473F99FB2C8C5F806a247511A76F8b8c23E |
500 |
CODI$A |
COMPASS DIVERSIFIED HOLDINGS 7.250% SERIES A PREFERRED SHARES REPRESENTING BENEFICIAL INTEREST IN COMPASS DIVERSIFIED HOLDINGS |
0x93908f94F854267E84aFfb9D2aC45C5b36F40307 |
500 |
CODI$B |
COMPASS DIVERSIFIED HOLDINGS 7.875% SERIES B FIXED |
0x72D3A9BB69b5dC87B4496a39704cc5c63E778c45 |
500 |
CODI$C |
COMPASS DIVERSIFIED HOLDINGS 7.875% SERIES C CUMULATIVE PREFERRED SHARES |
0x6e5D9639f643c8654f2460C8E57fac8bf46f14FA |
500 |
COF |
CAPITAL ONE FINANCIAL CORPORATION COMMON STOCK |
0xC82d2755dC292f3dd6Eadf4309808D7B03624daA |
500 |
COF$I |
CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON |
0x133C1c1b00951d998c0307FD7F9Ddf961079F17A |
500 |
COF$J |
CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON |
0x1b81D92e369b69A2FeE928E161e7d6440E8D5A1F |
500 |
COF$K |
CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE NON |
0x249b12Ea247f049777BB2334311083a4D82e0976 |
500 |
COF$L |
CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON |
0x122BdCe2c7bA3209d1A2275f662B13f3d169D5f3 |
500 |
COF$N |
CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE NON |
0x7E7CF8Fb6B6334025feE3Ba8672449B2F50a2F67 |
500 |
COHR |
COHERENT CORP. COMMON STOCK |
0xC095E2157768203bF16797feeE165B653d450a03 |
500 |
COLD |
AMERICOLD REALTY TRUST, INC. COMMON STOCK |
0x9590BB6d6837D0107840dc7E9EFc7eB3a46B5D02 |
500 |
COMP |
COMPASS, INC. CLASS A COMMON STOCK |
0x24001BA750a62cF8Ae7BD421779FB2C84EE92e51 |
500 |
CON |
CONCENTRA GROUP HOLDINGS PARENT, INC. COMMON STOCK |
0x22EeEcd14690A0E25D92E05ca2D842780B2c1a3C |
500 |
COOK |
TRAEGER, INC. COMMON STOCK |
0x7de285F4d6f5bD687b7392FF58c9Fc6a16b77bd8 |
500 |
COP |
CONOCOPHILLIPS COMMON STOCK |
0x8821832056E66b73699596F5191D94AFc64b0e4e |
500 |
COPL |
COPLEY ACQUISITION CORP ORDINARY SHARES |
0x6a2270381C67F696c6e5a246201d55ae5D20Ca13 |
500 |
COPL.U |
COPLEY ACQUISITION CORP UNITS, EACH CONSISTING OF ONE ORDINARY SHARE AND ONE |
0x6da56780A42fA366b169AE8BC1dA626cb775852c |
500 |
COPL.W |
COPLEY ACQUISITION CORP REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 |
0x69f63B6F0144b70350f592a8ad7f65d8ca81994e |
500 |
COR |
CENCORA, INC. COMMON STOCK |
0xC1c5a1332A66422dA1313259C05aD1109FE5Bba5 |
500 |
COTY |
COTY INC. CLASS A COMMON STOCK |
0x9FA5648F42dcD8c0c826a97baB4e9A4f2a2F4B4C |
500 |
COUR |
COURSERA, INC. COMMON STOCK |
0xeFB96C0de8a9702bcdc6A79E2e3B7b8Debc29858 |
500 |
CP |
CANADIAN PACIFIC KANSAS CITY LIMITED COMMON SHARES |
0x9991700d71EC1c3DE525C7E4a49D43dFfacA3f22 |
500 |
CPA |
COPA HOLDINGS, S.A. CLASS A COMMON STOCK |
0x18FC5e608B3ca947A08b971eeAEDd88327251c31 |
500 |
CPAC |
CEMENTOS PACASMAYO S.A.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING FIVE COMMON SHARES) |
0x9c41E70D982CE2EDB1F9335C94be9dcE9Afc2248 |
500 |
CPAI |
NORTHERN LIGHTS FUND TRUST III COUNTERPOINT QUANTITATIVE EQUITY ETF |
0xE4861ed42BD57229eE72FF7a765311e4aC0FeD73 |
500 |
CPAY |
CORPAY, INC. COMMON STOCK |
0xdC65027758730AbC17F67397d5735b94174D1C8a |
500 |
CPF |
CENTRAL PACIFIC FINANCIAL CORP NEW |
0x548E2ab99A022Edb4165cE0e7D3F7Cc8D6AFA95e |
500 |
CPK |
CHESAPEAKE UTILITIES CORPORATION COMMON STOCK |
0xf10EE0DD02F92900C5FC4d1cd0a1A9BF35a40aEd |
500 |
CPNG |
COUPANG, INC. CLASS A COMMON STOCK |
0x9e3B61c8A1486ba324683A6Ae2FE5Cc8B58C7c78 |
500 |
CPRI |
CAPRI HOLDINGS LIMITED ORDINARY SHARES |
0xC97d0226760E898d9262789a3e28793aF604E8ad |
500 |
CPS |
COOPER |
0xCCEb607870927B3A738845dC285B50546a3536eC |
500 |
CPT |
CAMDEN PROPERTY TRUST COMMON STOCK |
0x691192Ca399821d812C50cF48b1F802c51a7eF71 |
500 |
CQP |
CHENIERE ENERGY PARTNERS, LP COMMON UNITS |
0x834e85Dcf37b73984e8e43752E6C2187119CB37D |
500 |
CR |
CRANE COMPANY COMMON STOCK |
0x5b9c557e4aB2cCE3f9657DeB9F02D80EC7D7a38d |
500 |
CRBD |
COREBRIDGE FINANCIAL INC. 6.375% JUNIOR SUBORDINATED NOTES DUE 2064 |
0xfE534404693119D8A2504e6D981d0200EA9bAF17 |
500 |
CRBG |
COREBRIDGE FINANCIAL INC. COMMON STOCK |
0x101A78B8Df623A41658f9582A4c118072CA50139 |
500 |
CRC |
CALIFORNIA RESOURCES CORPORATION COMMON STOCK |
0x14F6313253e824b771C842e8289Cba972B28a098 |
500 |
CRCL |
CIRCLE INTERNET GROUP, INC. CLASS A COMMON STOCK |
0x3CdDe29D1F1952E5111db0B16Ca94e2D1541DdeD |
500 |
CRD.A |
CRAWFORD & COMPANY COMMON STOCK |
0x1b8834410b2BF1e6Ffc7143cf61Bc1d9C4D72911 |
500 |
CRD.B |
CRAWFORD & COMPANY COMMON STOCK |
0x5dfaBa3eFe0bEeFA643a8f5F0Ce61E2CafA85967 |
500 |
CRGY |
CRESCENT ENERGY COMPANY CLASS A COMMON STOCK |
0xa92c5c8c9C4FFA3ea7906A2B864aEfD96c8b2e5E |
500 |
CRH |
CRH PLC ORDINARY SHARES |
0xC65836002b205e4dedf1a7f9D0984840551f783c |
500 |
CRI |
CARTER'S, INC. COMMON STOCK |
0x49B3960C62c9a63cD4D2A02Be48d0E5E7200E7F5 |
500 |
CRK |
COMSTOCK RESOURCES, INC. COMMON STOCK |
0x8Aa8a4629CBf4145eE56134585aE2eF0b06E83ed |
500 |
CRL |
CHARLES RIVER LABORATORIES INTERNATIONAL, INC. COMMON STOCK |
0xA2F96CE12184b2F9F747a8B36A6ABd3420eCf500 |
500 |
CRM |
SALESFORCE, INC. COMMON STOCK |
0x503b922e516e62E3E1E8b245A030ED77A65edD41 |
500 |
CRS |
CARPENTER TECHNOLOGY CORPORATION COMMON STOCK |
0x7D104526c51d8f728D9Dd007A31e78973190dD24 |
500 |
CRT |
CROSS TIMBERS ROYALTY TRUST COMMON STOCK |
0xE6c835c623AD4105A63d229beaab15FDa586a7a7 |
500 |
CSAN |
COSAN S.A. ADS |
0xDB5F54b3d19f2568b0AdC6ddCc1892dF369dCBD9 |
500 |
CSL |
CARLISLE COMPANIES INCORPORATED COMMON STOCK |
0xF4Bbf9fE3c48C20739864F2E4190780a367f2c9b |
500 |
CSR |
D/B/A CENTERSPACE COMMON STOCK |
0x05c2Fe86Bc5C68ad6Da49AAA49e6789071A56BA4 |
500 |
CSTM |
CONSTELLIUM SE ORDINARY SHARES (FRANCE) |
0xD1643E9BF4E5FE21B54742cD01aeA0826D9D4798 |
500 |
CSV |
CARRIAGE SERVICES, INC. COMMON STOCK |
0x3F76F5713309cc1cB34aD536a0D2661FEb829B0c |
500 |
CSW |
CSW INDUSTRIALS, INC. COMMON STOCK |
0x48bdd0fE2C0F0e05E4458dbfdc800E709c21FCa3 |
500 |
CTA$A |
EIDP, INC. PREFERRED STOCK $3.50 SERIES |
0x40E65264A4b41e2dE876bA2b3a1820Ea1c19F8CA |
500 |
CTA$B |
EIDP, INC. PREFERRED STOCK $4.50 SERIES |
0xCF83E021Ff810456bA0DC71CE95aF4eB4de9F4B7 |
500 |
CTBB |
QWEST CORPORATION 6.5% NOTES DUE 2056 |
0xB0109064C44Ae50D44d4CF48550D5Cffd6bdDf5D |
500 |
CTDD |
QWEST CORPORATION 6.75% NOTES DUE 2057 |
0x8A472aF514B6a285228B9500361701BBd9878F9A |
500 |
CTEV |
CLARITEV CORPORATION CLASS A COMMON STOCK |
0x83494dd7E4729d66Fc32A9D615D3ea6959C3E934 |
500 |
CTO |
CTO REALTY GROWTH, INC. COMMON STOCK |
0x3111322bE010A07F285eBa85DfA85E640a84b50B |
500 |
CTO$A |
CTO REALTY GROWTH, INC. 6.375% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xcf1c0F3E7816F71A1376c5B8596D66A643958164 |
500 |
CTOS |
CUSTOM TRUCK ONE SOURCE, INC. COMMON STOCK |
0x7256d1aFb192aE04B852C5B2c18D69342056c965 |
500 |
CTRA |
COTERRA ENERGY INC. COMMON STOCK |
0xAa3a89115534e6820a1C7302fa4176096bDbD3D5 |
500 |
CTRE |
CARETRUST REIT, INC. COMMON STOCK |
0x8310EE422fBDa9140E3c6833a5d66eaC901cD5ab |
500 |
CTRI |
CENTURI HOLDINGS, INC. COMMON STOCK |
0x6129B9bA2FD0a7C858fF39ee52FaF0be2655dE4B |
500 |
CTS |
CTS CORPORATION COMMON STOCK |
0x4d778372292C64CD0b7F1242c848Be130c2FE31b |
500 |
CTVA |
CORTEVA, INC. COMMON STOCK |
0x64a7818262e7ecb956872f2333B239D03993F5b4 |
500 |
CUBB |
CUSTOMERS BANCORP, INC 5.375% SUBORDINATED NOTES DUE 2034 |
0xe8E6bB61C370E93eB24a9FE00E718d98828D45C7 |
500 |
CUBE |
CUBESMART COMMON SHARES |
0x6824F5aEb84d554046A780429fd11eFd0bd04F62 |
500 |
CUBI |
CUSTOMERS BANCORP, INC COMMON STOCK |
0x14E10F66b3E7D16C838C5243Ae9eB7215895606f |
500 |
CUBI$F |
CUSTOMERS BANCORP, INC FIXED |
0x238D69bA373CE1d8Be0bD0354A1F68d66788b58e |
500 |
CUK |
CARNIVAL PLC ADS ADS |
0x13f97be1E15E133D3992Ca3665762a4B92650DB1 |
500 |
CULP |
CULP, INC. COMMON STOCK |
0x70AA25D982C95B5759E3D7Afb00FF2EdFcf2FEBa |
500 |
CURB |
CURBLINE PROPERTIES CORP. COMMON STOCK |
0x5a411415a19e585E582daf5B8994B1Cf867406A0 |
500 |
CURV |
TORRID HOLDINGS INC. COMMON STOCK |
0xb08194fb147A3a947c834319D74263289072ca15 |
500 |
CUZ |
COUSINS PROPERTIES INCORPORATED COMMON STOCK |
0x3605B03B185Ff442075fd375863d43339533F6ef |
500 |
CVE |
CENOVUS ENERGY INC COMMON STOCK |
0x12fE2f56484137fF6292b65a2Fc3B9adf78B1c90 |
500 |
CVE.W |
CENOVUS ENERGY INC WARRANTS (EACH WARRANT ENTITLES THE HOLDER TO PURCHASE ONE COMMON SHARE AT AN EXERCISE PRICE OF C$6.54 PER SHARE) |
0xF3e272718BbA455Baf02290835eD010Bf4cA7B51 |
500 |
CVEO |
CIVEO CORPORATION (CANADA) COMMON SHARES |
0x08A7A44619DC08EE8789387A50BAAf9c5856072d |
500 |
CVI |
CVR ENERGY INC. COMMON STOCK |
0x91edf1D46d49A935D4AeC337355FC327E931Ae0E |
500 |
CVLG |
COVENANT LOGISTICS GROUP, INC. CLASS A COMMON STOCK |
0xFDa9C9BB4b716797944f89D642c67F3D1266e7DC |
500 |
CVNA |
CARVANA CO. CLASS A COMMON STOCK |
0x2460e644e6c98de79b3C8fbc3651Ece8Ab12f81B |
500 |
CVS |
CVS HEALTH CORPORATION COMMON STOCK |
0xF4A8345480A2Fb3eB6098D086eF3575D8ACFBbc8 |
500 |
CVX |
CHEVRON CORPORATION COMMON STOCK |
0x89863CAb386f7e48dC12f406739B9Ae0677d4277 |
500 |
CW |
CURTISS |
0x1a446C950B2c6Bc72f032E60d75Fe141417ec4bF |
500 |
CWAN |
CLEARWATER ANALYTICS HOLDINGS, INC. CLASS A COMMON STOCK |
0xAf646EED233e98b117C238B2A8EEA27a6d15f725 |
500 |
CWEN |
CLEARWAY ENERGY, INC. CLASS C COMMON STOCK |
0x58cd9f0f713d5acE721665f992042D430f9389f2 |
500 |
CWEN.A |
CLEARWAY ENERGY, INC. CLASS A COMMON STOCK |
0xD7692A398dc62486083429ba3814Bc1617562974 |
500 |
CWH |
CAMPING WORLD HOLDINGS, INC. CLASS A COMMON STOCK |
0x300f50be110B1EBeE2133737CC13a53A225Ff4a5 |
500 |
CWK |
CUSHMAN & WAKEFIELD PLC ORDINARY SHARES |
0x18D31956a6576F3EAA2349199F1a9B8D220da7E2 |
500 |
CWT |
CALIFORNIA WATER SERVICE GROUP COMMON STOCK |
0x2080DdFdD0B04413709DA046f22E9A8dDd88D1E9 |
500 |
CX |
CEMEX, S.A.B. DE C.V. SPONSORED ADR |
0x4107bC9d80569F5AC538697dbeD86453E8bf4256 |
500 |
CXE |
MFS HIGH INCOME MUNICIPAL TRUST COMMON STOCK |
0x4801b97D981C684857f9c8E8E1547cE46a59Bb1A |
500 |
CXH |
MFS INVESTMENT GRADE MUNICIPAL TRUST COMMON STOCK |
0x8909Dc2B9FC34131E54DA209C92cf3F5Db45C793 |
500 |
CXM |
SPRINKLR, INC. CLASS A COMMON STOCK |
0xB2677b21298431E01d711113c8a0e85c61838795 |
500 |
CXT |
CRANE NXT, CO. COMMON STOCK |
0xDfEfE24FC714F2F6B95c4d0dFccc51816080dca1 |
500 |
CXW |
CORECIVIC, INC. COMMON STOCK |
0x726DD460b075863DD47ce74a8FCE52161b5be2C9 |
500 |
CYD |
CHINA YUCHAI INTERNATIONAL LIMITED COMMON STOCK |
0x10F7993c79E260CcB66eFa4c1cFd1451ae9E7De6 |
500 |
CYH |
COMMUNITY HEALTH SYSTEMS, INC. COMMON STOCK |
0xAe5D98F31A28DdE747c222F1b3E82E198208b0a8 |
500 |
D |
DOMINION ENERGY, INC. COMMON STOCK |
0x65906989ca328cADEB84D49cE5aC72385A6494a7 |
500 |
DAC |
DANAOS CORPORATION COMMON STOCK |
0xE801fD898B50358FAe1EF5DBB7ee9D69fb5158eE |
500 |
DAL |
DELTA AIR LINES, INC. COMMON STOCK |
0x6626E4eD1DD8A863d97ddf1412238AdDC592eE45 |
500 |
DAN |
DANA INCORPORATED COMMON STOCK |
0xBa21887d48c2D986034b4eC91d8CedBABBF740d4 |
500 |
DAO |
YOUDAO, INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0x00c9B9BbF1ED3d99719c172fbA9e6C37F09F2Ae2 |
500 |
DAR |
DARLING INGREDIENTS INC. COMMON STOCK |
0x3c35Fa649682F101800E0a01F05eD1c0Ea6A4874 |
500 |
DAVA |
ENDAVA PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE CLASS A ORDINARY SHARE) |
0x20F3213C7655DB37762aE44A0753556A10E6e8Cc |
500 |
DAY |
DAYFORCE, INC. COMMON STOCK |
0xED6bB577f7C7BB6C7db613C429527d57aaa2031b |
500 |
DB |
DEUTSCHE BANK AG COMMON STOCK |
0xEd663dA4b844F427d0A7fCC209ac3AC2E9Bba23e |
500 |
DBD |
DIEBOLD NIXDORF INCORPORATED COMMON STOCK |
0x9911282382aA6eAa3F21472618F77b74dFB2Ea40 |
500 |
DBI |
DESIGNER BRANDS INC. CLASS A COMMON STOCK |
0x54eCE205fd432403C80aF36712ebf8eE9B53523e |
500 |
DBL |
DOUBLELINE OPPORTUNISTIC CREDIT FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x3b20C094CfCEc179Eb4563464090E18aA7148F99 |
500 |
DBRG |
DIGITALBRIDGE GROUP, INC. |
0xCbef218d43010d893CF343A3A9f2e239FcF34d79 |
500 |
DBRG$H |
DIGITALBRIDGE GROUP, INC. 7.125% SERIES H |
0xE9662806BD8425999d7b4bEfDCc4804E285A98A0 |
500 |
DBRG$I |
DIGITALBRIDGE GROUP, INC. 7.15% SERIES I |
0x72281660Cf282E6508d1dB553c42c3C5485e76BD |
500 |
DBRG$J |
DIGITALBRIDGE GROUP, INC. 7.125% SERIES J |
0x3C75d4c04bd801E7e611887A982CEdAb37B3Ad3d |
500 |
DCI |
DONALDSON COMPANY, INC. COMMON STOCK |
0xB9ea08d8304d68D435A693aF36B34AC08F02f361 |
500 |
DCO |
DUCOMMUN INCORPORATED COMMON STOCK |
0xb0A181A0098566a42fD4cf42934Ab6Bfd44C5A87 |
500 |
DD |
DUPONT DE NEMOURS, INC. COMMON STOCK |
0x16720EDf4438EC4A70b6aF9E9Fa925a8BC215143 |
500 |
DDD |
3D SYSTEMS CORPORATION COMMON STOCK |
0xBf3F7Df5F48b322F1F5668f569CB538eb6225c94 |
500 |
DDL |
DINGDONG (CAYMAN) LIMITED AMERICAN DEPOSITARY SHARES (EACH TWO REPRESENTING THREE ORDINARY SHARES) |
0x0F1dFA7E3B52ff951e901B8555185E17C3ADe9E4 |
500 |
DDS |
DILLARD'S, INC. COMMON STOCK |
0x9E79360ad2b886528160305B8cadC9B8D7768e02 |
500 |
DDT |
DILLARD'S CAPITAL TRUST I |
0x122FB2A3B6dA084d55F31bcCC6Dff1b081Ea659F |
500 |
DE |
DEERE & COMPANY COMMON STOCK |
0x59Fbb200aA8a3C8a957359E8Cb3e91B43859b480 |
500 |
DEA |
EASTERLY GOVERNMENT PROPERTIES, INC. COMMON STOCK |
0x516D333E7387FB790a1fB367E519D32f128c5ba5 |
500 |
DEC |
DIVERSIFIED ENERGY COMPANY PLC ORDINARY SHARES |
0x12822aE16e4c2163ccd691C9aE35D6987a583821 |
500 |
DECK |
DECKERS OUTDOOR CORPORATION COMMON STOCK |
0xbaB936EE3700E3e13F8Ded44dc840d43bbF63391 |
500 |
DEI |
DOUGLAS EMMETT, INC. COMMON STOCK |
0xffD28A74aB456b46920F799E71bEc5d03390aaFA |
500 |
DELL |
DELL TECHNOLOGIES INC. CLASS C COMMON STOCK |
0x0D5ec6f82F80d6f3301e24465B9B08390ab0168e |
500 |
DEO |
DIAGEO PLC COMMON STOCK |
0x1D5bB1e3c557066A2A6F913E59E032B58eA9EA00 |
500 |
DFH |
DREAM FINDERS HOMES, INC. CLASS A COMMON STOCK |
0x08D5Aff958bFFe671c5c96079c19c029C8aC6342 |
500 |
DFIN |
DONNELLEY FINANCIAL SOLUTIONS, INC. COMMON STOCK |
0xc532df573B97B18a79c7584741A74f6948f05e6F |
500 |
DFP |
FLAHERTY & CRUMRINE DYNAMIC PREFERRED AND INCOME FUND INC. COMMON STOCK |
0x4DcfB96C843a041F2456fEEb896FcFf0C3E0aD6b |
500 |
DG |
DOLLAR GENERAL CORPORATION COMMON STOCK |
0x2357268273C898fAAcB77DC2b054aA50dE0F3556 |
500 |
DGX |
QUEST DIAGNOSTICS INCORPORATED COMMON STOCK |
0x61758447319194e3C61e692D39Fb4682066A6f03 |
500 |
DHF |
BNY MELLON HIGH YIELD STRATEGIES FUND COMMON STOCK |
0xfEFE3042be8860CE910473600B447fDBB0129A43 |
500 |
DHI |
D.R. HORTON, INC. COMMON STOCK |
0x3d8Ebf26BD108fE110c653400730C24f273e4068 |
500 |
DHR |
DANAHER CORPORATION COMMON STOCK |
0x3f540c74d4148126545049afF33A188f80fF21f1 |
500 |
DHT |
DHT HOLDINGS, INC. |
0x248013F5eA64504cCeD6a228019f9d96729D1bD9 |
500 |
DHX |
DHI GROUP, INC. COMMON STOCK |
0xE64B3B11873B9706B1eEbe161801EcEddc2ffA9D |
500 |
DIAX |
NUVEEN DOW 30SM DYNAMIC OVERWRITE FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x740489211045E0b2A8242dfDe574aD3a236A9dd9 |
500 |
DIN |
DINE BRANDS GLOBAL, INC. COMMON STOCK |
0x0A0DFA0Cda21fDf6413d1D5d8f0c290988589015 |
500 |
DINO |
HF SINCLAIR CORPORATION COMMON STOCK |
0x4B6B0445571be1645806fC6a05A2835Cba3AE4d5 |
500 |
DIS |
WALT DISNEY COMPANY (THE) COMMON STOCK |
0x97cBAB6EfC22854Ff7E20A86420C3acCb71bd7e6 |
500 |
DIVY |
SOUND EQUITY DIVIDEND INCOME ETF |
0xb5420Ca08949fF408C8b359DFD2194D5d97d7153 |
500 |
DK |
DELEK US HOLDINGS, INC. COMMON STOCK |
0x22dFac9dc0EF33652bBB36428c9c2688496088EE |
500 |
DKL |
DELEK LOGISTICS PARTNERS, L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x51BAbc241bCCBe070E4B531A8849F8151f0d252b |
500 |
DKS |
DICK'S SPORTING GOODS INC COMMON STOCK |
0xEB352C9100455e9aE3D7Db37A5C0478c8DC8DEfa |
500 |
DLB |
DOLBY LABORATORIES COMMON STOCK |
0xBaa9381D8ffc4060B93C4B31edbC036C24bD9E6E |
500 |
DLNG |
DYNAGAS LNG PARTNERS LP COMMON UNITS |
0xF96079bb7ed00A2FBc523f75dc06D561430C5410 |
500 |
DLNG$A |
DYNAGAS LNG PARTNERS LP 9.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED UNITS |
0x9Dfad2C842ed9DF7b020D5E061ffeB11b52D304B |
500 |
DLNG$B |
DYNAGAS LNG PARTNERS LP 8.75% SERIES B FIXED TO FLOATING RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS, LIQUIDATION PREFERENCE $25.00 PER UNI |
0x13d73Fc466712003C2903a5a53D847f824ca5D7d |
500 |
DLR |
DIGITAL REALTY TRUST, INC. COMMON STOCK |
0x22fA5646D98BaCD9536a9dE230492D776d384016 |
500 |
DLR$J |
DIGITAL REALTY TRUST, INC. 5.250% SERIES J CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x03F5Ef3893955244639F18457000b9b213f069B9 |
500 |
DLR$K |
DIGITAL REALTY TRUST, INC. 5.850% SERIES K CUMULATIVE REDEEMABLE PREFERRED STOCK, PAR VALUE $0.01 PER SHARE |
0x6E61861873E2E94CD81DCdf13a4dB399052ad365 |
500 |
DLR$L |
DIGITAL REALTY TRUST, INC. 5.200% SERIES L CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x371C2413f30469b07FAe536b99B94A937580f78e |
500 |
DLX |
DELUXE CORPORATION COMMON STOCK |
0x3c5181e06fFE8A01E7186Fda31B64ED02551334a |
500 |
DLY |
DOUBLELINE YIELD OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x31f3DC7aee67638b0e0511D83E27a11E9B4cb08A |
500 |
DMA |
DESTRA MULTI |
0x7c6352407e0FDca445d5A6767A8962fFa8f62e5C |
500 |
DMB |
BNY MELLON MUNICIPAL BOND INFRASTRUCTURE FUND, INC. COMMON STOCK |
0xa941ef58EE0b3f9eCCB030C544CF74bC3d796168 |
500 |
DMO |
WESTERN ASSET MORTGAGE OPPORTUNITY FUND INC. COMMON STOCK |
0xe05Cce284D3D50480bD67E9a93e5B3E50978AAfA |
500 |
DNA |
GINKGO BIOWORKS HOLDINGS, INC. CLASS A COMMON STOCK |
0x4C934D80a5392e5F0c0962Ff569E763dBc0c8b12 |
500 |
DNB |
DUN & BRADSTREET HOLDINGS, INC. COMMON STOCK |
0xD304421705Ed7F8D1e468EE0B82548b33b3EFaDF |
500 |
DNOW |
DNOW INC. COMMON STOCK |
0xD4709dC008fA3A8FD6dEF4F97c1ec550c9CE4d8C |
500 |
DNP |
DNP SELECT INCOME FUND, INC. COMMON STOCK |
0x812ba67f3165752e28641EF2f0Ad2924DD77Bc77 |
500 |
DOC |
HEALTHPEAK PROPERTIES, INC. COMMON STOCK |
0x71DC8f48Fc2960eF1C03Dc24318B36d75B1CE2F7 |
500 |
DOCN |
DIGITALOCEAN HOLDINGS, INC. COMMON STOCK |
0x961352dB321AB1b6e16eeEF20CDaf752ccEeaB54 |
500 |
DOCS |
DOXIMITY, INC. CLASS A COMMON STOCK |
0x4b2B99C2d9Ae8d0a9d5c537D552f33C98A04b94a |
500 |
DOLE |
DOLE PLC ORDINARY SHARES |
0x3c6845701Af973C22560529E8Aed203818C94138 |
500 |
DOUG |
DOUGLAS ELLIMAN INC. COMMON STOCK |
0xFD10c507bdaf416596D0311Ca4C6F85A9b04A3a5 |
500 |
DOV |
DOVER CORPORATION COMMON STOCK |
0x06bF0388EafD6dD956d3B56217284ded29b61F73 |
500 |
DOW |
DOW INC. COMMON STOCK |
0x1Fe3e4f3F1D1E29629691229D8257E46B8B3D1b3 |
500 |
DPG |
DUFF & PHELPS UTILITY AND INFRASTRUCTURE FUND INC. |
0x29cB46b3C833625f9e06910AafBFE5b3F7eeEcd4 |
500 |
DQ |
DAQO NEW ENERGY CORP. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FIVE ORDINARY SHARES |
0xeDF4C015E6F6e03c4Ca50Cbec3680042d491C940 |
500 |
DRD |
DRDGOLD LIMITED AMERICAN DEPOSITARY SHARES |
0x27B9814083C444E60CB86daF794389E73b41c54B |
500 |
DRH |
DIAMONDROCK HOSPITALITY COMPANY COMMON STOCK |
0xB8d137E75bED85D592008DFd33a06A4eF22a29D9 |
500 |
DRH$A |
DIAMONDROCK HOSPITALITY COMPANY 8.250% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xD5A98230fba175c206E8468f3287C167Ca62bf73 |
500 |
DRI |
DARDEN RESTAURANTS, INC. COMMON STOCK |
0x10740c8015086241ebEaB96D46f2f3319109866C |
500 |
DRLL |
EA SERIES TRUST STRIVE U.S. ENERGY ETF |
0xc687c8FF26BA7D4e8E94e261a3A71F148fac82d5 |
500 |
DSL |
DOUBLELINE INCOME SOLUTIONS FUND COMMON SHARES OF BENEFICIAL INTERESTS |
0xCc27c3C3fb7131cf719Bf7020684c31085E33eCC |
500 |
DSM |
BNY MELLON STRATEGIC MUNICIPAL BOND FUND, INC. COMMON STOCK |
0x8368e57da89217bF40d0Febc30116Faa08a88690 |
500 |
DSMC |
ETF SERIES SOLUTIONS DISTILLATE SMALL/MID CASH FLOW ETF |
0x0dC5F08Da7e1a7c5297F8775A6164EB67a86f561 |
500 |
DSTX |
DISTILLATE INTERNATIONAL FUNDAMENTAL STABILITY & VALUE ETF |
0x7F41b9C04Ea3135c55c872a9BbC65aD48A867655 |
500 |
DSU |
BLACKROCK DEBT STRATEGIES FUND, INC. COMMON STOCK |
0xbDF32178D7a1B34C22e823049a5D00882F7F462a |
500 |
DSX |
DIANA SHIPPING INC. COMMON STOCK |
0xBf02261159B5eFb82580b0cf3cB20bcED0BC18f3 |
500 |
DSX$B |
DIANA SHIPPING INC. PERPETUAL PREFERRED SHARES SERIES B (MARSHALL ISLANDS) |
0xca87DBC36558b60699B52f66442557253683bd29 |
500 |
DSX.W |
DIANA SHIPPING INC. WARRANTS |
0xa1935570F6078036Cfa909Bc3802A0949A84A465 |
500 |
DT |
DYNATRACE, INC. COMMON STOCK |
0xAe66701B59D99B88057c066aFBB3BbF94328f47e |
500 |
DTB |
DTE ENERGY COMPANY 2020 SERIES G 4.375% JUNIOR SUBORDINATED DEBENTURES DUE 2080 |
0x9563417DfD63Ee5b2315e138B7CAeA4F6a2Bf4c8 |
500 |
DTE |
DTE ENERGY COMPANY COMMON STOCK |
0x603168F39d48a68baCBAAC6720F210F07CE071EF |
500 |
DTF |
DTF TAX |
0x0c2512f3DC7f128546bFCb791e129287FEe12F45 |
500 |
DTG |
DTE ENERGY COMPANY 2021 SERIES E 4.375% JUNIOR SUBORDINATED DEBENTURES |
0x3CA9C237915935Aa7aDcc43461cE30435c99CeE7 |
500 |
DTM |
DT MIDSTREAM, INC. COMMON STOCK |
0xaDE264a249e38d93613D7b9aD8b5Ab436074416D |
500 |
DTW |
DTE ENERGY COMPANY 2017 SERIES E 5.25% JUNIOR SUBORDINATED DEBENTURES DUE 2077 |
0x12DF046741290240D703fF28D7c972A46FdF320c |
500 |
DUK |
DUKE ENERGY CORPORATION (HOLDING COMPANY) COMMON STOCK |
0xDeB5Fe551aF96Aedb639C6a33ad653Bc81FE1c4c |
500 |
DUK$A |
DUKE ENERGY CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 5.75% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0x6d39F2B3a2A8e48665201CD65A65818aaa962063 |
500 |
DUKB |
DUKE ENERGY CORPORATION 5.625% JUNIOR SUBORDINATED DEBENTURES DUE 2078 |
0xae73bb1b9Dfe37a47e10e7ec5D3Fa7AC6E776113 |
500 |
DV |
DOUBLEVERIFY HOLDINGS, INC. COMMON STOCK |
0xBec673B9f58B534D477d3A145ec89A7421C55c07 |
500 |
DVA |
DAVITA INC. COMMON STOCK |
0xA8a903083F1e4aB1366fD2f433ea6E0D0Ea541a9 |
500 |
DVN |
DEVON ENERGY CORPORATION COMMON STOCK |
0x825B943fc680f4F79A31c6Df2F7eE2374003b7e7 |
500 |
DX |
DYNEX CAPITAL, INC. COMMON STOCK |
0xebf320DD5FCdF6A4882A7aAa2D7D0e8990AD402d |
500 |
DX$C |
DYNEX CAPITAL, INC. 6.900% SERIES C FIXED |
0x383A18B575005F95e1bf6b43F30C627C784974f1 |
500 |
DXC |
DXC TECHNOLOGY COMPANY COMMON STOCK |
0xd4FC8243aa920E9a809963Da1C9d4FE772A873CB |
500 |
DXYZ |
DESTINY TECH100 INC. COMMON STOCK |
0x4f6fe988F3F8B90e5Bfdf499815F9976BD31B08d |
500 |
DY |
DYCOM INDUSTRIES, INC. COMMON STOCK |
0xF32E6162c550F106801C1525c1083F50fB45e0bB |
500 |
E |
ENI S.P.A. COMMON STOCK |
0x712842275EC317a63dD75E6864e218eb37fB0f54 |
500 |
EAF |
GRAFTECH INTERNATIONAL LTD. COMMON STOCK |
0x5a592b80851aD31af475499C2600a444B651b3CC |
500 |
EAI |
ENTERGY ARKANSAS, LLC FIRST MORTGAGE BONDS, 4.875% SERIES DUE SEPTEMBER 1, 2066 |
0x9f7FcC1229C4Cf4Ab3e0D8f4b89A4236Be674175 |
500 |
EARN |
ELLINGTON CREDIT COMPANY COMMON SHARES OF BENEFICIAL INTEREST |
0x3201629f65814593dc7E2dd7D3fdA1a01f1C5d8F |
500 |
EAT |
BRINKER INTERNATIONAL, INC. COMMON STOCK |
0x53ED2E947DDa2F2D1866FB0314dE2CDa5f534202 |
500 |
EB |
EVENTBRITE, INC. CLASS A COMMON STOCK |
0x71a81426daa10F6F48C73fA3a7B41da6056f47D2 |
500 |
EBF |
ENNIS, INC. COMMON STOCK |
0x63420AEE7cA2f8424995eD7516aAF8fd43348aB3 |
500 |
EBR |
CENTRAIS ELECTRICAS BRASILEIRAS S A AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) |
0xA18a2C10644D5bdD4C01C23AE92dc35fFcf179AF |
500 |
EBR.B |
CENTRAIS ELECTRICAS BRASILEIRAS S.A. SPONSORED ADS REPRESENTING PFD SHARES |
0xeF92950f5193192D4136b8C223c744aa192D55ff |
500 |
EBS |
EMERGENT BIOSOLUTIONS INC. COMMON STOCK |
0x72a36Cfec98c766B43B7D0bD921E7Dd47E10322E |
500 |
EC |
ECOPETROL S.A. AMERICAN DEPOSITARY SHARES |
0x0e9eDCA32BDbE2cc360B0fe313b8B655B40d1a9E |
500 |
ECAT |
BLACKROCK ESG CAPITAL ALLOCATION TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xaE1d71A6c630aB25e805C6356B3200Ed0BF01BDC |
500 |
ECC |
EAGLE POINT CREDIT COMPANY INC. COMMON STOCK |
0x4525a09e6C2268439184E1a1DD8B655Dbd53C973 |
500 |
ECC$D |
EAGLE POINT CREDIT COMPANY INC. 6.75% SERIES D PREFERRED STOCK |
0xd4331DDcaa2Bd1f5B94eCac232176e50FFf2C062 |
500 |
ECCC |
EAGLE POINT CREDIT COMPANY INC. 6.50% SERIES C TERM PREFERRED STOCK DUE 2031 |
0x39aBe57FE0542d2406CAbDaeaC5a073a7D271155 |
500 |
ECCF |
EAGLE POINT CREDIT COMPANY INC. 8.00% SERIES F TERM PREFERRED STOCK DUE 2029 |
0x1999e2aD63411D48927589Fc7a44666332b112Ce |
500 |
ECCU |
EAGLE POINT CREDIT COMPANY INC. 7.75% NOTES DUE 2030 |
0x34AB25EF9c6f344A57f966624Bdd90717613661a |
500 |
ECCV |
EAGLE POINT CREDIT COMPANY INC. 5.375% NOTES DUE 2029 |
0x44d04B88a7e51d1373BDc3Ed6Bc1091038c0BE24 |
500 |
ECCW |
EAGLE POINT CREDIT COMPANY INC. 6.75% NOTES DUE 2031 |
0x3987ee54aDB8e3dd6930D7800eba88Fe8Cab438b |
500 |
ECCX |
EAGLE POINT CREDIT COMPANY INC. 6.6875% NOTES DUE 2028 |
0x3FCc7726ee30215EB1CD196acE8041b987427ba0 |
500 |
ECG |
EVERUS CONSTRUCTION GROUP, INC. COMMON STOCK |
0x116489a5EB2966A01C2b943E908934165f7333D5 |
500 |
ECL |
ECOLAB INC. COMMON STOCK |
0xBA0e89B9Ebc9d935C8d37A084552E247564E4bA9 |
500 |
ECO |
OKEANIS ECO TANKERS CORP. COMMON STOCK |
0xAE2b0030af8FFA8B6BE912B184D22d3F28aadc37 |
500 |
ECVT |
ECOVYST INC. COMMON STOCK |
0x376549Fbe30546c3aF63edD54509eB21dFfb26Ea |
500 |
ED |
CONSOLIDATED EDISON, INC. COMMON STOCK |
0xe75b76E56D86a02Ca66628ffF2b8675D15E6Cf29 |
500 |
EDD |
MORGAN STANLEY EMERGING MARKETS DOMESTIC DEBT FUND, INC. COMMON STOCK |
0xddBa236cf63d99CfabDF9298aAeD8B545FddAc18 |
500 |
EDF |
VIRTUS STONE HARBOR EMERGING MARKETS INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xa385c26ac1bD8c538581106562be0cC1BA7C57BF |
500 |
EDN |
EMPRESA DISTRIBUIDORA Y COMERCIALIZADORA NORTE S.A. (EDENOR) AMERICAN DEPOSITARY SHARES |
0x531142bBe695d8825F3C8cA6CE1D74a0B48d27d8 |
500 |
EDU |
NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP, INC. SPONSORED ADR REPRESENTING 10 ORDINARY SHARE (CAYMAN ISLANDS) |
0xD2453A6e2aF0eed858228AFFA5C46CC4B8582964 |
500 |
EE |
EXCELERATE ENERGY, INC. CLASS A COMMON STOCK |
0x7782f90676F2F93D80A9FE43e342791E6816bd62 |
500 |
EEA |
THE EUROPEAN EQUITY FUND, INC. COMMON STOCK |
0x09304Cb5a152474F40C9d1577Df23F162bFAfD9F |
500 |
EEX |
EMERALD HOLDING, INC. COMMON STOCK |
0x8984D5D030e17772AB79cCB9Cbd2f5f1EbeaCab3 |
500 |
EFC |
ELLINGTON FINANCIAL INC. COMMON STOCK |
0x3a21Ea2dA4524Fc1Fc00F6Fe3c8F97DeAc068178 |
500 |
EFC$A |
ELLINGTON FINANCIAL INC. 6.750% SERIES A FIXED |
0x5827144C947A41F74B7De5c2cd4f914f6bF4c59a |
500 |
EFC$B |
ELLINGTON FINANCIAL INC. 6.250% SERIES B FIXED |
0x27dC4e44229ACcE2280797D0Fa01645207722326 |
500 |
EFC$C |
ELLINGTON FINANCIAL INC. 8.625% SERIES C FIXED |
0x476b956E9658615942304156F061Ea29d99594F7 |
500 |
EFC$D |
ELLINGTON FINANCIAL INC. 7.00% SERIES D CUMULATIVE PERPETUAL REDEEMABLE PREFERRED STOCK |
0x9357327C660D52D062c0B152Ce68630dA442986d |
500 |
EFR |
EATON VANCE SENIOR FLOATING |
0xb2d6164826E22a6bfa6507659fC09CcFF138b30B |
500 |
EFT |
EATON VANCE FLOATING RATE INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x1B6E02748EbfE16C942D493e27Ce70C644CD5219 |
500 |
EFX |
EQUIFAX, INC. COMMON STOCK |
0xC3e144F2fF80C79aebf0b7fa89693Fad8608FBFA |
500 |
EFXT |
ENERFLEX LTD COMMON SHARES |
0x4Ce6A69AFBbA77B8427BBB156Cc3728Fab9CF810 |
500 |
EG |
EVEREST GROUP, LTD. COMMON STOCK |
0xd640c2eBbf56FbBdC92D5e5dC7152588234aCCBf |
500 |
EGO |
ELDORADO GOLD CORPORATION ORDINARY SHARES |
0x2722DB8A12f8BEba93E54D35e0921cEfE1a6C7e9 |
500 |
EGP |
EASTGROUP PROPERTIES, INC. COMMON STOCK |
0x9596197BB12a16504070c36293a2E067721b4FdA |
500 |
EGY |
VAALCO ENERGY, INC. COMMON STOCK |
0x5BaB60cB35fa3ea985D2f82970359275A9C1fBa5 |
500 |
EHAB |
ENHABIT, INC. COMMON STOCK |
0x0f4655EE338C4324DCb0552bFcEf16f04CAe214D |
500 |
EHC |
ENCOMPASS HEALTH CORPORATION COMMON STOCK |
0x35062a3F1Abc5e47977A149214af172Fc7F955E7 |
500 |
EHI |
WESTERN ASSET GLOBAL HIGH INCOME FUND INC COMMON STOCK |
0xeC3DaFf3414Ad373853a522c3b865D6555D4b510 |
500 |
EIC |
EAGLE POINT INCOME COMPANY INC. COMMON STOCK |
0x0C263a1800430125f3C7eC9c4316C57eb74d43c9 |
500 |
EICA |
EAGLE POINT INCOME COMPANY INC. 5.00% SERIES A TERM PREFERRED STOCK DUE 2026 |
0x11C0bEF8b78B142Bb2A55D69d6E6B45aa5DBd61B |
500 |
EICB |
EAGLE POINT INCOME COMPANY INC. 7.75% SERIES B TERM PREFERRED STOCK DUE 2028 |
0xbA7f52FdF77080C6Bd58601baEFE056ba5b3E935 |
500 |
EICC |
EAGLE POINT INCOME COMPANY INC. 8.00% SERIES C TERM PREFERRED STOCK DUE 2029 |
0x7dCFe52c21Ccdfc1431469d6ff253c4918754243 |
500 |
EIG |
EMPLOYERS HOLDINGS INC COMMON STOCK |
0x41aFf3e555CBA0AD1405C411635e05DA661EeB04 |
500 |
EIIA |
EAGLE POINT INSTITUTIONAL INCOME FUND 8.125% SERIES A TERM PREFERRED SHARES DUE 2029 |
0xD3A5DF99d04217244240e367beE75C720519042f |
500 |
EIX |
EDISON INTERNATIONAL COMMON STOCK |
0x49FC918dF828853DA12164768C6e5450D00482ea |
500 |
EL |
ESTEE LAUDER COMPANIES, INC. (THE) COMMON STOCK |
0x270d72B3A57733F7E6E1734BEF94Ad36021Eba7b |
500 |
ELAN |
ELANCO ANIMAL HEALTH INCORPORATED COMMON STOCK |
0x7E25812315599d26cE59cfC7b1374823A4Aa00E3 |
500 |
ELC |
ENTERGY LOUISIANA, INC. COLLATERAL TRUST MORTGAGE BONDS, 4.875 % SERIES DUE SEPTEMBER 1, 2066 |
0x3b993cfceFA9a3d3e43389B30ccf71B5751587c5 |
500 |
ELF |
E.L.F. BEAUTY, INC. COMMON STOCK |
0xF7DDd3bE6daf8FE9a80D7Dd887fDa3DD964f2B8A |
500 |
ELME |
ELME COMMUNITIES COMMON STOCK |
0x36Bb0af4AA8Bb49058126EB0BBa39Bca30F563d8 |
500 |
ELP |
COMPANHIA PARANAENSE DE ENERGIA (COPEL) AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE UNIT CONSISTING ONE COMMON SHARE AND FOUR NON |
0x5D2335A025692CdC3f24Ba135B1f3B3F69678299 |
500 |
ELPC |
COMPANHIA PARANAENSE DE ENERGIA (COPEL) AMERICAN DEPOSITARY SHARES (EACH REPRESENTING FOUR (4) COMMON SHARES) |
0xA23dB4FEfb91cd2B1D00fc7d35E5d03E5e9aFd1B |
500 |
ELS |
EQUITY LIFESTYLE PROPERTIES, INC. COMMON STOCK |
0xcFAb7b7b38e640370E889bD4bf72b03893568082 |
500 |
ELV |
ELEVANCE HEALTH, INC. COMMON STOCK |
0xFc3D3B17bAd1d1546f6328217470d3BEf268c0ca |
500 |
EMA |
EMERA INCORPORATED COMMON SHARES |
0xa86620F04915Cd0C3c15084A8e003254F63D6f0e |
500 |
EMD |
WESTERN ASSET EMERGING MARKETS DEBT FUND INC COMMON STOCK |
0x4085a20c32FfF6cBB17fE0D840a160cae1444142 |
500 |
EME |
EMCOR GROUP, INC. COMMON STOCK |
0x44d65D180812b410E384057d438cdCdcD816E99f |
500 |
EMF |
TEMPLETON EMERGING MARKETS FUND COMMON STOCK |
0x88D44250Ae42A6A02A3F1a5966784e080924Fda9 |
500 |
EMN |
EASTMAN CHEMICAL COMPANY COMMON STOCK |
0x406c0938CB803839dF973d0c99E2121B33fcFAD0 |
500 |
EMO |
CLEARBRIDGE ENERGY MIDSTREAM OPPORTUNITY FUND INC. COMMON STOCK |
0x2990918d04Bf70BBEab3ACd09CC4D979d8Da076D |
500 |
EMP |
ENTERGY MISSISSIPPI, LLC FIRST MORTGAGE BONDS, 4.90% SERIES DUE OCTOBER 1, 2066 |
0x7AAB4595eAe1a80AcBbc457A08567BFdF465508E |
500 |
EMR |
EMERSON ELECTRIC COMPANY COMMON STOCK |
0x8bCa263F70486bE4A93df3BE8748dB84018fa71e |
500 |
ENB |
ENBRIDGE INC COMMON STOCK |
0x2e7ec1b23D85b7AE0628b68d6Afcc4c8E7372b62 |
500 |
ENFY |
ENLIGHTIFY INC. COMMON STOCK |
0x61345346d0Db9c8f50fD9a987323eEDF6601437a |
500 |
ENIC |
ENEL CHILE S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 50 SHARES OF COMMON STOCK) |
0x4CD0Fa682ac29c471F2A469D56be0d597A7F1A5A |
500 |
ENJ |
ENTERGY NEW ORLEANS, LLC FIRST MORTGAGE BONDS, 5.0% SERIES DUE DECEMBER 1, 2052 |
0xE167A6f4EEEfe7998D970886460F8fEdD5222C59 |
500 |
ENO |
ENTERGY NEW ORLEANS, LLC FIRST MORTGAGE BONDS, 5.50% SERIES DUE APRIL 1, 2066 |
0x83d2FB512FC476b175c0F296b5e95B40DF4cc4aB |
500 |
ENOV |
ENOVIS CORPORATION COMMON STOCK |
0xD65F20841d07fd090A45DADe0D5d3fd6e79Dbf79 |
500 |
ENR |
ENERGIZER HOLDINGS, INC. COMMON STOCK |
0xc81C3FF9CDCBbaECdEfBd47aD6B461427fAaFA32 |
500 |
ENS |
ENERSYS COMMON STOCK |
0xeB8223c7ecE59e56Ee2a99C8aa4AE54CEa092119 |
500 |
ENVA |
ENOVA INTERNATIONAL, INC. COMMON STOCK |
0x07a37a0289A9C9f34cc99529406A5780A3Fa99B3 |
500 |
EOD |
ALLSPRING GLOBAL DIVIDEND OPPORTUNITY FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xa15ab25B456dF644165314Ad6ebc21F6cFe53828 |
500 |
EOG |
EOG RESOURCES, INC. COMMON STOCK |
0x38980B5605c6F6Fe1Af6f6B4BeEaD0717fB27722 |
500 |
EOI |
EATON VANCE ENHANCE EQUITY INCOME FUND EATON VANCE ENHANCED EQUITY INCOME FUND SHARES OF BENEFICIAL INTEREST |
0x007582a4848e7A9D91F1F2FCA17e6Fb5D0A8C033 |
500 |
EOS |
EATON VANCE ENHANCE EQUITY INCOME FUND II COMMON STOCK |
0xd1B442eCa96f0d648bAc558011De490ea2c5F6ee |
500 |
EOT |
EATON VANCE MUNICIPAL INCOME TRUST EATON VANCE NATIONAL MUNICIPAL OPPORTUNITIES TRUST |
0x2B117FaC8dDE226E2E2a9869014d48605fcE7617 |
500 |
EP$C |
EL PASO CORPORATION PREFERRED STOCK |
0x9641e3E133F981A65bC4C99Ac7F53826993160b2 |
500 |
EPAC |
ENERPAC TOOL GROUP CORP. COMMON STOCK |
0x5f2186C28ba2053300a7e968145dCD5853a34B27 |
500 |
EPAM |
EPAM SYSTEMS, INC. COMMON STOCK |
0x795a709B28Fc88FADC53306643F9014f9C76ee97 |
500 |
EPC |
EDGEWELL PERSONAL CARE COMPANY COMMON STOCK |
0x0Bdfc819E47a75c9b3D515Af1cA3EadD569fE32a |
500 |
EPD |
ENTERPRISE PRODUCTS PARTNERS L.P. COMMON STOCK |
0x501cb010324D2416c5b3fe674174a701E68bf96D |
500 |
EPR |
EPR PROPERTIES COMMON STOCK |
0xbEfdC4bca2e51326d35022C411357e00e5e7E375 |
500 |
EPR$C |
EPR PROPERTIES 5.75% SERIES C CUMULATIVE CONVERTIBLE PREFERRED SHARES |
0x394825F87abEbbcf09D649b15E66c463236604B8 |
500 |
EPR$E |
EPR PROPERTIES SERIES E CUMULATIVE CONV PFD SHS SER E |
0x02c8E707510360744735CB4254D2777fD7f89d6b |
500 |
EPR$G |
EPR PROPERTIES 5.750% SERIES G CUMULATIVE REDEEMABLE PREFERRED SHARES |
0xE77CB90E8167E437b1606BBB1F4cc897B28A3A13 |
500 |
EPRT |
ESSENTIAL PROPERTIES REALTY TRUST, INC. COMMON STOCK |
0xBc0Ea0f6E874d6d746D1aE4069323d7F6089bbeb |
500 |
EQBK |
EQUITY BANCSHARES, INC. CLASS A COMMON STOCK |
0x75d1f696B5C82cacd8be9beE1957D01991748935 |
500 |
EQH |
EQUITABLE HOLDINGS, INC. COMMON STOCK |
0x49ee1077Ed382E07D982C43b4C12A2207E121bF5 |
500 |
EQH$A |
EQUITABLE HOLDINGS, INC. DEPOSITARY SHARES |
0xC64f1D581bCB91a9653e36D471219cCD962e8beF |
500 |
EQH$C |
EQUITABLE HOLDINGS, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF FIXED RATE NONCUMULATIVE PERPETUAL PREFERRED STOCK, SERIES C |
0xF4262D750c1bF5e02Fc411c108cE53B9D8f4d4Ed |
500 |
EQNR |
EQUINOR ASA |
0x16Ca30e3e9634B3Fe6E837F0AFAf785b57dAC2b4 |
500 |
EQR |
EQUITY RESIDENTIAL COMMON SHARES OF BENEFICIAL INTEREST |
0x78D1C8D65c5474ecC2bA3300B36b3f76cddCFe67 |
500 |
EQS |
EQUUS TOTAL RETURN, INC. COMMON STOCK |
0xcb43FDf99e5B6458a083D8083A8da1cb43856683 |
500 |
EQT |
EQT CORPORATION COMMON STOCK |
0x9E41e80a19B37ED5cA4cA04ab8a1f148d0D3cC10 |
500 |
EQV |
EQV VENTURES ACQUISITION CORP. CLASS A ORDINARY SHARES |
0xA46DCd2141293019a1cEC32F7F79df50887a73f3 |
500 |
EQV.U |
EQV VENTURES ACQUISITION CORP. UNITS, EACH CONSISTING OF ONE CLASS A ORDINARY SHARE AND ONE |
0x090D1DC7eE65947Fd111cBF23fb271530A1c9504 |
500 |
EQV.W |
EQV VENTURES ACQUISITION CORP. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0xB2Ab2AA002107f4c625868faD7afBE8Fc34D5FD3 |
500 |
ERJ |
EMBRAER S.A. COMMON STOCK |
0xAB7D232386cF617f037508593E88f58D4f4a407f |
500 |
ERO |
ERO COPPER CORP. COMMON SHARES |
0x6A74A5b863134767D117699cc2E6e7bE1D792271 |
500 |
ES |
EVERSOURCE ENERGY (D/B/A) COMMON STOCK |
0x3936226aB11f2B5F72660cf38d7013ae4F5abeC2 |
500 |
ESAB |
ESAB CORPORATION COMMON STOCK |
0x08F0faC61070218D3Ba056120E0579A7932D8572 |
500 |
ESE |
ESCO TECHNOLOGIES INC. COMMON STOCK |
0x1AdFfF51dAb52a229b9bcA5A14514F966A69cC69 |
500 |
ESI |
ELEMENT SOLUTIONS INC. COMMON STOCK |
0xc04a6526c72192f11Af79747b8F7919c42a83578 |
500 |
ESNT |
ESSENT GROUP LTD. COMMON SHARES |
0xeF4FAD45cd1658640d1c3d46c7c97cCD05B98A14 |
500 |
ESRT |
EMPIRE STATE REALTY TRUST, INC. CLASS A COMMON STOCK |
0xCC01eb174C9876dB57B802569d9BB2E3e3F04779 |
500 |
ESS |
ESSEX PROPERTY TRUST, INC. COMMON STOCK |
0x02270be7830fFd4E77bCCA00d0A9520B53F097Ba |
500 |
ESTC |
ELASTIC N.V. ORDINARY SHARES |
0xdE0E0453F3262Fcc489d8971b878516C345c863d |
500 |
ET |
ENERGY TRANSFER LP COMMON UNITS |
0x62FC39e9EeA864CfE13C588B48E7631330423E92 |
500 |
ET$I |
ENERGY TRANSFER L.P. SERIES I FIXED RATE PERPETUAL PREFERRED UNITS |
0xb67B26521884Cd9ad7107E4dd712a8007d34D162 |
500 |
ETB |
EATON VANCE TAX |
0xbaB3f31eDCAF337565519f6BfDFb5e1a55740337 |
500 |
ETD |
ETHAN ALLEN INTERIORS INC. COMMON STOCK |
0xa842a4077f971677B086430FaB92457067B5d25a |
500 |
ETG |
EATON VANCE TAX |
0x93a861d25e85071DE82D6CcB20a3CEf86E5A1c29 |
500 |
ETI$ |
ENTERGY TEXAS INC 5.375% SERIES A PREFERRED STOCK, CUMULATIVE, NO PAR VALUE |
0xc99165aC12779da14e382C2F9e9b5Ed9cfc75aA0 |
500 |
ETJ |
EATON VANCE RISK |
0x594d8D782cf4a6E7F54e7eAb042e87b704cC671E |
500 |
ETN |
EATON CORPORATION, PLC ORDINARY SHARES |
0x832dB82F3C47695a38046b72c1C204D0E0dF844D |
500 |
ETO |
EATON VANCE TAX |
0x0bb8e408298F8474Fe3aF499BCC5bd8406756F33 |
500 |
ETR |
ENTERGY CORPORATION COMMON STOCK |
0xEA3F466a1222736B69bFC522d0788ba25A066A94 |
500 |
ETV |
EATON VANCE CORPORATION EATON VANCE TAX |
0x0851Fba05B7FE55F2d235b85D850e494DC0f9a02 |
500 |
ETW |
EATON VANCE CORPORATION EATON VANCE TAX |
0x9e9A7Ebaa8570eed70da58e25D61C6920b65E2d3 |
500 |
ETWO |
E2OPEN PARENT HOLDINGS, INC.CLASS A COMMON STOCK |
0x2EffE7eFBd5CF62831064c8F62b37C0496F681e2 |
500 |
ETX |
EATON VANCE MUNICIPAL INCOME 2028 TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x800a2DEe4e09c36aa525C303891619Ff9fa7B2b3 |
500 |
ETY |
EATON VANCE TAX |
0xd4e22Fabb0CDE5a08F76eDB5f76139f772C674d5 |
500 |
EVC |
ENTRAVISION COMMUNICATIONS CORPORATION COMMON STOCK |
0x7108686527617C1Aa485EC6861104Bc8c75B63e8 |
500 |
EVEX |
EVE HOLDING, INC. COMMON STOCK |
0x86037ed8B727F75318b6bc31c70D62a8eF48FA56 |
500 |
EVEX.W |
EVE HOLDING, INC. WARRANTS, EACH EXERCISABLE FOR ONE SHARE OF COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0xF3fa760C1d4bb2E97f1C9A99F1Cdb15049Ecf4b7 |
500 |
EVF |
EATON VANCE SENIOR INCOME TRUST COMMON STOCK |
0x866475d03360F7b7E86bEBe96DBf0ae34F4BAf19 |
500 |
EVG |
EATON VANCE SHORT DIVERSIFIED INCOME FUND EATON VANCE SHORT DURATION DIVERSIFIED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x1Ba64F9b246cCa801c110DF2B6BF291ea44591D1 |
500 |
EVH |
EVOLENT HEALTH, INC CLASS A COMMON STOCK |
0x66A6A418f56A6783450ADe1a1E09e51C39554Df4 |
500 |
EVN |
EATON VANCE MUNICIPAL INCOME TRUST COMMON STOCK |
0x41De1Aab22085236e9bA45562bf98FE58B73D762 |
500 |
EVR |
EVERCORE INC. CLASS A COMMON STOCK |
0xa290C7dcAB2C5B24099394da6D5665c02D3380E6 |
500 |
EVRI |
EVERI HOLDINGS INC. COMMON STOCK |
0x52783155C8E0c45520C3fD8306042831155D1C12 |
500 |
EVT |
EATON VANCE TAX ADVANTAGED DIVIDEND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xef1a606Cb62628Ff0794C5a16bA2e0BC6777283D |
500 |
EVTC |
EVERTEC, INC. COMMON STOCK |
0xeaE9D05284AAc6aC7352979338d0F98908c187C0 |
500 |
EVTL |
VERTICAL AEROSPACE LTD. ORDINARY SHARES |
0x3d8003dC7B8991b58E81bc9A3a175A606A19c6A0 |
500 |
EVTR |
MORGAN STANLEY ETF TRUST EATON VANCE TOTAL RETURN BOND ETF |
0x2Eb82c44E7eFb6992f89700425787bf29BA367F7 |
500 |
EW |
EDWARDS LIFESCIENCES CORPORATION COMMON STOCK |
0xf29aE31BfEA124b2859313EFD15321E8B501a449 |
500 |
EXG |
EATON VANCE TAX |
0x0E2327418B91C120837b803e8798A8f736898B79 |
500 |
EXK |
ENDEAVOUR SILVER CORPORATION ORDINARY SHARES (CANADA) |
0x61bb2a46BBf789A66b7B27515114a2977Fa3D01d |
500 |
EXP |
EAGLE MATERIALS INC COMMON STOCK |
0x925340673b823b51A8BdB48cE0398f3082cb1006 |
500 |
EXPD |
EXPEDITORS INTERNATIONAL OF WASHINGTON, INC. COMMON STOCK |
0x9edc495365ECB952d2c0b3820A7D1bf456EAAd95 |
500 |
EXR |
EXTRA SPACE STORAGE INC COMMON STOCK |
0x80DFa5fee68fd6CB73C81727434484acFbD3707A |
500 |
F |
FORD MOTOR COMPANY COMMON STOCK |
0x019b8237a42bc5A2f6A6611921585F62cB0FCa0B |
500 |
F$B |
FORD MOTOR COMPANY 6.20% NOTES DUE JUNE 1, 2059 |
0xcd906a1A0bAF0E153Ffb5e0346f35F7f74037CDb |
500 |
F$C |
FORD MOTOR COMPANY 6% NOTES DUE DECEMBER 1, 2059 |
0x4aE158F36E91Bf418387F96802C2ec770cabec3C |
500 |
F$D |
FORD MOTOR COMPANY 6.500% NOTES DUE AUGUST 15, 2062 |
0xc39ee0076964593E7C286D452e0028FffA50adA4 |
500 |
FAF |
FIRST AMERICAN CORPORATION (NEW) COMMON STOCK |
0xd8c8F0Ba959F3AC03E70524739bf8169E45f096e |
500 |
FBIN |
FORTUNE BRANDS INNOVATIONS, INC. COMMON STOCK |
0x2ff9dd434Fd4e9E313098CD52A3fb22982c86f8e |
500 |
FBK |
FB FINANCIAL CORPORATION COMMON STOCK |
0x34B553D35Df8aeE588A43461C83E52Ac61091beB |
500 |
FBP |
FIRST BANCORP. NEW COMMON STOCK |
0xf1Ef452FC284187C98CEe1ad0f02461B6dF3A2bA |
500 |
FBRT |
FRANKLIN BSP REALTY TRUST, INC. COMMON STOCK |
0xB173731810012c4C3515956F4855F424E6f086aC |
500 |
FBRT$E |
FRANKLIN BSP REALTY TRUST, INC. 7.50% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x9810d0db65512A4F45d9CF0916C0926cC483b195 |
500 |
FC |
FRANKLIN COVEY COMPANY COMMON STOCK |
0x96543b44476110F1520acDC5986C0C507A91236D |
500 |
FCF |
FIRST COMMONWEALTH FINANCIAL CORPORATION COMMON STOCK |
0x98beC9c4530916d3B776104f02f0e21C6fbFAFb4 |
500 |
FCN |
FTI CONSULTING, INC. COMMON STOCK |
0x4AfD9DFebbC737D527a6c0BDA9ECe5D0b4DDA715 |
500 |
FCPT |
FOUR CORNERS PROPERTY TRUST, INC. COMMON STOCK |
0x93f5c85b6c71b1c17D7Ea16E7c38412f0677fE85 |
500 |
FCRX |
CRESCENT CAPITAL BDC, INC. 5.00% NOTES DUE 2026 |
0x963fFa940367040A5488ae39864DAA2c3D31F61C |
500 |
FCT |
FIRST TRUST SENIOR FLOATING RATE INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST |
0xD615Af93822bbbAa9ab1b86bd469906917C39e4a |
500 |
FCX |
FREEPORT |
0xEb500c8d2359937292a7f9832A67376df5EF3696 |
500 |
FDP |
FRESH DEL MONTE PRODUCE, INC. COMMON STOCK |
0xdD463Ac7336d75B0bFc654237578A871293FA293 |
500 |
FDS |
FACTSET RESEARCH SYSTEMS INC. COMMON STOCK |
0x68e1A20255d081328be15f6Eb331ffbCF7e210a2 |
500 |
FDX |
FEDEX CORPORATION COMMON STOCK |
0x1372cF0d12455eaC1dF96DADBBf14c2196F88e29 |
500 |
FE |
FIRSTENERGY CORP. COMMON STOCK |
0x9b2961B56B5EfE51fbfce8C5B79d05bFe98BEa28 |
500 |
FEDU |
FOUR SEASONS EDUCATION (CAYMAN) INC. AMERICAN DEPOSITARY SHARES, EACH ADS REPRESENTING 10 ORDINARY SHARES |
0x4a48ea600ee2836ceE64AF3C6F60Faf64afFAEac |
500 |
FEGE |
THE RBB FUND TRUST FIRST EAGLE GLOBAL EQUITY ETF |
0x87928D21ce34b5B94105046dF0e3f79eAc0b9007 |
500 |
FENG |
PHOENIX NEW MEDIA LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING 48 CLASS A ORDINARY SHARES. |
0xd66E022257fF6188E8632De2F5919CF078d2fEd0 |
500 |
FEOE |
THE RBB FUND TRUST FIRST EAGLE OVERSEAS EQUITY ETF |
0x129cCdd1A0C5E3BccC7298f431c448FCFdE57CeD |
500 |
FERG |
FERGUSON ENTERPRISES INC. COMMON STOCK |
0x32A71330eCe07Cb47dAEff810a0903F16E1bdF25 |
500 |
FET |
FORUM ENERGY TECHNOLOGIES, INC. COMMON STOCK |
0xaF8a58572f04144F341fbC80dE6902713968B918 |
500 |
FF |
FUTUREFUEL CORP. COMMON SHARES |
0x073239B01384bacC029E0A55094DC0476A193566 |
500 |
FFA |
FIRST TRUST ENHANCED EQUITY INCOME FUND |
0x79ee1B3cB8D5983F25dD53AcF46bcdceF5af9975 |
500 |
FFC |
FLAHERTY & CRUMRINE PREFERRED AND INCOME SECURITIES FUND INCORPORATED |
0x76777b4a9468e15F5D1553d02e1322dC09f25D5C |
500 |
FFWM |
FIRST FOUNDATION INC. COMMON STOCK |
0xA795D467682511c1D86A2a25414F9b15C32ced9F |
500 |
FG |
F&G ANNUITIES & LIFE, INC. COMMON STOCK |
0xFb1e4256946d6ef964289312dFd86fC9F5c91dc6 |
500 |
FGB |
FIRST TRUST SPECIALTY FINANCE AND FINANCIAL OPPORTUNITIES FUND |
0xd834e0F3eCbb9fE54e9Aa8aD0710CDc46A7939c3 |
500 |
FGN |
F&G ANNUITIES & LIFE, INC. 7.950% SENIOR NOTES DUE 2053 |
0xd99aD39b21E1B046bE140f3e6fc323a1e16CF97c |
500 |
FGSN |
F&G ANNUITIES & LIFE, INC. 7.300% JUNIOR SUBORDINATED NOTES DUE 2065 |
0x2416D39433152b05A8DC57a33742305fF522AD55 |
500 |
FHI |
FEDERATED HERMES, INC. COMMON STOCK |
0x08503f68633b322eF8E701488F2f244Bc9b8EE11 |
500 |
FHN |
FIRST HORIZON CORPORATION COMMON STOCK |
0x62F39DD3d533482bc1468f6b09041B8e8dE0881d |
500 |
FHN$B |
FIRST HORIZON CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF NON |
0xd3C9e2916A632f120B043f827614Ac899104A646 |
500 |
FHN$C |
FIRST HORIZON CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF NON |
0x40ae87c9624b9B6ea1B4434a08Ba1F5da8053B4C |
500 |
FHN$E |
FIRST HORIZON CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/4,000TH INTEREST IN A SHARE OF NON |
0x362009e580197e58Befe2b687fC722aE89CeD8F7 |
500 |
FHN$F |
FIRST HORIZON CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/4000TH INTEREST IN A SHARE OF NON |
0x77b361DD5723B01b7D89531166282c979dD6D143 |
500 |
FI |
FISERV, INC. COMMON STOCK |
0xF6345FCB35b61Ae68De99863ab16509414E4DCA3 |
500 |
FICO |
FAIR ISAAC CORPORATION COMMON STOCK |
0xfd9C4E3E15C28b1bc6E199c90CdC0659dfc69856 |
500 |
FIGS |
FIGS, INC. CLASS A COMMON STOCK |
0x3ACd0026Ed4182F01d9D2ca2E23a94Bb993315c6 |
500 |
FIHL |
FIDELIS INSURANCE HOLDINGS LIMITED COMMON SHARES |
0x4319C52C62Fd779f9fbEBbdAF7359d1B377eecF8 |
500 |
FINS |
ANGEL OAK FINANCIAL STRATEGIES INCOME TERM TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x4c1358b3fc10834d8a6A023C7d30FdaC44FaFAbf |
500 |
FINV |
FINVOLUTION GROUP AMERICAN DEPOSITARY SHARES |
0x0aC633B9f223DF4e365e148A3353D2d6336c1374 |
500 |
FIS |
FIDELITY NATIONAL INFORMATION SERVICES, INC. COMMON STOCK |
0xbeFAD2e152341850CdC5b61281C1130e93ca628f |
500 |
FIX |
COMFORT SYSTEMS USA, INC. COMMON STOCK |
0x7d1aB8791ba83C7b1Be3472937eeB2015D872309 |
500 |
FIXT |
TCW ETF TRUST TCW CORE PLUS BOND ETF |
0x3e62bf32f0a5921e3a1e153Aad022E3927dcFF7c |
500 |
FL |
FOOT LOCKER, INC. |
0x3c3445125Fce443827E22b9D3e432A234d02Fd32 |
500 |
FLC |
FLAHERTY & CRUMRINE TOTAL RETURN FUND INC COMMON STOCK |
0xE507581cd34C8FB194D3d4Db381918fbaFB27e18 |
500 |
FLG |
FLAGSTAR FINANCIAL, INC. COMMON STOCK |
0x9e30427C083Ec8eFe0C69e3D1c6e89D79348d91F |
500 |
FLG$A |
FLAGSTAR FINANCIAL, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED |
0x5A97A64c0f5fbd84b79D9F69B97C73aDf71BFe08 |
500 |
FLG$U |
FLAGSTAR FINANCIAL, INC. BIFURCATED OPTION NOTE UNIT SECURITIES |
0xcEE3B402B31FE8CFC7eeE34420D65D3FBc85d679 |
500 |
FLNG |
FLEX LNG LTD. ORDINARY SHARES |
0x4DA56C37dC38522Ebc38963ae47fccd6c8b3C51A |
500 |
FLO |
FLOWERS FOODS, INC. COMMON STOCK |
0x79463e00AC5e75549D3b9671E9F89470B9F25220 |
500 |
FLOC |
FLOWCO HOLDINGS INC. CLASS A COMMON STOCK |
0x9a15e1dC275d29fB554fb2C27Df2D5530E2DC052 |
500 |
FLR |
FLUOR CORPORATION COMMON STOCK |
0xb00FBC263ad0D30F26be4c586d2DA6B738c9e753 |
500 |
FLS |
FLOWSERVE CORPORATION COMMON STOCK |
0x7C09D5cbdd42Aee012eDc9a8dA2ff8FAbeF26B1d |
500 |
FLUT |
FLUTTER ENTERTAINMENT PLC ORDINARY SHARES |
0xffb10439AE952d06f57923995E8Ee188733AA519 |
500 |
FLXR |
TCW FLEXIBLE INCOME ETF |
0x9764cBc37ee6a9B23Cc3C04C6374e985cE762427 |
500 |
FMC |
FMC CORPORATION COMMON STOCK |
0x3dEc2530D20aC68813abdf791bF7504c2Ee136A2 |
500 |
FMN |
FEDERATED HERMES PREMIER MUNICIPAL INCOME FUND |
0x1472860406b6f34B341e391D3897Cb404770DE0B |
500 |
FMS |
FRESENIUS MEDICAL CARE AG AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1/2 OF AN ORDINARY SHARE) |
0x2329a768AD238Ac6BB9Bdff90F612Bbe8C9b30cA |
500 |
FMX |
FOMENTO ECONOMICO MEXICANO S.A.B. DE C.V. COMMON STOCK |
0x751eB650952b1C36a0d22fB919826f104Bb85331 |
500 |
FMY |
FIRST TRUST MOTGAGE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x481ecF0316f5C6E7bbA808B407E804A8FF78A011 |
500 |
FN |
FABRINET ORDINARY SHARES |
0x6FA72f5aa965a196485994B6C07b75DC9eC310e0 |
500 |
FNB |
F.N.B. CORPORATION COMMON STOCK |
0xb893c9FCDC6b42969F1c687926284567ad8BDcd8 |
500 |
FND |
FLOOR & DECOR HOLDINGS, INC. COMMON STOCK |
0x3A0e2A38247ADE27579E8EE45ce886944caA2BBE |
500 |
FNF |
FIDELITY NATIONAL FINANCIAL, INC. COMMON STOCK |
0xfD0fF3aA9c778Aa03673EC90D342D73aCF46690D |
500 |
FNV |
FRANCO |
0xa5bCab032c21c71e3a1E1b96eeA9c3A6A9cD6da9 |
500 |
FOA |
FINANCE OF AMERICA COMPANIES INC. CLASS A COMMON STOCK |
0xd0d04Dd68614910c2590D03E9D18f34627F79d20 |
500 |
FOF |
COHEN & STEERS CLOSED |
0xd56EE893DD443df22d8124547810Dc17B80135a7 |
500 |
FOR |
FORESTAR GROUP INC COMMON STOCK |
0x073ca8BB59E1db8EA0C957C0A9ece801924b2933 |
500 |
FOUR |
SHIFT4 PAYMENTS, INC. CLASS A COMMON STOCK |
0x21645fEA9B8E692efC40Cb73621C2cC0c377F29d |
500 |
FOUR$A |
SHIFT4 PAYMENTS, INC. 6.00% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK |
0x2e15B1cA4cf3C4cCaFaB77dCc348507A0D021b46 |
500 |
FPF |
FIRST TRUST INTERMEDIATE DURATION PREFERRED & INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xF473f9752b1a6608bC3B46Ed3A0653a552d18949 |
500 |
FPH |
FIVE POINT HOLDINGS, LLC CLASS A COMMON SHARES |
0xD6cf1a5400e60cB3A600e1e615cB4338d862E8CA |
500 |
FPI |
FARMLAND PARTNERS INC. COMMON STOCK |
0x4338b7924B72eb84545635BFD2C0D058764C8d1f |
500 |
FR |
FIRST INDUSTRIAL REALTY TRUST, INC. COMMON STOCK |
0x08BA1b5110dA77919B849223CB1e806bB8387F9f |
500 |
FRA |
BLACKROCK FLOATING RATE INCOME STRATEGIES FUND INC COMMON STOCK |
0xd1bd343fE78F2a129De119269E75d83bEFEeb4d8 |
500 |
FRGE |
FORGE GLOBAL HOLDINGS, INC. COMMON STOCK |
0x22256DD99A55e3e492b52Ce1E4D2b587E60b9D67 |
500 |
FRO |
FRONTLINE PLC ORDINARY SHARES |
0x415027907907941570CA1Ff3d6108D8936beFA37 |
500 |
FRT |
FEDERAL REALTY INVESTMENT TRUST COMMON STOCK |
0x1447c8D10a1D41cd3037401A1Fa139e9641F3a68 |
500 |
FRT$C |
FEDERAL REALTY INVESTMENT TRUST DEPOSITARY SHARES, EACH REPRESENTING A 1/1000TH INTEREST IN A 5.000% SERIES C CUMULATIVE REDEEMABLE PREFERRED SHARE |
0x3e86FdfB9a94a88Baa7450c3bE19286f988B0ED5 |
500 |
FSCO |
FS CREDIT OPPORTUNITIES CORP. COMMON STOCK |
0x077CFD53909E61c2D849dCE56C873Fd0Aa4CE09e |
500 |
FSK |
FS KKR CAPITAL CORP. COMMON STOCK |
0x557dbf33e62c64887b6FC14571762F5318C4Abd5 |
500 |
FSLY |
FASTLY, INC. CLASS A COMMON STOCK |
0x7D772dB2a2E3631b5F88631ec60981E58Ba62BAF |
500 |
FSM |
FORTUNA MINING CORP. COMMON SHARES |
0x99B99F6C0888C85aA5d044Ebff916781CB139049 |
500 |
FSS |
FEDERAL SIGNAL CORPORATION COMMON STOCK |
0x6206D43C59B58D60701485173692167791331267 |
500 |
FT |
FRANKLIN UNIVERSAL TRUST COMMON STOCK |
0x7dfb838b945752bD5417123EAdcBA2Edf45d9d4F |
500 |
FTHY |
FIRST TRUST HIGH YIELD OPPORTUNITIES 2027 TERM FUND COMMON STOCK |
0x153C3E0f853af26f0FD883381efFbe91fC1f4DB6 |
500 |
FTI |
TECHNIPFMC PLC ORDINARY SHARE |
0x7d4C05251Bc84537d80a0E8Be43D3Be910065b99 |
500 |
FTK |
FLOTEK INDUSTRIES, INC. COMMON STOCK |
0xcaF38AdFC1dDfc1c3Cc89c6baAb0B41FE8191586 |
500 |
FTS |
FORTIS INC. COMMON SHARES |
0xc7EAdb558E4972372245404aaa9afDFF83868b37 |
500 |
FTV |
FORTIVE CORPORATION COMMON STOCK |
0xd20727f4CA04707Dd6B6f1E4F14FDDb08Ee9d529 |
500 |
FTV.V |
FORTIVE CORPORATION COMMON STOCK WHEN |
0x0838c183008Fd2540b61811d970849D2836D43b1 |
500 |
FTWO |
STRIVE NATURAL RESOURCES AND SECURITY ETF |
0x7eF421b22C9b71B1BEccAD83ad3F5406f2107f37 |
500 |
FUBO |
FUBOTV INC. COMMON STOCK |
0x69d315b10D5269d57b79D9BC6E486f47ad4b5ea9 |
500 |
FUL |
H. B. FULLER COMPANY COMMON STOCK |
0x5b767ab04FA7F8d62EB5a1e8c35250ba5F11c318 |
500 |
FUN |
SIX FLAGS ENTERTAINMENT CORPORATION COMMON STOCK NEW |
0x98f736c77ec5f07BA2b173d07F35B18d2ef9C9e4 |
500 |
FVR |
FRONTVIEW REIT, INC. COMMON STOCK |
0x38baF6D5c3C86edDD11062c464EeE07fFDFA97dF |
500 |
FVRR |
FIVERR INTERNATIONAL LTD. ORDINARY SHARES, NO PAR VALUE |
0x385a617332d38e21520574627c0bb114D1834c04 |
500 |
FXED |
SOUND ENHANCED FIXED INCOME ETF |
0x69c08d0FDBAA96d345Fb9350901Aa1518a6aACb7 |
500 |
G |
GENPACT LIMITED COMMON STOCK |
0x585f4567A390cc89A52C450C9D4493Ea46D5A785 |
500 |
GAB |
GABELLI EQUITY TRUST, INC. (THE) COMMON STOCK |
0x3F40881f22010405Efe22A6c9f8310dCC85F0683 |
500 |
GAB$G |
GABELLI EQUITY TRUST, INC. (THE) SERIES G CUMULATIVE PREFERRED STOCK |
0x75006b8627aE25F2bA3f381aC25385E96FaF3ef5 |
500 |
GAB$H |
GABELLI EQUITY TRUST, INC. (THE) PFD SER H |
0xd4048358C789991bc4FA429B6AF5C55e5b1584e7 |
500 |
GAB$K |
GABELLI EQUITY TRUST, INC. (THE) 5.00% SERIES K CUMULATIVE PREFERRED STOCK |
0xA8DCD65715CEE76BeC172a9013Fab3822b8aD0C0 |
500 |
GAM |
GENERAL AMERICAN INVESTORS, INC. COMMON STOCK |
0x52230CCa062f620041F71E528F888B0C18A3A1A4 |
500 |
GAM$B |
GENERAL AMERICAN INVESTORS COMPANY, INC. CUMULATIVE PREFERRED STOCK |
0x9A62CF9247eeCD9aec3eD39C3e4677e84C8c22F9 |
500 |
GAP |
GAP, INC. (THE) COMMON STOCK |
0x93E89a34D39D43087D99eD540EbCa15233055438 |
500 |
GATX |
GATX CORPORATION COMMON STOCK |
0x9264a9C3d91D5Db27c4244696713C96c09F96bB8 |
500 |
GB |
GLOBAL BLUE GROUP HOLDING AG ORDINARY SHARES |
0xAB5e1D7CfEf4ae2f210F4e07DBe1367f51337c9e |
500 |
GBAB |
GUGGENHEIM TAXABLE MUNICIPAL BOND & INVESTMENT GRADE DEBT TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x583784693b6561695c28b65CA9d3613482f04c83 |
500 |
GBCI |
GLACIER BANCORP, INC. COMMON STOCK |
0xC4E092396674E536caC7f99833e7FA1cDAFef4fe |
500 |
GBLI |
GLOBAL INDEMNITY GROUP, LLC CLASS A COMMON STOCK (DE) |
0xB59b2D28e553b4B0AAf3810C1608719ee3937B2C |
500 |
GBTG |
GLOBAL BUSINESS TRAVEL GROUP, INC. CLASS A COMMON STOCK |
0xEc362733B3081D9d544cC474614fbb2b8105b6C2 |
500 |
GBX |
GREENBRIER COMPANIES, INC. (THE) COMMON STOCK |
0x9A4B8377A5C7DC64DEF3157F07cdC3e336E1DF1f |
500 |
GCI |
GANNETT CO., INC. COMMON STOCK |
0x940Fcad68D1EB231da40ac6896cE761C3BFAb514 |
500 |
GCO |
GENESCO INC. COMMON STOCK |
0xeC827Ae09f7C9B7dDD2244cf8F31F8a74c6Fea50 |
500 |
GCTS |
GCT SEMICONDUCTOR HOLDING, INC. COMMON STOCK |
0x112c3294E6dC8aED2BB37c9fA8Bd79b51C9db60e |
500 |
GCTS.W |
GCT SEMICONDUCTOR HOLDING, INC. WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF COMMON STOCK AT AN EXERCISE PRICE OF $11.50 |
0x8a283DB46A15c6e8475DDea7abdF2595f4fD6507 |
500 |
GCV |
GABELLI CONVERTIBLE AND INCOME SECURITIES FUND, INC. (THE) COMMON STOCK |
0x7E07Ce9844Cd5F073BF29F6612d5f3448884b877 |
500 |
GD |
GENERAL DYNAMICS CORPORATION COMMON STOCK |
0x05C7c97e32098A41A9951d40ff268CD42611D093 |
500 |
GDDY |
GODADDY INC. CLASS A COMMON STOCK |
0x3caa22994edc5f869a983e630507E2371E95Ff70 |
500 |
GDIV |
HARBOR ETF TRUST HARBOR DIVIDEND GROWTH LEADERS ETF |
0xe8DD51028c4000161f57dd8EF182DE2e7ce0519A |
500 |
GDL |
GDL FUND, THE COMMON SHARES OF BENEFICIAL INTEREST |
0x717b0099b25775A2c91Ed64f51599385D424B7D1 |
500 |
GDO |
WESTERN ASSET GLOBAL CORPORATE OPPORTUNITY FUND INC. COMMON STOCK |
0xcE20758c0057B62F15715a41bD5863729641B5ED |
500 |
GDOT |
GREEN DOT CORPORATION CLASS A COMMON STOCK, $0.001 PAR VALUE |
0xcFa5d2C3c7e6a78995fF3Ab35898B60e26360A3E |
500 |
GDV |
GABELLI DIVIDEND & INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x6F3008665eEf540a862ec3D914Eed510D09ef103 |
500 |
GDV$H |
THE GABELLI DIVIDEND & INCOME TRUST 5.375% SERIES H CUMULATIVE PREFERRED SHARES |
0xa6b60F1d8E491B3317f06c7678C03556BF6ec19e |
500 |
GDV$K |
THE GABELLI DIVIDEND & INCOME TRUST 4.250% SERIES K CUMULATIVE PREFERRED SHARES |
0x9cED362Bf1799867Af8990d0DE74b64f8C057799 |
500 |
GE |
GE AEROSPACE COMMON STOCK |
0x62074114DD9b93F575C0136168f6f68cF65DeAdf |
500 |
GEF |
GREIF INC. CLASS A COMMON STOCK |
0xf8D090078f43175b850F443F61C00072Df5D1Cb1 |
500 |
GEF.B |
GREIF, INC. CORPORATION CLASS B COMMON STOCK |
0x9fA87fe7219070f1f32093b4559e4155FF3182aD |
500 |
GEL |
GENESIS ENERGY, L.P. COMMON UNITS |
0xdfA47b74853aCA653F3E42112c4e5DB8A8C11315 |
500 |
GENI |
GENIUS SPORTS LIMITED ORDINARY SHARES |
0xC7aEcb99560E74Ac8Ee814008391eC42110B9CaB |
500 |
GEO |
GEO GROUP INC (THE) REIT |
0x8f73B7a39132fe8D854B5257017F089Cb697023c |
500 |
GES |
GUESS?, INC. COMMON STOCK |
0xf64083dBD282aa49eb2E5562Fd0E053daDCbdc90 |
500 |
GETY |
GETTY IMAGES HOLDINGS, INC. CLASS A COMMON STOCK |
0x95B7877a66DEADbFC946BC3b86769e14364a1252 |
500 |
GEV |
GE VERNOVA INC. COMMON STOCK |
0x483E323bfcf3fD1BD5d6E77e461eb534444774Dc |
500 |
GF |
NEW GERMANY FUND, INC. (THE) COMMON STOCK |
0xa5eDb8A223dB35259f4f436B7f882e575fAd393A |
500 |
GFF |
GRIFFON CORPORATION COMMON STOCK |
0xE805B0692B78dd15f6D75DF195F50244FDe16e27 |
500 |
GFI |
GOLD FIELDS LIMITED AMERICAN DEPOSITARY SHARES |
0xf2Ca48670B78b5439AC9BD9735C9D94bA8aBc0AA |
500 |
GFL |
GFL ENVIRONMENTAL INC. SUBORDINATE VOTING SHARES, NO PAR VALUE |
0x235048E7FBF5Ed081e2482ab42368b213c7f6550 |
500 |
GFR |
GREENFIRE RESOURCES LTD. COMMON SHARES |
0x8b6275aeFb8d7cB5c029F73FCB130d4D617eC41C |
500 |
GGB |
GERDAU S.A. COMMON STOCK |
0xeC3a58994C0Aa337e61c03C3584698D29741d055 |
500 |
GGG |
GRACO INC. COMMON STOCK |
0x4053865c0128fcc51B6CC69F1bF36B84bacE3674 |
500 |
GGT |
GABELLI MULTI |
0x0eAD9DDd36883fF5f6DB7361402a078fE4d24Dc2 |
500 |
GGT$E |
GABELLI MULTI |
0x187b4117A16641bDd9F6bD2A86119508aED86A79 |
500 |
GGT$G |
GABELLI MULTI |
0x9a655843af04B54F6BBaea8D56Ced08ecE3EaBBD |
500 |
GGZ |
GABELLI GLOBAL SMALL AND MID CAP VALUE TRUST (THE) COMMON SHARES OF BENEFICIAL INTEREST |
0xfc7C9d8491AeD519ff362136D4f70Bf9571FCB31 |
500 |
GHC |
GRAHAM HOLDINGS COMPANY COMMON STOCK |
0x0caEa91A7BC92eb1483bA3588B81bd65dbE4bccc |
500 |
GHG |
GREENTREE HOSPITALITY GROUP LTD. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0x239084255556559201301527DF4c5fBe6f4642f2 |
500 |
GHI |
GREYSTONE HOUSING IMPACT INVESTORS LP BENEFICIAL UNIT CERTIFICATES REPRESENTING ASSIGNMENTS OF LIMITED PARTNERSHIP INTERESTS |
0xD8704bE20dbefF5AC92c376590De17BDfA83ef3f |
500 |
GHLD |
GUILD HOLDINGS COMPANY CLASS A COMMON STOCK |
0xf8573FB0F9F7a94772a83D42F8267B90976d6632 |
500 |
GHM |
GRAHAM CORPORATION COMMON STOCK |
0xdaE96B30e9182E797caFF150DA58343B115C9F75 |
500 |
GHY |
PGIM GLOBAL HIGH YIELD FUND, INC. |
0xfccD15B7113d438c2cd2dC7a89950D00e1A9ef1C |
500 |
GIB |
CGI INC. COMMON STOCK |
0xdec1876E57a2551489A1DfC33Fc784a3e8e1BFA9 |
500 |
GIC |
GLOBAL INDUSTRIAL COMPANY COMMON STOCK |
0x09E947e3395e74461AC2d748307b22a402662E92 |
500 |
GIL |
GILDAN ACTIVEWEAR, INC. CLASS A SUB. VOT. COMMON STOCK |
0x262CbCfA24516d7BE358d1E85EB4871b0beF7771 |
500 |
GIS |
GENERAL MILLS, INC. COMMON STOCK |
0x68961A7224850c2DCE694484368bBb0C1d7C8CeB |
500 |
GJH |
SYNTHETIC FIXED |
0x5B6c81b23a7352d0E0a8ba85aF21948b3D52444C |
500 |
GJO |
SYNTHETIC FIXED |
0x7D1723D3f7fC3FDE100b480779Ff0E7ADa033133 |
500 |
GJP |
SYNTHETIC FIXED |
0xe3FceCaB5Ab60aD44c0f7b1012F5621661009cDC |
500 |
GJR |
SYNTHETIC FIXED |
0x72cFA025F58022D4FaE584762B321B4dF729E37c |
500 |
GJS |
GOLDMAN SACHS GROUP SECURITIES STRATS TRUST FOR GOLDMAN SACHS GROUP SECURITIES, SERIES 2006 |
0xD4cecb3dec0194dAB2fAEfCE2637f5AbF85bBe92 |
500 |
GJT |
SYNTHETIC FIXED |
0x0C704B57Be4Dc38dcF249154010d2B1E1a640AF5 |
500 |
GKOS |
GLAUKOS CORPORATION COMMON STOCK |
0xd514F07e2eD7059D78757016b4f75A68a40Fe3E5 |
500 |
GL |
GLOBE LIFE INC. COMMON STOCK |
0x315661B595808c9Ca836f70F27a40efCe0d646CF |
500 |
GL$D |
GLOBE LIFE INC. 4.25% JUNIOR SUBORDINATED DEBENTURES DUE 2061 |
0x8E7502fcc335d8EFCD10E632313FD705a03bE9Ea |
500 |
GLOB |
GLOBANT S.A. COMMON SHARES |
0x5E0c941CD182323607D0C39dD9b84a022Ed3BD93 |
500 |
GLOP$A |
GASLOG PARTNERS LP 8.625% SERIES A CUMULATIVE REDEEMABLE PERPETUAL FIXED TO FLOATING RATE PREFERENCE UNITS |
0xB4243B95a80bE83ceF5e1559f85A36ceC14b5B39 |
500 |
GLOP$B |
GASLOG PARTNERS LP 8.200% SERIES B CUMULATIVE REDEEMABLE PERPETUAL FIXED TO FLOATING RATE PREFERENCE UNITS |
0xDB1c039c989A0928eFf0bE0f1dE76E6139F8f15b |
500 |
GLOP$C |
GASLOG PARTNERS LP 8.500% SERIES C CUMULATIVE REDEEMABLE PERPETUAL FIXED TO FLOATING RATE PREFERENCE UNITS |
0x3aB48EECF1d4552B028Aa561E06dA3E216c02471 |
500 |
GLP |
GLOBAL PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0xc18835215767bA5478761A6AAA99d24337073Cf3 |
500 |
GLP$B |
GLOBAL PARTNERS LP 9.50% SERIES B FIXED RATE CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x75Ce7B1c38396f91a299d385157E28Df968b81E4 |
500 |
GLW |
CORNING INCORPORATED COMMON STOCK |
0x5f726C7ec8c6038E9b362D06a367479a461a0552 |
500 |
GM |
GENERAL MOTORS COMPANY COMMON STOCK |
0x3be95D2Ed1F10ddf01c2A51eE1B3B46A479f7F62 |
500 |
GME |
GAMESTOP CORPORATION COMMON STOCK |
0x4251fe57B7e8E84CFfc983cfe23c6c34c3F78E04 |
500 |
GMED |
GLOBUS MEDICAL, INC. CLASS A COMMON STOCK |
0x162Bd86E09EF39F448E39F1FEC3abAA0F50AcF40 |
500 |
GMRE |
GLOBAL MEDICAL REIT INC. COMMON STOCK |
0x9eb53B3D146c4e1d4C8A236cE65025Bd48c95B8e |
500 |
GMRE$A |
GLOBAL MEDICAL REIT INC. SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xAEDFf644b584FF097861A207ecC4181904ad945c |
500 |
GMS |
GMS INC. COMMON STOCK |
0x12Ea0852E9ecCdF931Ad2bcA96DE2CE376FFe0Da |
500 |
GNE |
GENIE ENERGY LTD. CLASS B COMMON STOCK STOCK |
0x8C5Bb22747f51449473a252d92C3A7770f58FF67 |
500 |
GNK |
GENCO SHIPPING & TRADING LIMITED ORDINARY SHARES NEW (MARSHALL ISLANDS) |
0x888AE04bA1d416F407fc57D290F31a7B4B8a017d |
500 |
GNL |
GLOBAL NET LEASE, INC. COMMON STOCK |
0xB731cAb5652904dF9ea2d3cDd01bEe8e65eD3AE4 |
500 |
GNL$A |
GLOBAL NET LEASE, INC. 7.25% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK, $0.01 PAR VALUE PER SHARE |
0x3ddaDd611ca8f2267606B3D9E2aDbCde14653F23 |
500 |
GNL$B |
GLOBAL NET LEASE, INC. 6.875% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0xDd7ac485BA166f665bD852A6DD2427fcEFd0Ce3e |
500 |
GNL$D |
GLOBAL NET LEASE, INC. 7.50% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0xa82349951e873A7777B0d0acaECe29e1490547f6 |
500 |
GNL$E |
GLOBAL NET LEASE, INC. 7.375% SERIES E CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0x4fD2D19fEC304C8cCD53680B02e45a2dC3F17Ed4 |
500 |
GNRC |
GENERAC HOLDLINGS INC. COMMON STOCK |
0x3f7100B5cA45DeDae7e35565341568398c0160ab |
500 |
GNT |
GAMCO NATURAL RESOURCES, GOLD & INCOME TRUST |
0xCECb9481401F8ff4315258a387ef69f2D634493A |
500 |
GNT$A |
GAMCO NATURAL RESOURCES, GOLD & INCOME TUST 5.20% SERIES A CUMULATIVE PREFERRED SHARES (LIQUIDATION PREFERENCE $25.00 PER SHARE) |
0x2AA1a3EE523F916B7e18570adD92b7CBEAdcE225 |
500 |
GNTY |
GUARANTY BANCSHARES, INC. COMMON STOCK |
0x8Cc201D9D113dF434179Cd3b8399Ecc8b22AC42b |
500 |
GNW |
GENWORTH FINANCIAL INC COMMON STOCK |
0x0487eEd43c1B25D57bb123f749Bef51a7C1ED2f9 |
500 |
GOF |
GUGGENHEIM STRATEGIC OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xB7b6D14fD8854e6d02290985060E17a6bee169f5 |
500 |
GOLF |
ACUSHNET HOLDINGS CORP. COMMON STOCK |
0xca6bfb7A847cf0c0f5e90D25543024f122De8592 |
500 |
GOOS |
CANADA GOOSE HOLDINGS INC. SUBORDINATE VOTING SHARES |
0xfB6421CDEcc4b34BB67eFcfa22a4C1c1b66C700D |
500 |
GOTU |
GAOTU TECHEDU INC. AMERICAN DEPOSITARY SHARES |
0x31feD15785FFA50eC3db5aD6db809A44b782f148 |
500 |
GPC |
GENUINE PARTS COMPANY COMMON STOCK |
0x77E39bCd99c40F1012A4B559d9DF877135817dD6 |
500 |
GPI |
GROUP 1 AUTOMOTIVE, INC. COMMON STOCK |
0xEc0dd9F1679fD3FE2c804c81C329F960D6796bd0 |
500 |
GPJA |
GEORGIA POWER COMPANY SERIES 2017A 5.00% JUNIOR SUBORDINATED NOTES DUE OCTOBER 1, 2077 |
0xa830659092934A31856Fe46214b72A12De9C7c72 |
500 |
GPK |
GRAPHIC PACKAGING HOLDING COMPANY |
0x7F313c39C89ad613493520412192CeceA2242304 |
500 |
GPMT |
GRANITE POINT MORTGAGE TRUST INC. COMMON STOCK |
0xd571331597216BD5Ab2ef10E1FeB0D6336a40fd0 |
500 |
GPMT$A |
GRANITE POINT MORTGAGE TRUST INC. 7.00% SERIES A FIXED |
0x1abBE8D463283786613C2E313d581dbDfaABF94e |
500 |
GPN |
GLOBAL PAYMENTS INC. COMMON STOCK |
0x474B13fB5CFd3668c0f1C0D48cD3316B2d9d8B93 |
500 |
GPOR |
GULFPORT ENERGY CORPORATION COMMON SHARES |
0x4B128D59AD429bE044201640AA6A60092d0E464a |
500 |
GPRK |
GEOPARK LTD COMMON SHARES |
0xe05104ca87c8A136B2d188081D42e2459232e11F |
500 |
GRBK |
GREEN BRICK PARTNERS, INC. COMMON STOCK |
0xA2bda84cCcF4dae362A7D01265C0A783E21D30bD |
500 |
GRBK$A |
GREEN BRICK PARTNERS, INC. DEPOSITARY SHARES (EACH REPRESENTING A 1/1000TH FRACTIONAL INTEREST IN A SHARE OF 5.75% SERIES A CUMULATIVE PERPETUAL PREFERRED STOCK) |
0x71864663807D3f0Ed8543DDcdA4C138b8EC93537 |
500 |
GRC |
GORMAN |
0xa81a9975743EED686F8fFdB2bF8Ac1bc924FA3aF |
500 |
GRDN |
GUARDIAN PHARMACY SERVICES, INC. CLASS A COMMON STOCK |
0xcb29EF249A7e62aDFAFf90B85630FBa4498edE8E |
500 |
GRMN |
GARMIN LTD. COMMON STOCK (SWITZERLAND) |
0xC0AFF0846e6673F92c80eBD062b2C33Ca6AA7Cf5 |
500 |
GRND |
GRINDR INC. COMMON STOCK |
0x95a3e47032582f5F307C5fA8779EA03D22830890 |
500 |
GRNT |
GRANITE RIDGE RESOURCES, INC. COMMON STOCK |
0x34F00D412a8Bbd046C57E8D4EE84cA6950D874C7 |
500 |
GROV |
GROVE COLLABORATIVE HOLDINGS, INC. CLASS A COMMON STOCK |
0xc725e8C2F7e6e0a11E9Bcc61929672a145cA1c5A |
500 |
GRP.U |
GRANITE REAL ESTATE INC. UNITS |
0x6531CeF128870753d4B66CB3Aed960F7C374f233 |
500 |
GRX |
THE GABELLI HEALTHCARE & WELLNESS TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xC9653d4C3afdf5ebA790476eF3d85fa22b4cBd19 |
500 |
GS |
GOLDMAN SACHS GROUP, INC. (THE) COMMON STOCK |
0xe58034a270A7C15acC8Cf7050BE9363c48C7b75f |
500 |
GS$A |
GOLDMAN SACHS GROUP, INC. (THE) DEPOSITARY SHARES EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF FLOATING RATE NON |
0x9C6E68313aAd2b41ff26Fa7441afEF684F1B11B3 |
500 |
GS$C |
GOLDMAN SACHS GROUP, INC. (THE) DEPOSITARY SHARE REPSTG 1/1000TH PREFERRED SERIES C |
0x9Eb4c014C6134F8D2C2A0e89cd58A1dcDb4299f5 |
500 |
GS$D |
GOLDMAN SACHS GROUP, INC. (THE) DEP SHS REPSTG 1/1000 PFD SER D FLTG |
0x4D86441709BABFCE02c8D121C571f643D6038C05 |
500 |
GSBD |
GOLDMAN SACHS BDC, INC. COMMON STOCK |
0x0e68eC29D098C400329D35240DC23105DB470569 |
500 |
GSK |
GSK PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO ORDINARY SHARES) |
0x0972D0860DA62B29e7C299E770665Dc3D636c7B0 |
500 |
GSL |
GLOBAL SHIP LEASE INC NEW CLASS A COMMON SHARES |
0xF9c9BbB2bBd321F24b44Cd126C230D312b56fdF9 |
500 |
GSL$B |
GLOBAL SHIP LEASE, INC. DEPOSITORY SHARES REPRESENTING 1/100TH PERPETUAL PREFERRED SERIES B% (MARSHALL ISLAND) |
0xA7966Bf8516d64008F080E12C4bb2E97b2c118bf |
500 |
GTES |
GATES INDUSTRIAL CORPORATION PLC ORDINARY SHARES |
0x93df9E21c528514a3a8712587E6D6dcF1e99149A |
500 |
GTLS |
CHART INDUSTRIES, INC. COMMON STOCK |
0x3798ac67DDdB4EFB694405d5eaE777e00Bc17F3C |
500 |
GTLS$B |
CHART INDUSTRIES, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/20TH INTEREST IN A SHARE OF 6.75% SERIES B MANDATORY CONVERTIBLE PREFERRED STOCK |
0x98cc8632e57ecFBFFc2033db10bc923025C09816 |
500 |
GTN |
GRAY MEDIA, INC. COMMON STOCK |
0xb687F3C1445C2b6496ec7FF89B65719A21BdA5d8 |
500 |
GTN.A |
GRAY MEDIA, INC. CLASS A COMMON STOCK |
0x7312a1376FB5Cc2224aFbf69AA5ae355BD5819fB |
500 |
GTY |
GETTY REALTY CORPORATION COMMON STOCK |
0x157bd546345638917637C96F67e2DA2690cBAFcD |
500 |
GUG |
GUGGENHEIM ACTIVE ALLOCATION FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x544d5d65A5B1926839aF98ad6CA140294f2DAae9 |
500 |
GUT |
GABELLI UTILITY TRUST (THE) COMMON STOCK |
0x1426D893664442aEf3183E335d263a30180A94a3 |
500 |
GUT$C |
GABELLI UTILITY TRUST (THE) 5.375% SERIES C CUMULATIVE PREFERRED SHARES |
0x748762092bCEf0bDea070e9a440FB3b0Fa548bb5 |
500 |
GVA |
GRANITE CONSTRUCTION INCORPORATED COMMON STOCK |
0x2BF6249983434f22BF36F570Bf3B49F84786E8d9 |
500 |
GWH |
ESS TECH, INC. COMMON STOCK |
0x2fEa6d8d04E9469B7828edf1ccE838bb596C776c |
500 |
GWH.W |
ESS TECH, INC. WARRANT |
0x178333081824243d8385a7C4aEB04765D108926E |
500 |
GWRE |
GUIDEWIRE SOFTWARE, INC. COMMON STOCK |
0x3dd91D70977cA27ADD3dB28dD9Eb172D3300A2E1 |
500 |
GWW |
W.W. GRAINGER, INC. COMMON STOCK |
0x6468828c402C31Ee07d789b42682e29D19Ab96E4 |
500 |
GXO |
GXO LOGISTICS, INC. COMMON STOCK |
0x23943d6DF68B793170a8feCba91Aa6F2Cc5dDC7B |
500 |
GYLD |
ARROW DOW JONES GLOBAL YIELD ETF ETF |
0x2b4cE799cf795BbdE4Dd8efe46E858cc38Fbc739 |
500 |
H |
HYATT HOTELS CORPORATION CLASS A COMMON STOCK |
0x48B2C1510c5bd6b3ACdA84050af2C20287677F5d |
500 |
HAE |
HAEMONETICS CORPORATION COMMON STOCK |
0x9879D447D3704B4a85982637d1fE422A3F81e093 |
500 |
HAFN |
HAFNIA LIMITED COMMON SHARES |
0x898af414323798a9965620D7C085B29a6F0cbaCF |
500 |
HAL |
HALLIBURTON COMPANY COMMON STOCK |
0x6bD89507623dbeAE7B5eDAeD61edFEaaA40b6482 |
500 |
HASI |
HA SUSTAINABLE INFRASTRUCTURE CAPITAL, INC. COMMON STOCK |
0x91DE6FAC271a73311932968baD9DFaccA1AD73e9 |
500 |
HAYW |
HAYWARD HOLDINGS, INC. COMMON STOCK |
0x6AAb6734e092D24Ad935F45bfb9E97A7aC4f0CFe |
500 |
HBB |
HAMILTON BEACH BRANDS HOLDING COMPANY CLASS A COMMON STOCK |
0x25EA0f33F5dfB2fB058131013c3E7ff16C3D7163 |
500 |
HBI |
HANESBRANDS INC. COMMON STOCK |
0xC9C4A75e687e19862Bd8f7232b9A0C92beba0Be4 |
500 |
HBM |
HUDBAY MINERALS INC. ORDINARY SHARES (CANADA) |
0x4c38586106012F9C55B78F4dC6bD8dedee6241b4 |
500 |
HCA |
HCA HEALTHCARE, INC. COMMON STOCK |
0xBd0691a355a6a973c459C0DF88D75aC890a95227 |
500 |
HCC |
WARRIOR MET COAL, INC. COMMON STOCK |
0xf4857c4687343D2885BBABdd61EbCAfd2A16683e |
500 |
HCI |
HCI GROUP, INC. COMMON STOCK |
0x97edeFe7E6C17db7B967550F3edE47d55216c86E |
500 |
HCXY |
HERCULES CAPITAL, INC. 6.25% NOTES DUE 2033 |
0x6FEC0a4c1B9B44DEBE758F27d7490853097E11E9 |
500 |
HD |
HOME DEPOT, INC. (THE) COMMON STOCK |
0x58cE63A57110305C046C3e5e205Cf491C58245cc |
500 |
HDB |
HDFC BANK LIMITED COMMON STOCK |
0x16E5712C08faF73BC17e1cBB6c98c8066F8DE929 |
500 |
HE |
HAWAIIAN ELECTRIC INDUSTRIES, INC. COMMON STOCK |
0x3A3048d7fD52791fDFb9f67b58841830aD8692Cf |
500 |
HEI |
HEICO CORPORATION COMMON STOCK |
0xde218640Ed5B6CCF1bBAd813e243923f98b98e54 |
500 |
HEI.A |
HEICO CORPORATION COMMON STOCK |
0x99c9Df183378eD553C4598af05e206d3fcdBcdE8 |
500 |
HEQ |
JOHN HANCOCK DIVERSIFIED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x251905d7d4C0f045ECe90830d462853c04f32343 |
500 |
HES |
HESS CORPORATION COMMON STOCK |
0x08B7589db9a657dD9ebbAB2871C2dD2C52543764 |
500 |
HESM |
HESS MIDSTREAM LP CLASS A REPRESENTING LIMITED PARTNER INTERESTS |
0x1dC570C733aF34EAC4e25D4881afC4FAFA160a66 |
500 |
HF |
DGA CORE PLUS ABSOLUTE RETURN ETF |
0xf70836eF41788F8e43B6c9c5e17c771d1EFFd408 |
500 |
HFRO |
HIGHLAND OPPORTUNITIES AND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x5293Ff91342F0A1c67545190836CBb45dCA1f918 |
500 |
HFRO$A |
HIGHLAND OPPORTUNITIES AND INCOME FUND 5.375% SERIES A CUMULATIVE PREFERRED SHARES |
0x3eDA517058b18000A7073fd09a12657fc1Cad70c |
500 |
HFRO$B |
HIGHLAND OPPORTUNITIES AND INCOME FUND 5.375% SERIES B CUMULATIVE PREFERRED SHARES |
0xc603228a959D5fBe8be46Ead06b5875e4601aFbc |
500 |
HG |
HAMILTON INSURANCE GROUP, LTD. CLASS B COMMON SHARES |
0x9672BfbFc35f292fD706EE465aFB73b7AB1FE2A6 |
500 |
HGER |
HARBOR COMMODITY ALL |
0x09C2A8E1E8e0AB7f5756014418bBaf3A49590b30 |
500 |
HGLB |
HIGHLAND GLOBAL ALLOCATION FUND COMMON STOCK |
0xDFe147150cA6D9c69b76a229F9ec8CB22639c3f4 |
500 |
HGTY |
HAGERTY, INC. CLASS A COMMON STOCK |
0xe7a4205FE19E0591103020a3eCAbaC05E85ef11d |
500 |
HGV |
HILTON GRAND VACATIONS INC. COMMON STOCK |
0xA06e438558E009301F5adc93FBD1585e2e222311 |
500 |
HHH |
HOWARD HUGHES HOLDINGS INC. COMMON STOCK |
0xc61026C4c09079BAFE69986B60adD4a08c0e0eE4 |
500 |
HI |
HILLENBRAND INC COMMON STOCK |
0xd762fD074Ec4A12c544ED83736Aa94de510c07fB |
500 |
HIG |
THE HARTFORD INSURANCE GROUP, INC. COMMON STOCK |
0x36396F54644B63A23A1D2B08cCe85081fCDb8615 |
500 |
HIG$G |
THE HARTFORD INSURANCE GROUP, INC. DEPOSITARY SHARES EACH REPRESENTING A 1/1000TH INTEREST IN A SHARE OF 6.000% NON |
0x1DA6717D8814Ae82D75cc4204f5AB3ccDBc337Fb |
500 |
HII |
HUNTINGTON INGALLS INDUSTRIES, INC. COMMON STOCK |
0x9b63808A035C9714dEA647e3c6B4f47C8d7AFfb6 |
500 |
HIMS |
HIMS & HERS HEALTH, INC. CLASS A COMMON STOCK |
0x507C4f7E2d5ccE1511AD21800CcA856B5e640934 |
500 |
HIO |
WESTERN ASSET HIGH INCOME OPPORTUNITY FUND, INC. COMMON STOCK |
0x9aFc9dB2ad0C9B3c2d339B9FA24F2552F5De7b36 |
500 |
HIPO |
HIPPO HOLDINGS INC. COMMON STOCK |
0x97e89a159073CDCbE47CdA5F086e219059C9ed62 |
500 |
HIW |
HIGHWOODS PROPERTIES, INC. COMMON STOCK |
0x07FE3F182DeAaD7A65c76b8c23386be20600Fc69 |
500 |
HIX |
WESTERN ASSET HIGH INCOME FUND II INC. COMMON STOCK |
0xF3017925309473a1e81d6F7D4A6b76F9F5d5e08D |
500 |
HKD |
AMTD DIGITAL INC. AMERICAN DEPOSITARY SHARES (EVERY FIVE OF WHICH REPRESENT TWO CLASS A ORDINARY SHARES) |
0xEdc8aC92F3eeb6Ef6D786f2b51c45A7b77C772a2 |
500 |
HL |
HECLA MINING COMPANY COMMON STOCK |
0x8B09B4821B683a2617e5Bb36F618bA92B182Da7B |
500 |
HL$B |
HECLA MINING COMPANY PREFERRED STOCK |
0xb2958cE349aEe1300CCb8D8459d41c521cF45ca2 |
500 |
HLF |
HERBALIFE LTD. COMMON SHARES |
0x1DF2E8C7dFc120Bd4ff1C57ce16C14F783e235Fa |
500 |
HLI |
HOULIHAN LOKEY, INC. CLASS A COMMON STOCK |
0x7d620D634e525F0721c92A5943B46e4805fb44e4 |
500 |
HLIO |
HELIOS TECHNOLOGIES, INC. COMMON STOCK |
0xC2C3a6830A44ddEb19cf3898eF42618f84CBEE92 |
500 |
HLLY |
HOLLEY INC. COMMON STOCK |
0xD3055107dc74eE0c4Fe7DDD65016d3632d983d47 |
500 |
HLLY.W |
HOLLEY INC. WARRANTS |
0x42307AD4F7AF54Bc7D3Dba286490D014c88b9591 |
500 |
HLN |
HALEON PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO ORDINARY SHARES) |
0x1A0CfC1E682a42E4739Aa1694849b3BC5c7bc106 |
500 |
HLT |
HILTON WORLDWIDE HOLDINGS INC. COMMON STOCK |
0x98cE379039Da6afa96e221c79701008f37D8e74C |
500 |
HLX |
HELIX ENERGY SOLUTIONS GROUP, INC. COMMON STOCK |
0xCF91D775C96f9721AE44C29cd955f064484dC420 |
500 |
HMC |
HONDA MOTOR COMPANY, LTD. COMMON STOCK |
0xaF5a0423Ab1A2c16a237874Fc94e6Ba11820f56A |
500 |
HMN |
HORACE MANN EDUCATORS CORPORATION COMMON STOCK |
0xe4e57a0a7F03146B82a0c47BFA1278dcF9970937 |
500 |
HMY |
HARMONY GOLD MINING COMPANY LIMITED |
0x0df5ae6d2Eb00Bb5863F1499af6f83Bf8564afbd |
500 |
HNGE |
HINGE HEALTH, INC. CLASS A COMMON STOCK |
0xA49B3B58b36aAed5328cd8567e2f3Bf51Ea60169 |
500 |
HNI |
HNI CORPORATION COMMON STOCK |
0x16D89Dc488E6BA481ac1a6A93d7c9D9275a1949D |
500 |
HOG |
HARLEY |
0x81EA985A6c9576FBEa87571A0635999318d6101f |
500 |
HOMB |
HOME BANCSHARES, INC. COMMON STOCK |
0xcbEF7ecCb6a30D5D703E013a0450993bd53Ff3B4 |
500 |
HOUS |
ANYWHERE REAL ESTATE INC. COMMON STOCK, |
0xF26B044Ea4Dc866683B86b875a81115521639F40 |
500 |
HOV |
HOVNANIAN ENTERPRISES, INC. CLASS A COMMON STOCK |
0x1721A31c58186F6cacD9D3f9b484F069396Deb0f |
500 |
HP |
HELMERICH & PAYNE, INC. COMMON STOCK |
0xFE05Ba25d8984DE5C72e66199f899AB059747D53 |
500 |
HPE |
HEWLETT PACKARD ENTERPRISE COMPANY COMMON STOCK |
0x5f51cBd5E9e8ed801a8a648C4Dc7c70A0B9392B2 |
500 |
HPE$C |
HEWLETT PACKARD ENTERPRISE COMPANY 7.625% SERIES C MANDATORY CONVERTIBLE PREFERRED STOCK |
0x6f76C69aA4D04B9fFa9301e4997E53DdbD929680 |
500 |
HPF |
JOHN HANCOCK PFD INCOME FUND II PFD INCOME FUND II |
0xdA348aA8501124D9130c2fCd605d555d25010245 |
500 |
HPI |
JOHN HANCOCK PREFERRED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xC3D7A3c22c83B4Ac5FA6fF9243beB579f560F4D1 |
500 |
HPP |
HUDSON PACIFIC PROPERTIES, INC. COMMON STOCK |
0xAaF9C4043059cB91a58560AAaE3debB27D3f7936 |
500 |
HPP$C |
HUDSON PACIFIC PROPERTIES, INC. 4.750% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xd44Fa56Ea2C5eE7666f0A2C9ac521e2a7fe59B76 |
500 |
HPQ |
HP INC. COMMON STOCK |
0x33E3560b1cEE4A3aaAe7B7CA2Df05Ce60a71D076 |
500 |
HPS |
JOHN HANCOCK PREFERRED INCOME FUND III PREFERRED INCOME FUND III |
0xBc373e8dbC19197aBde25b875dFDfa90d0061522 |
500 |
HQH |
ABRDN HEALTHCARE INVESTORS SHARES OF BENEFICIAL INTEREST |
0x73edE82051Aef0CdC526988AFF2e4F250354c96C |
500 |
HQL |
ABRDN LIFE SCIENCES INVESTORS SHARES OF BENEFICIAL INTEREST |
0x994a07D558B56c736c11D124eC3F9e4D6105E6C1 |
500 |
HR |
HEALTHCARE REALTY TRUST INCORPORATED COMMON STOCK |
0xAC68f5A3b10e446c11dA340bf44e4323A420cC9a |
500 |
HRB |
H&R BLOCK, INC. COMMON STOCK |
0x92709D1FdDbC2ccfb38d6Ec0C8F5bbD042BE9E0f |
500 |
HRI |
HERC HOLDINGS INC. COMMON STOCK |
0x2C9cE49112aE251809cAB15624676c4114aCf1Bc |
500 |
HRL |
HORMEL FOODS CORPORATION COMMON STOCK |
0xb61256EEd09BE66B6fc7e70856BF71bdeAbf73A4 |
500 |
HRTG |
HERITAGE INSURANCE HOLDINGS, INC. COMMON STOCK |
0x5aD6e143C805e0693B2C07A4aA7d837853Edea56 |
500 |
HSBC |
HSBC HOLDINGS, PLC. COMMON STOCK |
0x46e9B8b23D7E4D9CCe3527cbDf7379d1C9341b60 |
500 |
HSHP |
HIMALAYA SHIPPING LTD. COMMON SHARES |
0x9FB27aD5108Aa12B6AbeA7f993D1488022ad28d9 |
500 |
HSY |
THE HERSHEY COMPANY COMMON STOCK |
0xe5BB262DF1540EA87374819C774D94907B063517 |
500 |
HTB |
HOMETRUST BANCSHARES, INC. COMMON STOCK |
0xf99761C8Ae4c4675d4e7348dcE0897b13B49B799 |
500 |
HTD |
JOHN HANCOCK TAX ADVANTAGED DIVIDEND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x3818385997a03798C3F3895E35792da3aB6b2825 |
500 |
HTFB |
HORIZON TECHNOLOGY FINANCE CORPORATION 4.875% NOTES DUE 2026 |
0xd76657994973Dfa4b05EaaE79052904D15F9F8E4 |
500 |
HTFC |
HORIZON TECHNOLOGY FINANCE CORPORATION 6.25% NOTES DUE 2027 |
0x322162c535bBa7E90d902B3ef9e622430E154402 |
500 |
HTGC |
HERCULES CAPITAL, INC. COMMON STOCK |
0x9CaAf8D190593E72eB2aDe6b7285d51d9839bf02 |
500 |
HTH |
HILLTOP HOLDINGS INC. |
0x14452D92D3D6E7419028C0762f77D9d072893FCC |
500 |
HUBB |
HUBBELL INC COMMON STOCK |
0xF0EFC90223f5B50D1dd63715aE387E4a59FdEeAc |
500 |
HUBS |
HUBSPOT, INC. COMMON STOCK |
0x7fb5c2F76408cd5aA8cE950EbE3971FF293EB0f5 |
500 |
HUM |
HUMANA INC. COMMON STOCK |
0x04163D4B4f71D7ef84AA81e7371870763D7f584E |
500 |
HUN |
HUNTSMAN CORPORATION COMMON STOCK |
0x13962BbFD30Ca729E392D55c20Bf1a897564A8Ed |
500 |
HUYA |
HUYA INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0xa6e2FA92bb798a7B2DFcC5895d374502043E2700 |
500 |
HVT |
HAVERTY FURNITURE COMPANIES, INC. COMMON STOCK |
0x38C073C853B51626DFE29C142fA569Cc73d1ed4f |
500 |
HVT.A |
HAVERTY FURNITURE COMPANIES, INC. COMMON STOCK |
0xF441bde80aeD92e4D654649c29D4F8080A58aCc2 |
500 |
HWM |
HOWMET AEROSPACE INC. COMMON STOCK |
0x6fB8fE75c02E29A9f3329f1B5E4567d65c654390 |
500 |
HXL |
HEXCEL CORPORATION COMMON STOCK |
0x9b5CEc99cd589c4D274acFb63831e44E58Da6Dc5 |
500 |
HY |
HYSTER |
0x4d95Aa719F270FbD4DD022d78A4B1C86280008E5 |
500 |
HYAC |
HAYMAKER ACQUISITION CORP. 4 CLASS A ORDINARY SHARES |
0xd8eC5b308cDd532465c0ed9593dE3a1AD6B987BF |
500 |
HYAC.U |
HAYMAKER ACQUISITION CORP. 4 UNITS, EACH CONSISTING ONE CLASS A ORDINARY SHARE AND ONE |
0x7188E8bb13B4f8EAf35D636287717677e766fFbF |
500 |
HYAC.W |
HAYMAKER ACQUISITION CORP. 4 WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x58F202BaE4677BEdc2aDD9B17795233F5EdF307F |
500 |
HYBX |
TCW HIGH YIELD BOND ETF |
0xeF88Ec738daC8ad52e488473E7E74E3F6c373c3c |
500 |
HYI |
WESTERN ASSET HIGH YIELD DEFINED OPPORTUNITY FUND INC. COMMON STOCK |
0x7AFB257b5Eaaf9fEb7C829AedDB8C4Fa650f0405 |
500 |
HYT |
BLACKROCK CORPORATE HIGH YIELD FUND, INC. COMMON STOCK |
0x662cE4529fDa5D074D34cF6837290af0972e1b00 |
500 |
HYTR |
COUNTERPOINT HIGH YIELD TREND ETF |
0xcd72a153aD1504Af1aAbc91a7c6d8241241cBB63 |
500 |
HZO |
MARINEMAX, INC. (FL) COMMON STOCK |
0x062E5B3dF0821595964AC75CfD61e2fAfB0E0045 |
500 |
IAE |
VOYA ASIA PACIFIC HIGH DIVIDEND EQUITY INCOME FUND ING ASIA PACIFIC HIGH DIVIDEND EQUITY INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x9c4C47b59516B716294D0D1F1a041a24DaE88783 |
500 |
IAG |
IAMGOLD CORPORATION ORDINARY SHARES |
0x5F15586e4cf8DBBA02E8dcc87Ca86865af1ab95e |
500 |
IBM |
INTERNATIONAL BUSINESS MACHINES CORPORATION COMMON STOCK |
0x17a8c0D13A38524090C465F3c7Ad52763fedF902 |
500 |
IBN |
ICICI BANK LIMITED COMMON STOCK |
0x99107eFaD2B2d696a1003C635A36F5188159fF3b |
500 |
IBP |
INSTALLED BUILDING PRODUCTS, INC. COMMON STOCK |
0xf71ad067e388D36C0e4037Ee958fC3B179c437B6 |
500 |
IBTA |
IBOTTA, INC. CLASS A COMMON STOCK |
0xD75BE6fEDC3e450Fc6867119987B27Bf1B718E37 |
500 |
ICE |
INTERCONTINENTAL EXCHANGE INC. COMMON STOCK |
0x2dcD9a8E085073D164F5f90aB72f734bDEcEC212 |
500 |
ICL |
ICL GROUP LTD. ORDINARY SHARES |
0x57facE85D0709ef882847F36a05Ad870d4C1a82E |
500 |
ICR$A |
INPOINT COMMERCIAL REAL ESTATE INCOME, INC. 6.75% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xC6178093f5Ac2326654e0328fcc84485F08aA8f8 |
500 |
IDA |
IDACORP, INC. COMMON STOCK |
0x8872352981D811237465B378424eBFF625EC0e94 |
500 |
IDE |
VOYA INFRASTRUCTURE, INDUSTRIALS AND MATERIALS FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xd72EB282e18e0CA2aDA80C3f26135Ebf6A856742 |
500 |
IDT |
IDT CORPORATION CLASS B COMMON STOCK |
0x5E822d823481E483ef2Ec2E06D31F429a0c33aba |
500 |
IEX |
IDEX CORPORATION COMMON STOCK |
0x5dc54721B3eF2dD025594ee3Bc44ecC4A7277450 |
500 |
IFF |
INTERNATIONAL FLAVORS & FRAGRANCES, INC. COMMON STOCK |
0x1f5639c5600Bb8d7cbc3d900059d881B281BA966 |
500 |
IFN |
INDIA FUND, INC. (THE) COMMON STOCK |
0x10333fcC7375B68E990EC3460687013c1feF68AD |
500 |
IFS |
INTERCORP FINANCIAL SERVICES INC. COMMON SHARES |
0xC4cC17d476bD1Af2aF299c23dc818D2379caB555 |
500 |
IGA |
VOYA GLOBAL ADVANTAGE AND PREMIUM OPPORTUNITY FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xd77019b9788523c0fc7f5b2F384e9E3529Bb26Da |
500 |
IGCB |
TCW CORPORATE BOND ETF |
0x90684ba1068Fd944361854e82cB7053f73ec9103 |
500 |
IGD |
VOYA GLOBAL EQUITY DIVIDEND AND PREMIUM OPPORTUNITY FUND |
0x4359A04515FE6a7F9F973421C2BB55f0609492F1 |
500 |
IGI |
WESTERN ASSET INVESTMENT GRADE OPPORTUNITY TRUST INC. COMMON STOCK |
0x226B0F391A324fB6a8e3927F595B5191AB0e52Cc |
500 |
IGR |
CBRE GLOBAL REAL ESTATE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xF1A1936Ed47f8a05e846840047EB6b113C610f69 |
500 |
IGT |
INTERNATIONAL GAME TECHNOLOGY ORDINARY SHARES |
0x083a8f38541506b9B75b065Fd74B365C0dAF81C4 |
500 |
IH |
IHUMAN INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FIVE CLASS A ORDINARY SHARES |
0x31564110469eACc810b7FE2bb385b9d92d424177 |
500 |
IHD |
VOYA EMERGING MARKETS HIGH INCOME DIVIDEND EQUITY FUND COMMON SHARES |
0x31E93613Ed93f23c6e37336152f2c4EfeCB901aC |
500 |
IHG |
INTERCONTINENTAL HOTELS GROUP AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE ORDINARY SHARE) |
0x7D0C9202C40d2C5225aa96999BEF7A8c77ec93c6 |
500 |
IHS |
IHS HOLDING LIMITED ORDINARY SHARES |
0xB1D589AFc69F58d75Ca3ef84Ca3719F662C315F1 |
500 |
IIF |
MORGAN STANLEY INDIA INVESTMENT FUND, INC. COMMON STOCK |
0x712fe11FB1ecA984c202E546b06D512B77aD8a19 |
500 |
IIIN |
INSTEEL INDUSTRIES, INC. COMMON STOCK |
0xAfc2181EB866E2673080c11734098d24d11b92dB |
500 |
IIM |
INVESCO VALUE MUNICIPAL INCOME TRUST COMMON STOCK |
0xecf4CAC0C4ddCcB7867e08E8F13e5e6b11bC23f1 |
500 |
IIPR |
INNOVATIVE INDUSTRIAL PROPERTIES, INC. COMMON STOCK |
0xd3Ed0F1bA877877ACdEf54D711Dada2555aA2141 |
500 |
IIPR$A |
INNOVATIVE INDUSTRIAL PROPERTIES, INC. 9.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xB393FBD8cd7b51f464229a3F1c36e8D03b68d31A |
500 |
IMAX |
IMAX CORPORATION COMMON STOCK |
0xFd84742533217B46c6AC0f35f447872e8e2D07CC |
500 |
INFA |
INFORMATICA INC. CLASS A COMMON STOCK |
0x40db2795dC0871eE32657ccafeC60B34330622d5 |
500 |
INFY |
INFOSYS LIMITED AMERICAN DEPOSITARY SHARES |
0x840cc9d8Fc8626Df544F9eb84b77767D0D0d8410 |
500 |
ING |
ING GROUP, N.V. COMMON STOCK |
0x1C3EAf6c127d2e4c231cE827F57C2cE8Ca09521b |
500 |
INGM |
INGRAM MICRO HOLDING CORPORATION COMMON STOCK |
0x3e5f6d1AD911561B01d9e4a23494D2226632Fe6b |
500 |
INGR |
INGREDION INCORPORATED COMMON STOCK |
0xD81815b05913b73D2B85F1DD7a42bB84a5460018 |
500 |
INN |
SUMMIT HOTEL PROPERTIES, INC. COMMON STOCK |
0xe4b9E98dfF2D023815eE6F2c060AF8D3c2E46D5d |
500 |
INN$E |
SUMMIT HOTEL PROPERTIES, INC. 6.250% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x3Ef0c9a4FFA21c75B5c393A921a6DF7b28E5132b |
500 |
INN$F |
SUMMIT HOTEL PROPERTIES, INC. 5.875% SERIES F CUMULATIVE REDEEMABLE PREFERRED STOCK, $0.01 PAR VALUE PER SHARE |
0x7396c2d84407F5cE62823120cC32258f1Da6A096 |
500 |
INR |
INFINITY NATURAL RESOURCES, INC. CLASS A COMMON STOCK |
0x9657A3271ABDCf1E0dA038eDA5e1b275518cA51c |
500 |
INSP |
INSPIRE MEDICAL SYSTEMS, INC. COMMON STOCK |
0x9121B6fFA056Fc68e603367e46d97024B9c5CcA3 |
500 |
INSW |
INTERNATIONAL SEAWAYS, INC. COMMON STOCK |
0x1bA50B3d05b7A04ceBf2C6b0875E141Fce13694A |
500 |
INVH |
INVITATION HOMES INC. COMMON STOCK |
0xe2aCC19d2a8Ce6a6DF79598b70681058A45642AD |
500 |
INVX |
INNOVEX INTERNATIONAL, INC. COMMON STOCK |
0x7CA07e8bD70fEeEbb402F071707a29D0323f3799 |
500 |
IONQ |
IONQ, INC. COMMON STOCK |
0x3361288CefF43b23745ABdc5ed2D98a46C0e6760 |
500 |
IONQ.W |
IONQ, INC. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF COMMON STOCK, EACH AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0xe63021fF277351e08Cf93202616861Be1508Eb63 |
500 |
IOT |
SAMSARA INC. CLASS A COMMON STOCK |
0xf0c44FC5C1A2E3Dc77352978092dd0a85Ce912E1 |
500 |
IP |
INTERNATIONAL PAPER COMPANY COMMON STOCK |
0x0177CAb2fbFD8A9Be45aaA805D44dcf0347411dD |
500 |
IPB |
MERRILL LYNCH & CO., INC. 6.0518% INDEX PLUS TRUST CERTIFICATES SERIES 2003 |
0xa0bD075dc868D4D08604d90854aCf0e96DbA3263 |
500 |
IPG |
INTERPUBLIC GROUP OF COMPANIES, INC. (THE) COMMON STOCK |
0x85F958a7284eB4Bb18eE3397c6b4c7C692E2ffd0 |
500 |
IPI |
INTREPID POTASH, INC COMMON STOCK |
0xf5dD9ba731428E8D0803b8bc4E60C2b99906441b |
500 |
IQI |
INVESCO QUALITY MUNICIPAL INCOME TRUST COMMON STOCK |
0x07dA9667ecF6C6d631Ba51C9cCB52B7b8F7D9596 |
500 |
IQV |
IQVIA HOLDINGS, INC. COMMON STOCK |
0xc6B475aB7e3C60de42c23644A359439929059513 |
500 |
IR |
INGERSOLL RAND INC. COMMON STOCK |
0x35D850b3177361bF4B3c33d948976a23269De759 |
500 |
IRM |
IRON MOUNTAIN INCORPORATED (DELAWARE)COMMON STOCK REIT |
0xcC48917c44bED336Ef0f1BEbf298014a9D1788E0 |
500 |
IRS |
IRSA INVERSIONES Y REPRESENTACIONES S.A. GLOBAL DEPOSITARY SHARES (EACH REPRESENTING TEN SHARES OF COMMON STOCK) |
0x1B7F27bA8Df08819F036Cc0A6B49dc0878163f53 |
500 |
IRS.W |
IRSA INVERSIONES Y REPRESENTACIONES S.A. WARRANTS TO PURCHASE COMMON SHARES |
0xb5e9D641bE9697DFb631baB79d57ceD2491BF0A5 |
500 |
IRT |
INDEPENDENCE REALTY TRUST, INC. COMMON STOCK |
0x0Cc3fCF845f3c9053F215Aa9906724933B4A61Ef |
500 |
ISD |
PGIM HIGH YIELD BOND FUND, INC. |
0xcc5d97d23da91Eac6C9ceac5b46a9475129B05DA |
500 |
IT |
GARTNER, INC. COMMON STOCK |
0x34b1eed27bF1F82cD6d47eB024D3780387eacc2A |
500 |
ITGR |
INTEGER HOLDINGS CORPORATION COMMON STOCK |
0x4AE3Bd9244751b00112BA82976403E4Dea0CCD7e |
500 |
ITT |
ITT INC. COMMON STOCK |
0xb9eDf17F3cB600041523b0917c54e1828021cF80 |
500 |
ITUB |
ITAU UNIBANCO BANCO HOLDING SA AMERICAN DEPOSITARY SHARES (EACH REPSTG 500 PREFERRED SHARES) |
0xb335CA46D6B304198C08A0828E2b614a65B1c7f8 |
500 |
ITW |
ILLINOIS TOOL WORKS INC. COMMON STOCK |
0x9369D70c3Eff0c1EFC78Fa24aA62cD7c3d385BfB |
500 |
IVR |
INVESCO MORTGAGE CAPITAL INC COMMON STOCK |
0x883922996b0d1B198477D4291F2cc94f4Cc8dB11 |
500 |
IVR$C |
INVESCO MORTGAGE CAPITAL INC 7.5% FIXED |
0xDb3399b7BA0D6c1ABd35297d38F1A6D95e45FF2D |
500 |
IVT |
INVENTRUST PROPERTIES CORP. COMMON STOCK |
0x874893959824F92852103BF0400FdaD5248820aC |
500 |
IVZ |
INVESCO LTD COMMON STOCK |
0x48e95b16c01db0fA265Fc6a86309ba62B4706F51 |
500 |
IX |
ORIX CORPORATION AMERICAN DEPOSITARY SHARES |
0xc70e32A1D2D11E9B7b925cFa9a0E6Ea0571ccb7c |
500 |
J |
JACOBS SOLUTIONS INC. COMMON STOCK |
0x308a88a6b45d9aEDaEcA825F7E7C011FDAF90012 |
500 |
JACS |
JACKSON ACQUISITION COMPANY II CLASS A ORDINARY SHARES |
0x5Ce095Ba916f3d45A78C3EB178A70BC855D47Bcc |
500 |
JACS.R |
JACKSON ACQUISITION COMPANY II RIGHTS, EACH RIGHT TO ACQUIRE ONE |
0x3C96C4AC5795fa596198Ca372aE5ac7d31D91cba |
500 |
JACS.U |
JACKSON ACQUISITION COMPANY II UNITS, EACH CONSISTING OF ONE CLASS A ORDINARY SHARE AND ONE RIGHT TO ACQUIRE ONE |
0x445b1fBA4A1437f8C6Eba12AB311B7308bebef3A |
500 |
JBGS |
JBG SMITH PROPERTIES COMMON SHARES |
0x1C0EB10f820C9eb317418b118A6Cf58dEE6c6fF6 |
500 |
JBI |
JANUS INTERNATIONAL GROUP, INC. COMMON STOCK |
0xB0c0E0DF05219D169B5E6F1F0F38209C42e281ed |
500 |
JBK |
LEHMAN ABS 3.50 3.50% ADJUSTABLE CORP BACKED TR CERTS GS CAP I |
0x39b53fd7014C17e769f47407CEf50F2b4Bcd0B60 |
500 |
JBL |
JABIL INC. COMMON STOCK |
0xd27f815e1FA3567Cf7f07EEa2A9C37e0EBA40D7f |
500 |
JBND |
J.P. MORGAN EXCHANGE |
0x3eccf135c07Db8B6DBF9268436e8F0aEeB061CA8 |
500 |
JBS |
JBS N.V. CLASS A COMMON SHARES |
0x1F1918F7C06C8FaC79E0bA4EFDD7f86bC38A6d2c |
500 |
JBTM |
JBT MAREL CORPORATION COMMON STOCK |
0x0aE0CeCCF72029F4f9976bC838f345333fcB8BB3 |
500 |
JCE |
NUVEEN CORE EQUITY ALPHA FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xd641eaE59994D2640F74b795D9Af4d88d8A8f0AF |
500 |
JCI |
JOHNSON CONTROLS INTERNATIONAL PLC ORDINARY SHARE |
0x8fC1BA91dfa25e7eB7fd92d99a6FBed6bce46034 |
500 |
JEF |
JEFFERIES FINANCIAL GROUP INC. COMMON STOCK |
0xA9Aa39a8F2a0736b3BBE2D0583Ce40fA87A78D4E |
500 |
JELD |
JELD |
0x425EF7F1d3d4c2FEB109729087A152bD0B12953F |
500 |
JENA.U |
JENA ACQUISITION CORPORATION II UNITS, EACH CONSISTING OF ONE CLASS A ORDINARY SHARE AND ONE RIGHT |
0x1b84Ddf28C3699bf1bE6567797C367a6Cb8E160C |
500 |
JEQ |
ABRDN JAPAN EQUITY FUND, INC. COMMON STOCK |
0xc957Aee5Bf516a3184EF3d87b8460c58Ad1AB95E |
500 |
JFR |
NUVEEN FLOATING RATE INCOME FUND COMMON STOCK |
0x2B8d80FBa5971A1a71B7Bca7a12079FAD8C765CF |
500 |
JGH |
NUVEEN GLOBAL HIGH INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x65a88C6D5426594C52feA57B93df21e23bEF936C |
500 |
JHG |
JANUS HENDERSON GROUP PLC ORDINARY SHARES |
0x678a81B3BcFf621854F89D9fD619C76f83Bcd408 |
500 |
JHI |
JOHN HANCOCK INVESTORS TRUST COMMON STOCK |
0x6cDC35F1bcd2576Ec7Cf3fA96323131124Bc5ae1 |
500 |
JHS |
JOHN HANCOCK INCOME SECURITIES TRUST COMMON STOCK |
0xA415E297BB56BB37038e14c8fC7Db05e337838A4 |
500 |
JHX |
JAMES HARDIE INDUSTRIES PLC AMERICAN DEPOSITARY SHARES (IRELAND) |
0x368da95B76180d6b888f93E9C8f9B1E76f2B1866 |
500 |
JILL |
J. JILL, INC. COMMON STOCK |
0xDED405ad35b9A47bBCC1C819e2f59148Dfd3537D |
500 |
JKS |
JINKOSOLAR HOLDING COMPANY LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 4 COMMON SHARES) |
0x242dcEAe271D1A282ae4B7385fcf75DaB075280c |
500 |
JLL |
JONES LANG LASALLE INCORPORATED COMMON STOCK |
0x4CDB8530d4f79Da02619421fce25Dd582a38244F |
500 |
JLS |
NUVEEN MORTGAGE AND INCOME FUND |
0x2dc81eeCDb15fd2dB9EcEfBA14b4a1B1720f1aa4 |
500 |
JMIA |
JUMIA TECHNOLOGIES AG AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO ORDINARY SHARES |
0x25339269722650ABc5De59367C803AA6DA0b6827 |
500 |
JMM |
NUVEEN MULTI |
0x9a51E51BDDAD8279e2bFaCA9D1A06B813d725401 |
500 |
JNJ |
JOHNSON & JOHNSON COMMON STOCK |
0x8fBf9e24dECB8b898356385A5FaE6B71660467eb |
500 |
JNPR |
JUNIPER NETWORKS, INC. COMMON STOCK |
0x2CB8f9Cf30aAEFb3C4bF98B4a60dB0886a35C257 |
500 |
JOBY |
JOBY AVIATION, INC. COMMON STOCK |
0xcDC33bE04835250fad7Fdff1E21c6cFB80CBc25e |
500 |
JOBY.W |
JOBY AVIATION, INC. WARRANTS |
0x614D1dB4DAC18661187E9f64d1FEd92c06730268 |
500 |
JOE |
ST. JOE COMPANY (THE) COMMON STOCK |
0xB274538E10cAbA54D68D5ced392297Ef7431819a |
500 |
JOF |
JAPAN SMALLER CAPITALIZATION FUND INC COMMON STOCK |
0x7426095D52B4430b5662DDd456f4b74B9CdE8dBf |
500 |
JPC |
NUVEEN PREFERRED & INCOME OPPORTUNITIES FUND |
0xba2ddc8b1C0159A29413b70F72907238cd385b20 |
500 |
JPI |
NUVEEN PREFERRED SECURITIES & INCOME OPPORTUNITIES FUND COMMON SHARES |
0x7a32c184820703Bbd0C30E0B1CBed0bF0ECdDB47 |
500 |
JPM |
JP MORGAN CHASE & CO. COMMON STOCK |
0xD8e4EF494A2Bf4176E8204b46F336A4B7f27Bf1C |
500 |
JPM$C |
J P MORGAN CHASE & CO DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 6.00% NON |
0xC436B794ed81c57B8B925EbCe2296aE38E695A5b |
500 |
JPM$D |
J P MORGAN CHASE & CO DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 5.75% NON |
0x28CB1e82850Dfe88d851426cd002e28e6B13cE23 |
500 |
JPM$J |
J P MORGAN CHASE & CO DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF JPMORGAN CHASE & CO. 4.75% NON |
0x8119ECCEa0F1bd369CE83f883b587fBbA787a9C3 |
500 |
JPM$K |
J P MORGAN CHASE & CO DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.55% NON |
0x615B44A65c5Ca87eCd46cFD4706972Eb7D02Bed4 |
500 |
JPM$L |
J P MORGAN CHASE & CO DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.625% NON |
0x2E07e18F2Ad00DCC386D98D9cfD87e5bbD1a9cac |
500 |
JPM$M |
J P MORGAN CHASE & CO DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.20% NON |
0xf9d00c3d1b2249609363d77Cb7D572B9a697d96A |
500 |
JQC |
NUVEEN CREDIT STRATEGIES INCOME FUND SHARES OF BENEFICIAL INTEREST |
0x4D3Fe798C4Ed8aFaF6eBea9Ac1d6AC7f3768C7aB |
500 |
JRI |
NUVEEN REAL ASSET INCOME AND GROWTH FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xa14FF624337687134824fDc256d029b5aD4F9E3D |
500 |
JRS |
NUVEEN REAL ESTATE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x6a764162f326c064c2de0f6cdb5Eb59061CF712D |
500 |
JXN |
JACKSON FINANCIAL INC. CLASS A COMMON STOCK |
0xAc680Ac67Ec80848A5562B9B086Cb6804498Fd95 |
500 |
JXN$A |
JACKSON FINANCIAL INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF FIXED |
0x185Ac6a20187059F4c7118a4B769d5843b93d234 |
500 |
K |
KELLANOVA COMMON STOCK |
0x24aEE56B231c8489764Bd84781E84416C33c4802 |
500 |
KAI |
KADANT INC COMMON STOCK |
0x2F2287581AF2B2B6842EF2090f52a31A982617ca |
500 |
KAR |
OPENLANE, INC. COMMON STOCK |
0x46c5848ae3D97e8b0C0C2C9cd2017Bde9C14de07 |
500 |
KB |
KB FINANCIAL GROUP INC |
0xA02F3b8348f8d2A6326d9B1De4729083d6DF104D |
500 |
KBDC |
KAYNE ANDERSON BDC, INC. COMMON STOCK |
0x99C2479Fd26409EA813C4922B4e399ef0476bADa |
500 |
KBH |
KB HOME COMMON STOCK |
0x574Fe998611eaB77dA90899Ca2a000B574E7d40C |
500 |
KBR |
KBR, INC. COMMON STOCK |
0x40Eaaf2e0b3A6aDf052f25375080084f14Ee1281 |
500 |
KD |
KYNDRYL HOLDINGS, INC. COMMON STOCK |
0x436C11d7D79dA74334CF8f623289B164e837882B |
500 |
KEN |
KENON HOLDINGS LTD. ORDINARY SHARES |
0x6Bb3FB5019063845A4DF7F8BEBe73d2299D63c7A |
500 |
KEP |
KOREA ELECTRIC POWER CORPORATION COMMON STOCK |
0x9Dee5275B71f8033637ff6CBa666563Da5dE8118 |
500 |
KEX |
KIRBY CORPORATION COMMON STOCK |
0xc209777aa139EcCF6222e769992E73b97518EDbe |
500 |
KEY |
KEYCORP COMMON STOCK |
0x991F6fE4038c9DE3f6ad176ce427aeda299D5761 |
500 |
KEY$I |
KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED |
0x2a731B8d56FBd0D3f2F70dfe520543acefBDBfA1 |
500 |
KEY$J |
KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE PERPETUAL NON |
0xb65D6a3C8E8a7AbB6724A46186d19d28D718AF4B |
500 |
KEY$K |
KEYCORP DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE PERPETUAL NON |
0x8c400738162101885A9c73859077b4940679375F |
500 |
KEY$L |
KEYCORP DEPOSITARY SHARES EACH REPRESENTING A 1/40TH OWNERSHIP INTEREST IN A SHARE OF FIXED RATE PERPETUAL NON |
0x00a90e033CcaD427E0052748FA7EFa24570A4640 |
500 |
KEYS |
KEYSIGHT TECHNOLOGIES INC. COMMON STOCK |
0xba7030192be90DC4f0E8b9C8445B9E099C92527c |
500 |
KF |
KOREA FUND, INC. (THE) NEW COMMON STOCK |
0xD4FE5380d1e807C30634a6Fc630c32b48269768E |
500 |
KFRC |
KFORCE, INC. COMMON STOCK |
0x7DdE738ab316940E0F496595D282d4E0d7e7bbd8 |
500 |
KFS |
KINGSWAY FINANCIAL SERVICES, INC. COMMON STOCK (DE) |
0x608375f7fba1B7A5dAaab4E20D1c5894Ad9AdE49 |
500 |
KFY |
KORN FERRY COMMON STOCK |
0x45f04b58D2E7755671759a66A187cF3A72e8201A |
500 |
KGC |
KINROSS GOLD CORPORATION COMMON STOCK |
0xA423B5c1471DaF66f5Ff0c6aB564069DE909566c |
500 |
KGS |
KODIAK GAS SERVICES, INC. COMMON STOCK |
0x606627CDC1BC28f01D4Be9106BB29EFcB771de00 |
500 |
KIM |
KIMCO REALTY CORPORATION (HC) COMMON STOCK |
0x5fC025A22138d72097485B970e92b42Cfcc7B89D |
500 |
KIM$L |
KIMCO REALTY CORPORATION CLASS L DEPOSITARY SHARES, EACH OF WHICH REPRESENTS A ONE |
0xbF185D7Af85951F7b854B1d9F1f66cD38AADd647 |
500 |
KIM$M |
KIMCO REALTY CORPORATION CLASS M DEPOSITARY SHARES, EACH OF WHICH REPRESENTS A ONE |
0xa3E2DA43eC0987c61BF93249245f4118201e12cC |
500 |
KIM$N |
KIMCO REALTY CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 7.25% CLASS N CUMULATIVE CONVERTIBLE PERPETUAL PREFERRED STOCK |
0x0A532ae5D9E7822dF4d97327efAF5C9A6F97ee0b |
500 |
KIND |
NEXTDOOR HOLDINGS, INC. CLASS A COMMON STOCK |
0x33291c4855e5df5187D265Fe97052E0C6Fa32973 |
500 |
KIO |
KKR INCOME OPPORTUNITIES FUND COMMON SHARES |
0x78a6074B8a346e150A1f34283D819C17AE9F09D7 |
500 |
KKR |
KKR & CO. INC. COMMON STOCK |
0xc15C18c45cF3d3Bd901a839c6e1AD16b8E99EAe4 |
500 |
KKR$D |
KKR & CO. INC. 6.25% SERIES D MANDATORY CONVERTIBLE PREFERRED STOCK |
0x26130CB785a4a733BaCA52a56CadFBa09EBf3FA1 |
500 |
KKRS |
KKR GROUP FINANCE CO. IX LLC 4.625% SUBORDINATED NOTES DUE 2061 |
0x5FdC0c64C951cAeF0642C53b31d29916A176405a |
500 |
KKRT |
KKR & CO. INC. 6.875% SUBORDINATED NOTES DUE 2065 |
0x0EBB0fC86F552183B35B46Cc945F944E7718249B |
500 |
KLC |
KINDERCARE LEARNING COMPANIES, INC. COMMON STOCK |
0x2ce57e53f62d1283155d3392cc4E9A00c543B8D1 |
500 |
KLG |
WK KELLOGG CO COMMON STOCK |
0x62b75E640FAA8120D22c51f14672E1bF0D579Aed |
500 |
KMI |
KINDER MORGAN, INC. COMMON STOCK |
0xED9dD6809222e2dA71c0F5Bc4bF44f809D5666c6 |
500 |
KMPB |
KEMPER CORPORATION 5.875% FIXED |
0xFa13ff531Dc13EA2bF643FD19e6b12ad805cDAb0 |
500 |
KMPR |
KEMPER CORPORATION |
0xb3eeb2F460b0d6f2de3a200a90ca2176b8DdE904 |
500 |
KMT |
KENNAMETAL INC. COMMON STOCK |
0x9A2Aa5fAA4a27BcfAA49AEe456Bb67E9d2147Cd5 |
500 |
KMX |
CARMAX INC |
0xE7b5a3974B9Ebe6c379B676C6968eB4D9A8fD56b |
500 |
KN |
KNOWLES CORPORATION COMMON STOCK |
0xf07C3c4544405c882caCC762dc9e20a8ec13AbaA |
500 |
KNF |
KNIFE RIV HOLDING CO. COMMON STOCK |
0x0Fff92E6610b9e2F314B9C2C8E2116d3C33Aa9b2 |
500 |
KNOP |
KNOT OFFSHORE PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x9F87B1Ba7456DF2aC0f8E8cC241AFa6862449058 |
500 |
KNSL |
KINSALE CAPITAL GROUP, INC. COMMON STOCK |
0x5b99A1311Dcae9603644faC706bfBfFC6e8D6c48 |
500 |
KNTK |
KINETIK HOLDINGS INC. CLASS A COMMON STOCK |
0xC8c74b763dE331f671F82E30f4290c509A2bb048 |
500 |
KNX |
KNIGHT |
0x659727f3e7d980A4f1E5c7b81e595584673583BC |
500 |
KO |
COCA |
0xeDfC7F3e9b6bFA27EC89E27bE1580287Bf013841 |
500 |
KODK |
EASTMAN KODAK COMPANY COMMON NEW |
0x6fd5DbB843a569630fd26732e0922A234509988C |
500 |
KOF |
COCA COLA FEMSA S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING 10 UNITS (EACH UNIT CONSISTS OF 3 SERIES B SHARES AND 5 SERIES L SHARES) |
0xcF6dda9993d6AD4D9591554137b7C1047902ebD5 |
500 |
KOP |
KOPPERS HOLDINGS INC. COMMON STOCK |
0xDdCC0653610184267Fe542BC5cC5aBDa8C249360 |
500 |
KORE |
KORE GROUP HOLDINGS, INC. COMMON STOCK |
0xe41A6892dA56677A09C2609C31F621BF551D6930 |
500 |
KOS |
KOSMOS ENERGY LTD. COMMON SHARES (DE) |
0x687669e7D40199B1286632329a83caae96013591 |
500 |
KR |
KROGER COMPANY (THE) COMMON STOCK |
0xdB34df698fA32874D0d2cD79ed4619A3A2425fa6 |
500 |
KRC |
KILROY REALTY CORPORATION COMMON STOCK |
0x8687d110D9ceC9a57d302DC100E5e8ef21532d3a |
500 |
KREF |
KKR REAL ESTATE FINANCE TRUST INC. COMMON STOCK |
0x98AEED826C221Dbe8Fd7055a376088bB77a1f720 |
500 |
KREF$A |
KKR REAL ESTATE FINANCE TRUST INC. 6.50% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xEeB3fdcD3Fc2fA7E612f1BE1E1410037204e5E74 |
500 |
KRG |
KITE REALTY GROUP TRUST COMMON STOCK |
0x8Ed6A65F003a9E77a25fa723410Ca547C1043012 |
500 |
KRMN |
KARMAN HOLDINGS INC. COMMON STOCK |
0x88310F8CD31e99fC7dF24f81c9a08476c610Ff18 |
500 |
KRO |
KRONOS WORLDWIDE INC COMMON STOCK |
0x56bf060C2cBeFd7aAD88777c41f55aD963624679 |
500 |
KRP |
KIMBELL ROYALTY PARTNERS COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x243206708ebADcBdA56500Bc78F076B7efEf5082 |
500 |
KSS |
KOHL'S CORPORATION COMMON STOCK |
0x683f482B34Aaa1A2fD74df3ACB472e85F57062c8 |
500 |
KT |
KT CORPORATION COMMON STOCK |
0x2bC2663D1A48E22D3e23b3F3bDD3AE56F13514e2 |
500 |
KTB |
KONTOOR BRANDS, INC. COMMON STOCK |
0x36feC3F035b07241Cb753e6EcaC3178dd619119A |
500 |
KTF |
DWS MUNICIPAL INCOME TRUST |
0x7B23a66442075338A950Ac675e4B8EF4B624d78e |
500 |
KTH |
STRUCTURES PRODUCTS CP 8% CORTS ISSUED BY PECO ENERGY CAP TR II PREFERRED STOCK |
0x42A9cCd5e2dEaF630b44C8539d57a2A1A6bd0213 |
500 |
KTN |
STRUCTURED PRODUCTS CORP 8.205% CORTS 8.205% CORPORATE BACKED TRUST SECURITIES (CORTS) |
0xAE2B4e4E1781826118C8FbDcFbd132DDA16533Ea |
500 |
KUKE |
KUKE MUSIC HOLDING LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN (10) CLASS A ORDINARY SHARES) |
0x7e8e5a2E4e7Fc13661ec9980A09Ac2389edc8f6B |
500 |
KVUE |
KENVUE INC. COMMON STOCK |
0x17112ef7B427994086B03B71DC3e0B73b6Fd2175 |
500 |
KVYO |
KLAVIYO, INC. SERIES A COMMON STOCK |
0x1aa9A32596b447069A133162E9ceF928f2f17A13 |
500 |
KW |
KENNEDY |
0x08088A184C7827688567491c834EB2bEb54a8484 |
500 |
KWR |
QUAKER HOUGHTON COMMON STOCK |
0x668aE4df7a6e0c9f088999c98b956aEdC53AcE62 |
500 |
KYN |
KAYNE ANDERSON ENERGY INFRASTRUCTURE FUND, INC. |
0x1be7B0fC9a153fb3b70F90bE8042a7D41C85aD32 |
500 |
L |
LOEWS CORPORATION COMMON STOCK |
0x5Ab8A8B5De71b3f5b7ba78aeaeC1D1C06D2f9677 |
500 |
LAC |
LITHIUM AMERICAS CORP. COMMON SHARES |
0xB80bfA11BEC07A6F48ec1B2beAEAf087DB36B7BF |
500 |
LAD |
LITHIA MOTORS, INC. COMMON STOCK |
0x1B6034D7B201e055E3DF4920b7208FB7D2bdaDad |
500 |
LADR |
LADDER CAPITAL CORP CLASS A COMMON STOCK |
0xd0A13406A85A98a601aAea02dAFD21459F336937 |
500 |
LANV |
LANVIN GROUP HOLDINGS LIMITED ORDINARY SHARES |
0x30462610C826092Dd2602A45156aDEc47AbF5720 |
500 |
LANV.W |
LANVIN GROUP HOLDINGS LIMITED REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 |
0xc76309d155F1dCeCC777B426faEF0833567289F3 |
500 |
LAR |
LITHIUM ARGENTINA AG COMMON SHARES |
0xbb155Ed83E0b9E999834690B3CfDa466d330180f |
500 |
LAW |
CS DISCO, INC. COMMON STOCK |
0x3C300977260B1fd93F5B7C433c9e16eCAceF8E37 |
500 |
LAZ |
LAZARD, INC. COMMON STOCK |
0xd07A8c61C3530cad871DecdE7E8a1FfcF0B385BA |
500 |
LB |
LANDBRIDGE COMPANY LLC CLASS A SHARES REPRESENTING LIMITED LIABILITY COMPANY INTERESTS |
0x90A8512B3a4ea562506DD93F4c59C0E6860d7525 |
500 |
LBRT |
LIBERTY ENERGY INC. CLASS A COMMON STOCK |
0xFf2d3c4CfD622E749091Ea7A0042F14381277aEd |
500 |
LC |
LENDINGCLUB CORPORATION COMMON STOCK |
0x9d9c2f57e1B692fd036e2d5edEC5190086E2015E |
500 |
LCII |
LCI INDUSTRIES |
0x5eA80cfCa4E55301Fb96Cc0B1bAbAF45513ed115 |
500 |
LDI |
LOANDEPOT, INC. CLASS A COMMON STOCK |
0x60f9C6A30C8E2765Ee198d4BAc2818208c147872 |
500 |
LDOS |
LEIDOS HOLDINGS, INC. COMMON STOCK |
0x3b405a37c4092Ee3328d8f5d1b7835d2aa0ee7e2 |
500 |
LDP |
COHEN & STEERS LIMITED DURATION PREFERRED AND INCOME FUND, INC. |
0x80683ADB0c5264Cb6da489beb8377CFb9DFC4774 |
500 |
LEA |
LEAR CORPORATION COMMON STOCK |
0xa011D0d302bA680dE721CD9e2FF8AbEe63c9256B |
500 |
LEG |
LEGGETT & PLATT, INCORPORATED COMMON STOCK |
0x4E71997AecCf96A28673eE40c79540447B391c64 |
500 |
LEN |
LENNAR CORPORATION CLASS A COMMON STOCK |
0xc4e39c23db784584FcA088B89Da971b20d4dB405 |
500 |
LEN.B |
LENNAR CORPORATION CLASS B |
0xB3Ca224afF8811CF833b8B1dF7BfB4053Fd6c40B |
500 |
LEO |
BNY MELLON STRATEGIC MUNICIPALS, INC. COMMON STOCK |
0xaD89CC744FDdf314bF5997dFDbc20aB3C95B3583 |
500 |
LEVI |
LEVI STRAUSS & CO CLASS A COMMON STOCK |
0x25Dc665a420Ee8874D01a954549DE79FC5f81f1D |
500 |
LFT |
LUMENT FINANCE TRUST, INC. COMMON STOCK |
0x4479B5A9C6982B5CBa2589b6750233aA49cB62a0 |
500 |
LFT$A |
LUMENT FINANCE TRUST, INC. 7.875% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xa7df174Ff87bAcfA7792338859Ede3dC4Ed099f8 |
500 |
LGI |
LAZARD GLOBAL TOTAL RETURN AND INCOME FUND COMMON STOCK |
0x610c3A61e75570125DBcbEa27047b7E63a7170f6 |
500 |
LH |
LABCORP HOLDINGS INC. COMMON STOCK |
0xFF16137b4b17B1FaB22B8Cb96f8F405910859DdD |
500 |
LHX |
L3HARRIS TECHNOLOGIES, INC. COMMON STOCK |
0x4CDbc9561A278D4BD253658BA9b750631B36204D |
500 |
LII |
LENNOX INTERNATIONAL, INC. COMMON STOCK |
0x7f58379581AA03e69E36A6E902c970BE278Bf000 |
500 |
LION |
LIONSGATE STUDIOS CORP COMMON SHARES |
0x5F7e17eFf18fE3728166B0a65Ff3bcb7D972f609 |
500 |
LITB |
LIGHTINTHEBOX HOLDING CO., LTD. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWELVE ORDINARY SHARES |
0x97Be5053d72495ae71562609F5FE926C127Ab50F |
500 |
LLY |
ELI LILLY AND COMPANY COMMON STOCK |
0x67B821D4d7EF1569b66cA109A8cf10659390c5bF |
500 |
LMND |
LEMONADE, INC. COMMON STOCK |
0xa073d936A4dDe55675327ce1FadE938b0F82aA59 |
500 |
LMT |
LOCKHEED MARTIN CORPORATION COMMON STOCK |
0x5CC9ceb44a17daE95C6aCA7E3aE1b08e9858e132 |
500 |
LNC |
LINCOLN NATIONAL CORPORATION COMMON STOCK |
0x8970Ed2Ac2117251a59bA34476Df84A004fA4d7f |
500 |
LNC$D |
LINCOLN NATIONAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 9.000% NON |
0x9368bF4a2EC99774654Ff8bED211479335d4ee36 |
500 |
LND |
BRASILAGRO BRAZILIAN AGRIC REAL ESTATE CO SPONSORED ADR (BRAZIL) |
0xef1BFE6b50F8ded26496042Fb830fFc9Df01EE4D |
500 |
LNG |
CHENIERE ENERGY, INC. COMMON STOCK |
0xC8595863d0987d2F400Ea1C44f2Fb5DA918B7a9a |
500 |
LNN |
LINDSAY CORPORATION COMMON STOCK |
0x55f786583229D793061dC8bf10a2D0DD1646B04f |
500 |
LOAR |
LOAR HOLDINGS INC. COMMON STOCK |
0xA9afd0a72c0C425040e82ED2325a2B502E29fA71 |
500 |
LOB |
LIVE OAK BANCSHARES, INC. COMMON STOCK |
0x5454FD31C511728165A9Bc10888cafAC7534b17f |
500 |
LOCL |
LOCAL BOUNTI CORPORATION COMMON STOCK |
0x1F9F366BDd50c90a79ac8D55ECBAF7583688367E |
500 |
LOMA |
LOMA NEGRA COMPANIA INDUSTRIAL ARGENTINA SOCIEDAD ANONIMA ADS |
0x083C850336FEe0B273553136373e8D1581a440d9 |
500 |
LOW |
LOWE'S COMPANIES, INC. COMMON STOCK |
0x21e8313077782721A1309D46861262c807330785 |
500 |
LPG |
DORIAN LPG LTD. COMMON STOCK |
0x770F20B21A8DA248af2a3E922c28DD39931888AC |
500 |
LPL |
LG DISPLAY CO, LTD AMERICAN DEPOSITORY SHARES |
0x052a4B0BdE9a90611688d5e9a8fEC91d041A1F33 |
500 |
LPX |
LOUISIANA |
0x65815b8137A249EE2e5DdDc30a328009b9d60CeB |
500 |
LRN |
STRIDE, INC. COMMON STOCK |
0xa6517Eee3fFA0fC2974c9D6a66980e390b906D5a |
500 |
LSPD |
LIGHTSPEED COMMERCE INC. SUBORDINATE VOTING SHARES |
0x8c1B247057A1511ac5315BaEB0FD84D9906815Ce |
500 |
LTC |
LTC PROPERTIES, INC. COMMON STOCK |
0x1DEC8d49866021B7b66749931925c7cFE9a1b1C9 |
500 |
LTH |
LIFE TIME GROUP HOLDINGS, INC. COMMON STOCK |
0x17de5C7E6bB7aA0d2ab1362dE148Da7692BE1476 |
500 |
LTM |
LATAM AIRLINES GROUP S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO THOUSAND (2,000) SHARES OF COMMON STOCK) |
0xCf71a44CFa825C233eF54c410CBbf8abb3586649 |
500 |
LU |
LUFAX HOLDING LTD AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO (2) ORDINARY SHARES |
0xC668dd1C7d8851D0a18c99096fE1f65Fe4f927f1 |
500 |
LUCK |
LUCKY STRIKE ENTERTAINMENT CORPORATION CLASS A COMMON STOCK |
0xb1dcA8b6B58c2EDbD56b65a2941c16b67E31A864 |
500 |
LUMN |
LUMEN TECHNOLOGIES, INC. COMMON STOCK |
0x442ABEEAe2F2daA678E6225d71eAed56d11Ce35e |
500 |
LUV |
SOUTHWEST AIRLINES COMPANY COMMON STOCK |
0xab6cAAFbCA2F0484d51BEbe39fd3D1E54393ADc5 |
500 |
LUXE |
LUXEXPERIENCE B.V. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE ORDINARY SHARE |
0xb90EE2e86b572348996fCCaDe656474522A00F05 |
500 |
LVS |
LAS VEGAS SANDS CORP. COMMON STOCK |
0x7461A44d09E8C36c85039F7b4314d20ec2b6081D |
500 |
LVWR |
LIVEWIRE GROUP, INC. COMMON STOCK |
0xcCa44503A65C88430702378950CA1fC71b2a1890 |
500 |
LVWR.W |
LIVEWIRE GROUP, INC. WARRANTS, EACH EXERCISABLE FOR ONE SHARE OF COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x1bE785FBf2D3A00F1a871128AAfd6A8d2BF252ef |
500 |
LW |
LAMB WESTON HOLDINGS, INC. COMMON STOCK |
0xA3c63222A4cbdF697962b30D27E6Fb1BCE7fc773 |
500 |
LXFR |
LUXFER HOLDINGS PLC ORDINARY SHARES |
0x847b1B87466CC8e903642265C56deCFd44A3790b |
500 |
LXP |
LXP INDUSTRIAL TRUST COMMON STOCK (MARYLAND REIT) |
0x4ddF723884591d155577cC6722380b36825e2B8c |
500 |
LXP$C |
LXP INDUSTRIAL TRUST 6.5% SERIES C CUMULATIVE CONVERTIBLE PREFERRED STOCK |
0x6Dbd4A958fd1a7cb8C0A7B0aBAF1B5887c6C493b |
500 |
LXU |
LSB INDUSTRIES, INC. COMMON STOCK |
0x67b21aC3c9d6Aa92A2C987f513B7691940602fa6 |
500 |
LYB |
LYONDELLBASELL INDUSTRIES NV ORDINARY SHARES CLASS A (NETHERLANDS) |
0x521A5A98d9A9D07068FbFC6e8E25E84178f8D407 |
500 |
LYG |
LLOYDS BANKING GROUP PLC AMERICAN DEPOSITARY SHARES |
0xdA645843bC320677Fb3bf8eaFcB77D7367314cf5 |
500 |
LYV |
LIVE NATION ENTERTAINMENT, INC. COMMON STOCK |
0xFbDCB22D8890f82A1CCFC2f6d2a5b167AE18e0B2 |
500 |
LZB |
LA |
0xFd1e0B0694D3fFA628955DF979C21f312e11E074 |
500 |
LZM |
LIFEZONE METALS LIMITED ORDINARY SHARES |
0xCBcA7d9638D13Ab759A9D97D62b877323DB5BC77 |
500 |
LZM.W |
LIFEZONE METALS LIMITED WARRANTS |
0x6Cf51321A51dF7C0A07005Bf5C897C0e06ef5133 |
500 |
M |
MACY'S INC COMMON STOCK |
0xAB5669f057159d2eCAD67f4Ca36EE20Dd154910E |
500 |
MA |
MASTERCARD INCORPORATED COMMON STOCK |
0x6C61bf8755395a6C9948521F332d9beF8Fe90a9B |
500 |
MAA |
MID |
0x9dc6A2496647D5ab85bc074d6c1D50B2d0D10e1f |
500 |
MAA$I |
MID |
0xCf128984c638Bf766770C6448AA062E09548abFf |
500 |
MAC |
MACERICH COMPANY (THE) COMMON STOCK |
0x7309057F08D429481f68A540808FA13Eb60242CF |
500 |
MAGN |
MAGNERA CORPORATION COMMON STOCK |
0x36c9C98f682c4316bAC88404c97a2F1d0380C7Da |
500 |
MAIN |
MAIN STREET CAPITAL CORPORATION COMMON STOCK |
0x22eDD842726a1C1fCf2d58AE2752a4b96b1e7008 |
500 |
MAN |
MANPOWERGROUP COMMON STOCK |
0x2a9c0d07Ba10770EaA77Ec63C6A81A96B134Cc99 |
500 |
MANU |
MANCHESTER UNITED LTD. CLASS A ORDINARY SHARES |
0x66148D5B5af0Cc651eDf6C1cAe253B706BeE72a8 |
500 |
MAS |
MASCO CORPORATION COMMON STOCK |
0x363c9509eE7B2Db40536e0ebA35f016040d9a06c |
500 |
MATV |
MATIV HOLDINGS, INC. COMMON STOCK |
0xc2B83e10e85099d414a8FE8AaE9F28FbbCFa8b77 |
500 |
MATX |
MATSON, INC. COMMON STOCK |
0x5AFc93eF4Cfc0a42D6c86287509D10debe13eBe1 |
500 |
MAV |
PIONEER MUNICIPAL HIGH INCOME ADVANTAGE FUND, INC. |
0x32446A4b5bAA41b0D701FF74e49C9Ee1FF7ecFf7 |
500 |
MAX |
MEDIAALPHA, INC. CLASS A COMMON STOCK |
0xFDeeFE64ebE5859157dD9D05c21a8291363dAa17 |
500 |
MBC |
MASTERBRAND, INC. COMMON STOCK |
0x141A27BF8C17Abda4d98B40CB2EdAAE9a693e260 |
500 |
MBI |
MBIA INC. COMMON STOCK |
0x696ca00EA4BdB8936903CE730856D72117AB8DFb |
500 |
MC |
MOELIS & COMPANY CLASS A COMMON STOCK |
0x5ec1606e8d42214b17eA882AF535F3E52BE84b66 |
500 |
MCB |
METROPOLITAN BANK HOLDING CORP. COMMON STOCK |
0x30636a58F4579Ff29eBc1013F1f45E079b25ADF7 |
500 |
MCD |
MCDONALD'S CORPORATION COMMON STOCK |
0x86d82b86110b440701b145AE2b8Ec37e33b76f80 |
500 |
MCI |
BARINGS CORPORATE INVESTORS COMMON STOCK |
0xCEFf109Dd06456f0F6Ad7Ba06F52378D3eEe32c2 |
500 |
MCK |
MCKESSON CORPORATION COMMON STOCK |
0x6605c5714c61D22e1ED0803cB5db2b0B34210E8A |
500 |
MCN |
XAI MADISON EQUITY PREMIUM INCOME FUND COMMON SHARES |
0x2afa3970BB0E4d2BAdc5c36cF2C2D966428d1EBb |
500 |
MCO |
MOODY'S CORPORATION COMMON STOCK |
0x79872BbCf5e514e156438133b59eA042Cbf1fF1C |
500 |
MCR |
MFS CHARTER INCOME TRUST COMMON STOCK |
0x2a8E4CB763Fe6b198Ca5De8CB0d245d5A581BC7F |
500 |
MCS |
MARCUS CORPORATION (THE) COMMON STOCK |
0x45ff9E84b8c7C2036084d6bD06e92b837929C38f |
500 |
MCY |
MERCURY GENERAL CORPORATION COMMON STOCK |
0x56c83137C3Eb8ec38b53a70a84a87346218acbaA |
500 |
MD |
PEDIATRIX MEDICAL GROUP, INC. COMMON STOCK |
0x081baDD47DD652145e729E83c0C1aAB354F47BD9 |
500 |
MDST |
ULTIMUS MANAGERS TRUST WESTWOOD SALIENT ENHANCED MIDSTREAM INCOME ETF |
0x353Ae95DcC467D3A01216a296E41D71645BD5b74 |
500 |
MDT |
MEDTRONIC PLC. ORDINARY SHARES |
0xd76F4753b13DD56B32f2c60493e3EED75f0A1bB7 |
500 |
MDU |
MDU RESOURCES GROUP, INC. COMMON STOCK (HOLDING COMPANY) |
0xd581ee3bc26976bFd1ED510b9D6537169e00B2d5 |
500 |
MDV |
MODIV INDUSTRIAL, INC. CLASS C COMMON STOCK |
0x88d70302a430d78EEd9c66d9462DA5Fa81b95EC1 |
500 |
MDV$A |
MODIV INDUSTRIAL, INC. 7.375% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0x29eFAF597a5A3381895fAcdd71B78Cb01b746b26 |
500 |
MEC |
MAYVILLE ENGINEERING COMPANY, INC. COMMON STOCK |
0x0D8890586e2310d3F3e6108E5eE941B180bA2f22 |
500 |
MED |
MEDIFAST INC COMMON STOCK |
0xa16f76520B6E86211AEe3ae80625dBb96aB6Abe5 |
500 |
MEG |
MONTROSE ENVIRONMENTAL GROUP, INC. COMMON STOCK |
0x5989ea7DAbf4A949C6bB7fbcb07c33AB94940971 |
500 |
MEGI |
NYLI CBRE GLOBAL INFRASTRUCTURE MEGATRENDS TERM FUND COMMON SHARES |
0x33d12677e56cD90F20aF51E12D3435125457B727 |
500 |
MEI |
METHODE ELECTRONICS, INC. COMMON STOCK |
0xa9E82668fD01E3469d5525FAE013Eb5541eDf53B |
500 |
MER$K |
BANK OF AMERICA CORPORATION INCOME CAPITAL OBLIGATION NOTES INITIALLY DUE DECEMBER 15, 2066 |
0x5C407E97e86d3D2AA33Bb7844a383fF429AA376e |
500 |
MET |
METLIFE, INC. COMMON STOCK |
0x2c428C03285A8038cBdbeb933df7b767C3cD0133 |
500 |
MET$A |
METLIFE, INC. PREFERRED SERIES A FLOATING RATE |
0xE149e0e74cebf68A6afe17bE1505CE887028a77E |
500 |
MET$E |
METLIFE, INC. DEPOSITARY SHARES |
0xdac427E83d3a9B7c4c6BBDe4a971B6B18822c266 |
500 |
MET$F |
METLIFE, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 4.75% NON |
0xF876ee4800BB5D5F4320f949aA33cae92D4950A4 |
500 |
MFA |
MFA FINANCIAL, INC. |
0xbaB6F7AeE7738F08a581Ed45cF48738F14F776b1 |
500 |
MFA$B |
MFA FINANCIAL, INC. PREFERRED SERIES B |
0x490E4B4Ce055f817277904246d0bc923a213aaA9 |
500 |
MFA$C |
MFA FINANCIAL, INC. 6.50% SERIES C FIXED |
0xD0B1E2a738215A6A16DAc772c8727d5D1c3187a6 |
500 |
MFAN |
MFA FINANCIAL, INC. 8.875% SENIOR NOTES DUE 2029 |
0x3e442787d367cB1096E3cD90Ef900acEED19Bd9b |
500 |
MFAO |
MFA FINANCIAL, INC. 9.000% SENIOR NOTES DUE 2029 |
0x26ec2DB136210Dde64Df4cFBCCB71BcB74E45617 |
500 |
MFC |
MANULIFE FINANCIAL CORPORATION COMMON STOCK |
0x9e292B4e79ae413B4397f36c7e5d898D60EA1fA7 |
500 |
MFG |
MIZUHO FINANCIAL GROUP, INC. SPONOSRED ADR (JAPAN) |
0x4ada6A5974Dc84E13b4C2c6Fa7759D5a17701c75 |
500 |
MFM |
MFS MUNICIPAL INCOME TRUST COMMON STOCK |
0x9Fd5F8C0a471761530F947Ad7cEF8878ae103821 |
500 |
MFSB |
MFS ACTIVE EXCHANGE TRADED FUNDS TRUST MFS ACTIVE CORE PLUS BOND ETF |
0xf49620E0dF740Cdec18fd558ACC736A370d37EBC |
500 |
MFSG |
MFS ACTIVE EXCHANGE TRADED FUNDS TRUST MFS ACTIVE GROWTH ETF |
0x1849D8447EF70004F1dC2d823E5a0bDB759d06ff |
500 |
MFSI |
MFS ACTIVE EXCHANGE TRADED FUNDS TRUST MFS ACTIVE INTERNATIONAL ETF |
0x10Fca70D8244E5D2BBA15d8D1A4E9BA7329D53C7 |
500 |
MFSM |
MFS ACTIVE EXCHANGE TRADED FUNDS TRUST MFS ACTIVE INTERMEDIATE MUNI BOND ETF |
0x2C3A9b5eF14504f3Ff9dA1d2A36aAC077029823a |
500 |
MFSV |
MFS ACTIVE EXCHANGE TRADED FUNDS TRUST MFS ACTIVE VALUE ETF |
0xB64e44b23020fF6dcFA65336958592A1eFFb918a |
500 |
MG |
MISTRAS GROUP INC COMMON STOCK |
0x323Fa2a8f7644676E23ff19684125364caE89b74 |
500 |
MGA |
MAGNA INTERNATIONAL, INC. COMMON STOCK |
0xA6CAEc454A2E4a5445A639c00abCD9E8a1152546 |
500 |
MGF |
MFS GOVERNMENT MARKETS INCOME TRUST COMMON STOCK |
0xEA62043068F7E2B6353BEBB0AD8D0268Ab10aeB7 |
500 |
MGM |
MGM RESORTS INTERNATIONAL COMMON STOCK |
0xc439BFAB200EF57599568770E00CbE43E21c8c7d |
500 |
MGR |
AFFILIATED MANAGERS GROUP, INC. 5.875% JUNIOR SUBORDINATED NOTES DUE 2059 |
0x069Fb37786184c0aB3752718519FF9bacAA85518 |
500 |
MGRB |
AFFILIATED MANAGERS GROUP, INC. 4.750% JUNIOR SUBORDINATED NOTES DUE 2060 |
0xB96232636e34AA07b9C9fe1DAB33943E71c7bB7e |
500 |
MGRD |
AFFILIATED MANAGERS GROUP, INC. 4.200% JUNIOR SUBORDINATED NOTES DUE 2061 |
0xb0d4d45bD19f734001f20cA0386a59F172192EB7 |
500 |
MGRE |
AFFILIATED MANAGERS GROUP, INC. 6.750% JUNIOR SUBORDINATED NOTES DUE 2064 |
0x3a82A5D0dDE77E9DaCA8e6f010C6e3D44318cF84 |
500 |
MGY |
MAGNOLIA OIL & GAS CORPORATION CLASS A COMMON STOCK |
0x05de58515cd5dFB88Afe3Ad02E25E66bE568912B |
500 |
MHD |
BLACKROCK MUNIHOLDINGS FUND, INC. COMMON STOCK |
0xf75b7735FDe6316212a1b4Ad481168191Dd04EcE |
500 |
MHF |
WESTERN ASSET MUNICIPAL HIGH INCOME FUND, INC. COMMON STOCK |
0xfD7C6231245A5d5FCFA2A1364b37CefaeAce2A5A |
500 |
MHI |
PIONEER MUNICIPAL HIGH INCOME FUND, INC. |
0xbbFaD0f7231e374C959bE75BDEE66130E451fe97 |
500 |
MHK |
MOHAWK INDUSTRIES, INC. COMMON STOCK |
0x97F752Ca97BE15452ad76C422a1fF1c1c9fF3dF2 |
500 |
MHLA |
MAIDEN HOLDINGS, LTD. 6.625% NOTES DUE 2046 |
0x532e8b5eeC9510a4AAf37B1d4De30c1e50D3741A |
500 |
MHN |
BLACKROCK MUNIHOLDINGS NEW YORK QUALITY FUND, INC. COMMON STOCK |
0xE13Dc6Af4e611eABffcA628898B487A5f58991CB |
500 |
MHNC |
MAIDEN HOLDINGS NORTH AMERICA, LTD. 7.75% NOTES DUE 2043 |
0x8395031040A2FB75AC08fF213418e2d1a900dC6e |
500 |
MHO |
M/I HOMES, INC. COMMON STOCK |
0xD128d0710793A1d6b85fa5350bfA4592782a78D7 |
500 |
MIN |
MFS INTERMEDIATE INCOME TRUST COMMON STOCK |
0x2970A1b35408f948d6F88573814EB3aCDF9e7B02 |
500 |
MIO |
PIONEER MUNICIPAL HIGH INCOME OPPORTUNITIES FUND, INC. COMMON STOCK |
0x67589729953106862E170B6a6342Ae8AC636c404 |
500 |
MIR |
MIRION TECHNOLOGIES, INC. CLASS A COMMON STOCK |
0xC2e022518eEd4F6d40120bcE3dF2dDf088951c7F |
500 |
MITN |
AG MORTGAGE INVESTMENT TRUST, INC. 9.500% SENIOR NOTES DUE 2029 |
0x05978C5dC340Ca33bDABc790d919fedbcFAa5D7C |
500 |
MITP |
AG MORTGAGE INVESTMENT TRUST, INC. 9.500% SENIOR NOTES DUE 2029 |
0x885dA6F33242c0f6676Bd076262377a9E1fAAFaA |
500 |
MITT |
AG MORTGAGE INVESTMENT TRUST, INC. COMMON STOCK |
0x2158F7A8371923A47e7f170286E0D941cEBfaB40 |
500 |
MITT$A |
AG MORTGAGE INVESTMENT TRUST, INC. 8.25% PREFERRED SERIES A |
0x64ECAEBae8F36109100bf4b112FC00d78193553D |
500 |
MITT$B |
AG MORTGAGE INVESTMENT TRUST, INC. PREFERRED SERIES B |
0x1b7e7Bc3A55b6832BA8d1113e6A1aDeB453A43F4 |
500 |
MITT$C |
AG MORTGAGE INVESTMENT TRUST, INC. 8.00% SERIES C FIXED |
0xd2D85CB81d897A1747AAFc4c9C9102e3c6F3Ddba |
500 |
MIY |
BLACKROCK MUNIYIELD MICHIGAN QUALITY FUND, INC. COMMON STOCK |
0x67e94A2A473491b50692833d8E6652341F14d9E2 |
500 |
MKC |
MCCORMICK & COMPANY, INCORPORATED COMMON STOCK |
0xd57D9e034EF261163906349aFE87a576FC84e68D |
500 |
MKC.V |
MCCORMICK & COMPANY, INCORPORATED COMMON STOCK |
0x55Ee5Ff214c4a074E16361Be7d82550661c32294 |
500 |
MKL |
MARKEL GROUP INC. COMMON STOCK |
0x6539008Ac998A6D8E7d8E7458ad0199893A363dA |
500 |
MLI |
MUELLER INDUSTRIES, INC. COMMON STOCK |
0xdC9Bf706323B34D35868b24b043b7C28E93d3EA3 |
500 |
MLM |
MARTIN MARIETTA MATERIALS, INC. COMMON STOCK |
0x44387756fD76D23878825984bADdB246E0e1C1e1 |
500 |
MLNK |
MERIDIANLINK, INC. COMMON STOCK |
0xCAB26A71b073E9B66ed9994a08D485B828Bd3D0A |
500 |
MLP |
MAUI LAND & PINEAPPLE COMPANY, INC. COMMON STOCK |
0xD247A1A89F2Ef0467ae8ecc11de351B7c3d09934 |
500 |
MLR |
MILLER INDUSTRIES, INC. COMMON STOCK |
0xa10F6Ec293A8FC576FCA7fa7DE2a3aD057fC19Db |
500 |
MMC |
MARSH & MCLENNAN COMPANIES, INC. COMMON STOCK |
0xa0C5CBCAf9376d46EFE8Fb61FbbD6bA4F902787C |
500 |
MMD |
NYLI MACKAY DEFINEDTERM MUNI OPPORTUNITIES FUND COMMON SHARES |
0x5B89669074fb4b2e21fD805C6d4a0658eAa11320 |
500 |
MMI |
MARCUS & MILLICHAP, INC. COMMON STOCK |
0x4509A7F40D11a054444633873BaA0DDFc45e3858 |
500 |
MMKT |
TEXAS CAPITAL FUNDS TRUST TEXAS CAPITAL GOVERNMENT MONEY MARKET ETF |
0xa6d4Df53a08410c3Abb78240972126D5c430999C |
500 |
MMM |
3M COMPANY COMMON STOCK |
0x100B4ce59de5cF9BBD3f8Fe95Fd176c69EE078EB |
500 |
MMS |
MAXIMUS, INC. COMMON STOCK |
0x2AE6817a400E2D25f5B392e76841682Af53757DB |
500 |
MMT |
MFS MULTIMARKET INCOME TRUST COMMON STOCK |
0x15872c4Ddc3fB311ed97982B8660BeB2612378f1 |
500 |
MMU |
WESTERN ASSET MANAGED MUNICIPALS FUND, INC. COMMON STOCK |
0x5213b02E40D931c6dF3f949AD4a14dAb5B6A59Af |
500 |
MNR |
MACH NATURAL RESOURCES LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x66c7866Af146C77Bf6d17f660b42c8aF3C578AEB |
500 |
MNSO |
MINISO GROUP HOLDING LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FOUR ORDINARY SHARES |
0x9D688A8826ae699aCb8B289d3D5169Fea2E22458 |
500 |
MNTN |
MNTN, INC. CLASS A COMMON STOCK |
0x4d249588B7D83E9F57e72e6b6eB2e18c0D597e4F |
500 |
MO |
ALTRIA GROUP, INC. |
0xe52dD8f648B44237D639cACe23A335Bcb4c1A937 |
500 |
MOD |
MODINE MANUFACTURING COMPANY COMMON STOCK |
0xbD54dA3c8AaE68bd77089b07e8971f12685E0eD1 |
500 |
MODG |
TOPGOLF CALLAWAY BRANDS CORP. COMMON STOCK |
0x8de1E8429c86dc74eC2a1d7F277c1c9921F0aC68 |
500 |
MOG.A |
MOOG INC. CLASS A COMMON STOCK |
0x5c36D8Eff3dd71E5FA1a59ac94BD70d2E6D5DD33 |
500 |
MOG.B |
MOOG INC. CLASS B COMMON STOCK |
0x6a1FEc542C6563EECE013CACD65a61bd31F75043 |
500 |
MOGU |
MOGU INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 25 CLASS A ORDINARY SHARES) |
0xdD041a1407F9a3E46852Ec10D25889d029cc9bb6 |
500 |
MOH |
MOLINA HEALTHCARE INC COMMON STOCK |
0x99D1E106458664837AeD4f85Af6B22910EAb7BC0 |
500 |
MOS |
MOSAIC COMPANY (THE) COMMON STOCK |
0x400057C2784F748d2250489f383A04090fA906d6 |
500 |
MOV |
MOVADO GROUP INC. COMMON STOCK |
0x363e0967374DD4E7EADCB98A7B9a048ed9258150 |
500 |
MP |
MP MATERIALS CORP. COMMON STOCK |
0x69393A53198189a6386aCd45f15CA0F05927c1ec |
500 |
MPA |
BLACKROCK MUNIYIELD PENNSYLVANIA QUALITY FUND COMMON STOCK |
0x9002fD66C56635E5f6166164dCD9C33EA3ba97Fa |
500 |
MPC |
MARATHON PETROLEUM CORPORATION COMMON STOCK |
0xceBB311648A01b02473c6D53e0eB64d426A02c1e |
500 |
MPLX |
MPLX LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0xa135eB16543A5289eF9a0C20AD071aAA995266aE |
500 |
MPV |
BARINGS PARTICIPATION INVESTORS COMMON STOCK |
0x4b0f1EdAb3D8548Aefa9C78596a255afd4Cb2cc2 |
500 |
MPW |
MEDICAL PROPERTIES TRUST, INC. COMMON STOCK |
0xB7a69c43F28764D33d46994e705054A6a755EB05 |
500 |
MPX |
MARINE PRODUCTS CORPORATION COMMON STOCK |
0x05E4B89a84f87d25aA805F8Fad8370365B3e7d2B |
500 |
MQT |
BLACKROCK MUNIYIELD QUALITY FUND II, INC. COMMON STOCK |
0x3610C83aDBB7e21336C974F2da6E84C6716df288 |
500 |
MQY |
BLACKROCK MUNIYIELD QUALITY FUND, INC. COMMON STOCK |
0x8BE623dfB17Ad5B139a7A5AE9F2981703814d91A |
500 |
MRC |
MRC GLOBAL INC. COMMON STOCK |
0xDAbF482A0469A96e105F0Cf51Baeb09CD14d934a |
500 |
MRK |
MERCK & COMPANY, INC. COMMON STOCK (NEW) |
0xef47412eD136f64961CC269A4431015294fdeDcb |
500 |
MRP |
MILLROSE PROPERTIES, INC. CLASS A COMMON STOCK |
0x218B3985a8e67b7192FcdBf1fab08E01B53D02Fc |
500 |
MS |
MORGAN STANLEY COMMON STOCK |
0x34491c8faCc91141F28eFC5F6e828fA268aC8B1C |
500 |
MS$A |
MORGAN STANLEY DEP SHS REPSTG 1/1000 PFD SER A |
0x94C5F084EAD7Bf6166c88970f04A4FD8ECE03584 |
500 |
MS$E |
MORGAN STANLEY DEPOSITARY SHARES REP 1/1000TH SHARES FIXED/FLTG PREFERRED STOCK SERIES E |
0xF195AaDdB6cd17dDC054E1A77aC0C792bBE0a93B |
500 |
MS$F |
MORGAN STANLEY DEP SHS RPSTG 1/1000TH INT PRD SER F FXD TO FLAG |
0x0d0106EeA7Be657696E4c87A0Bf91B2f2A5CCeE6 |
500 |
MS$I |
MORGAN STANLEY DEPOSITORY SHARES REPRESENTING 1/1000TH PREFERRED SERIES 1 FIXED TO FLOATING NON (CUM) |
0x3a9700e96466c8bC3D499A77e4a089be2d6ae3F6 |
500 |
MS$K |
MORGAN STANLEY DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH OF A SHARE OF FIXED |
0xe12d2787e684d431e1C28D2E8541C846a3dc7bEb |
500 |
MS$L |
MORGAN STANLEY DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH OF A SHARE OF 4.875% NON |
0xD9a4691cDCFB867998296aB8a06002E5C7E4c5c0 |
500 |
MS$O |
MORGAN STANLEY DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH OF A SHARE OF 4.250% NON |
0xbDA1390cF0B2ac182Dc4Ddc93a03aA8495c4D60b |
500 |
MS$P |
MORGAN STANLEY DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH OF A SHARE OF 6.500% NON |
0x7DBa5d57e20D372776d5a85E302E9480492f7a46 |
500 |
MS$Q |
MORGAN STANLEY DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH OF A SHARE OF 6.625% NON |
0x931f29c2c069D4A44ef7384dE1b2eB3DeE79f619 |
500 |
MSA |
MSA SAFETY INCORPORATED COMMON STOCK |
0x775E9dDfba59380b6Ec4973A5D93fCa7f1386C8b |
500 |
MSB |
MESABI TRUST COMMON STOCK |
0xc9F4054afB1987ec00d3b3d6A6eB7939179ED848 |
500 |
MSC |
STUDIO CITY INTERNATIONAL HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING FOUR CLASS A ORDINARY SHARES |
0xb0848EfA30Cb80772AFBC60967DB49b1fdcF3375 |
500 |
MSCI |
MSCI INC. COMMON STOCK |
0x6EdF639D5696e5e28CAd2828761bde8653c2B5B1 |
500 |
MSD |
MORGAN STANLEY EMERGING MARKETS DEBT FUND, INC. COMMON STOCK |
0x16Faec0ecc4E52c0d87e9265bd414F0Ba1a3aF06 |
500 |
MSDL |
MORGAN STANLEY DIRECT LENDING FUND COMMON STOCK |
0x18E365e32EeFd416548e01807443AdB783bcDD06 |
500 |
MSGE |
MADISON SQUARE GARDEN ENTERTAINMENT CORP. CLASS A COMMON STOCK |
0x09B7F95992159Ab0db0F2c8c9135Cf858738969C |
500 |
MSGS |
MADISON SQUARE GARDEN SPORTS CORP. CLASS A COMMON STOCK (NEW) |
0x0b087c7B3E69F66Cdf9DD826c4B2a71974115Ef0 |
500 |
MSI |
MOTOROLA SOLUTIONS, INC. COMMON STOCK |
0x2d873c5bb5F230ab07d36336A35f9A9a979c0ac4 |
500 |
MSIF |
MSC INCOME FUND, INC. COMMON STOCK |
0xFde70E44905B8964D5B3437bB3C53802B55D69f9 |
500 |
MSM |
MSC INDUSTRIAL DIRECT COMPANY, INC. COMMON STOCK |
0x36DAe8cB36a5DA81eE0e0Dd3848a24b6f2D5531D |
500 |
MT |
ARCELOR MITTAL NY REGISTRY SHARES NEW |
0x648Ce2e3116972dae37d4cB71DbD876E4b523ED1 |
500 |
MTAL |
MAC COPPER LIMITED ORDINARY SHARES |
0x12612b0246f087416f55EeDd8E2D66C1A7CC2790 |
500 |
MTB |
M&T BANK CORPORATION COMMON STOCK |
0xA381f7ad316EB714100307Fe172dfcee35000138 |
500 |
MTB$H |
M&T BANK CORPORATION PERPETUAL FIXED |
0xb06BBcE2786924dE5De1892665462B1E6B000B0f |
500 |
MTB$J |
M&T BANK CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/400TH OWNERSHIP INTEREST IN A SHARE OF PERPETUAL 7.500% NON |
0x246a77a7BA0D1Ec33c743Ad72AaF18CBe3DE9380 |
500 |
MTD |
METTLER |
0xad91b1a9Bf0afeED236DF67e60F8b416FC3b3a0b |
500 |
MTDR |
MATADOR RESOURCES COMPANY COMMON STOCK |
0x5D811426F37813c421e1B4e8c4436b52146F33c5 |
500 |
MTG |
MGIC INVESTMENT CORPORATION COMMON STOCK |
0x449F7685cF7a9B10210781ad4d08d8939d6c5aA4 |
500 |
MTH |
MERITAGE HOMES CORPORATION COMMON STOCK |
0x8C2686f7cFcEd0ca3301B1ff0Ed99b8ad92Cd757 |
500 |
MTN |
VAIL RESORTS, INC. COMMON STOCK |
0x2A706fe21A9F578Ee7aA1167fCe9D26148c6d848 |
500 |
MTR |
MESA ROYALTY TRUST COMMON STOCK |
0xCcC7b5466C60e8cD0Dc8CD65907A340A739C3F07 |
500 |
MTRN |
MATERION CORPORATION |
0xBBadCEE500E0C66866d706e273ad78f0BCE65344 |
500 |
MTUS |
METALLUS INC. COMMON SHARES |
0xB28CeA1B426F41f86157aA7f635cAcadC54401F5 |
500 |
MTW |
MANITOWOC COMPANY, INC. (THE) COMMON STOCK |
0x83056f2f78671a9706a94B01a347D1aC1fABE27E |
500 |
MTX |
MINERALS TECHNOLOGIES INC. COMMON STOCK |
0xd8F9457c8230F0c1dd642b9743120df922a979A0 |
500 |
MTZ |
MASTEC, INC. COMMON STOCK |
0x61C2d10C7543FC5bD9545a5C568bE1E021A739B6 |
500 |
MUA |
BLACKROCK MUNIASSETS FUND, INC COMMON STOCK |
0x21eE94Fba906C18c8187F8Ce34bDCD43F9b96182 |
500 |
MUC |
BLACKROCK MUNIHOLDINGS CALIFORNIA QUALITY FUND, INC. COMMON STOCK |
0x5f60bE62cb10fe2CFe5CeB501b61692a2D9aB57c |
500 |
MUE |
BLACKROCK MUNIHOLDINGS QUALITY FUND II, INC. COMMON STOCK |
0xCeb55c058046e2db15d433c2aCCf8e3d3FA05D63 |
500 |
MUFG |
MITSUBISHI UFJ FINANCIAL GROUP, INC. COMMON STOCK |
0x3F29b1799C7F492A454a92AFb36Ce6988A7402d0 |
500 |
MUJ |
BLACKROCK MUNIHOLDINGS NEW JERSEY QUALITY FUND, INC. COMMON STOCK |
0x68A6B11cc94506fEba5cE9B0Af38Df08E5239B55 |
500 |
MUR |
MURPHY OIL CORPORATION COMMON STOCK |
0x212aC55B7eC21847aDe6D4b133E83D38F886DaA9 |
500 |
MUSA |
MURPHY USA INC. COMMON STOCK |
0x64157048A326E77B7862e08cAc07CC5211FB8D3B |
500 |
MUSE |
TCW MULTISECTOR CREDIT INCOME ETF |
0x86aeB49Bc2A691419aac806A7e4f2EA60e8e050b |
500 |
MUX |
MCEWEN MINING INC. COMMON STOCK |
0xa4f1367FF9cE513BB4fB6060DB4c5959b098e043 |
500 |
MVF |
BLACKROCK MUNIVEST FUND, INC. COMMON STOCK |
0x0f46AabABd2cc4C2EcbdBDEC03A929574e388d00 |
500 |
MVO |
MV OIL TRUST UNITS OF BENEFICIAL INTERESTS |
0x0580E63ca8c4f86f9b6DA93888d8C82DaB4926c6 |
500 |
MVT |
BLACKROCK MUNIVEST FUND II, INC. COMMON STOCK |
0xAc2fCEa9D6a3a0239d8D445cc931Bf856a1f195d |
500 |
MWA |
MUELLER WATER PRODUCTS COMMON STOCK |
0x65E07ee921B502Ca0D5C0DFfeaad8f3484F3fCc3 |
500 |
MX |
MAGNACHIP SEMICONDUCTOR CORPORATION COMMON STOCK |
0xAE173C70c7ca4c226b16A237E9b80B7d52188306 |
500 |
MXE |
MEXICO EQUITY AND INCOME FUND, INC. (THE) COMMON STOCK |
0x4F959762B90aBA51F84329D7b028e2EEC3237eF7 |
500 |
MXF |
MEXICO FUND, INC. (THE) COMMON STOCK |
0xc7F262EDe0a7f7511B3215AA1cF04887b76C4b7C |
500 |
MYD |
BLACKROCK MUNIYIELD FUND, INC. COMMON STOCK |
0x7b4C2EC4eFd0De6006004bf793586218A5473869 |
500 |
MYE |
MYERS INDUSTRIES, INC. COMMON STOCK |
0x9eFd14015B3de920CC0f2A02BA445d8c391795E4 |
500 |
MYI |
BLACKROCK MUNIYIELD QUALITY FUND III, INC COMMON STOCK |
0x4edeA6Bb9E0810F8C1Fa972aFD4F4Eb05854E5D7 |
500 |
MYN |
BLACKROCK MUNIYIELD NEW YORK QUALITY FUND, INC.COMMON STOCK |
0x293f437f8526A0CFbCe7E9B85b3b0C9eF8a27874 |
500 |
NABL |
N |
0x95bAb543d9b6B8f7d0d5359FA2D20422DF42b2cC |
500 |
NAC |
NUVEEN CALIFORNIA QUALITY MUNICIPAL INCOME FUND |
0xf9bdeABC51EF2298E30301017517ad83F0833F64 |
500 |
NAD |
NUVEEN QUALITY MUNICIPAL INCOME FUND COMMON STOCK |
0x8Bc7fe4c1A71a1f47a49c52F14439cC7a8fb1565 |
500 |
NAN |
NUVEEN NEW YORK QUALITY MUNICIPAL INCOME FUND COMMON STOCK |
0xa954DAF12E873Be5285Eb9bE7Eed2777067a29ae |
500 |
NAT |
NORDIC AMERICAN TANKERS LIMITED COMMON STOCK |
0xeD3032c1D9c38645599C8F5525D8b742906556D2 |
500 |
NATL |
NCR ATLEOS CORPORATION COMMON STOCK |
0x4f276fB8dBA669EAd959b4E3bD8ef10D35ece20D |
500 |
NAZ |
NUVEEN ARIZONA QUALITY MUNICIPAL INCOME FUND COMMON STOCK |
0x5261eF36Ae72958425D6d7F442e03c13574749db |
500 |
NBB |
NUVEEN TAXABLE MUNICIPAL INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xF6D656472BC2BDE35420d382c73ea7D3ed7fa04f |
500 |
NBHC |
NATIONAL BANK HOLDINGS CORPORATION COMMON STOCK |
0xDc62ae9F0e09F1C28B28C214ec55c5d00db9b9de |
500 |
NBR |
NABORS INDUSTRIES LTD. |
0xbbf2321E11237AE9Ca411174f2459CE5CB272f30 |
500 |
NBXG |
NEUBERGER BERMAN NEXT GENERATION CONNECTIVITY FUND INC. COMMON STOCK |
0x988186ab1A2709F1752057f237D6235711F2baA0 |
500 |
NC |
NACCO INDUSTRIES, INC. COMMON STOCK |
0xa6E1977C8422EfF0705b7840b9E33E4Aa45146BF |
500 |
NCA |
NUVEEN CALIFORNIA MUNICIPAL VALUE FUND |
0x25dffFac8CE5fc2212CE54dfDd9Db506356B6534 |
500 |
NCDL |
NUVEEN CHURCHILL DIRECT LENDING CORP. COMMON STOCK |
0x9ECf26170B77Fc6dB2B72724C70B03902f9521aA |
500 |
NCLH |
NORWEGIAN CRUISE LINE HOLDINGS LTD. ORDINARY SHARES |
0x43fd85a77B3C41E2DECF1aE67f2724932DA5A6b9 |
500 |
NCV |
VIRTUS CONVERTIBLE & INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xfdE1A79082cC0966086CbB40c3692D5F863268f6 |
500 |
NCV$A |
VIRTUS CONVERTIBLE & INCOME FUND 5.625% SERIES A CUMULATIVE PREFERRED SHARES |
0x1b7Beb07D8F5a2CFb219FDbA4b32e627d3A9e038 |
500 |
NCZ |
VIRTUS CONVERTIBLE & INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST |
0x8A8c6Ce56f0E27c17d57cF742A600cd4bc713B85 |
500 |
NCZ$A |
VIRTUS CONVERTIBLE & INCOME FUND II 5.50% SERIES A CUMULATIVE PREFERRED SHARES |
0xA4Fc52aEee4eCCeA53194d0eEc774eE941EE9840 |
500 |
NDMO |
NUVEEN DYNAMIC MUNICIPAL OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xd51f16eaa5079959E704E7FD0844BFeD10F83458 |
500 |
NE |
NOBLE CORPORATION PLC A ORDINARY SHARES |
0xbBAfdeE5Bf84D96397927Dc178deC7f0c1b5c440 |
500 |
NE.A |
NOBLE CORPORATION PLC TRANCHE 2 WARRANTS |
0xBc205fb346190E171D6181d2BE00E8d65388C9C3 |
500 |
NE.W |
NOBLE CORPORATION PLC TRANCHE 1 WARRANTS |
0xdA20054Ed8d55A6E571F61f3A1fd7b7F49CE0224 |
500 |
NEA |
NUVEEN AMT |
0x8aEaf3662E68C22397921877D52101515Fc307c6 |
500 |
NEE |
NEXTERA ENERGY, INC. COMMON STOCK |
0x1E3557e960f295703bC6D08A214574aDC2Bc9830 |
500 |
NEE$N |
NEXTERA ENERGY, INC. SERIES N JUNIOR SUBORDINATED DEBENTURES DUE MARCH 1, 2079 |
0x796E82B58EB02733b72903d3f8E9eE0Ecfdc20fB |
500 |
NEE$R |
NEXTERA ENERGY, INC. 6.926% CORPORATE UNITS |
0x7BFca5984D033dB1d31A258BC0e82517d643E534 |
500 |
NEE$S |
NEXTERA ENERGY, INC. 7.299% CORPORATE UNITS |
0x7F5e9cd36678c2d7d933D7D4249EC3139385a9ec |
500 |
NEE$T |
NEXTERA ENERGY, INC. 7.234% CORPORATE UNITS |
0x4f848436A6ac06304FB5b8d0c9e5c655635561ED |
500 |
NEE$U |
NEXTERA ENERGY, INC. SERIES U JUNIOR SUBORDINATED DEBENTURES DUE JUNE 1, 2085 |
0x56750EC457eBa68980E2f72AB31A9320dd0CEDd2 |
500 |
NEM |
NEWMONT CORPORATION |
0x5e8df1633510c1ac9bd0f5F607e90369C6ece04F |
500 |
NET |
CLOUDFLARE, INC. CLASS A COMMON STOCK |
0x6ba2eD08b2fFc970ecAD3cD5565fEba17D11480A |
500 |
NEU |
NEWMARKET CORP COMMON STOCK |
0xF64bfEF4f6B0267A802076cfCA224fe7407D5979 |
500 |
NEUE |
NEUEHEALTH, INC. COMMON STOCK |
0xA6438A31B1620e48E134EbF9e8885544A6d8629B |
500 |
NEXA |
NEXA RESOURCES S.A. COMMON SHARES |
0xe346f19b01C228f98175dE0410A501ed7a8B204c |
500 |
NFG |
NATIONAL FUEL GAS COMPANY COMMON STOCK |
0x990bC062545be5038eCD0dCb09863D1F604149be |
500 |
NFJ |
VIRTUS DIVIDEND, INTEREST & PREMIUM STRATEGY FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x5Dc2104CF9d3e90fa87ED7E470cA87c853149b61 |
500 |
NGG |
NATIONAL GRID TRANSCO, PLC NATIONAL GRID PLC (NEW) AMERICAN DEPOSITARY SHARES |
0xb18094E5Be001119988ecd52Be547aD45C3EC5A5 |
500 |
NGL |
NGL ENERGY PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0xa9788e2825f266c47905EA1185667a83a5CafE18 |
500 |
NGL$B |
NGL ENERGY PARTNERS LP 9.00% CLASS B FIXED |
0xeBE6b291D0B9135fE1471f4e3D4dA09d4239d526 |
500 |
NGL$C |
NGL ENERGY PARTNERS LP 9.625% CLASS C FIXED |
0x6a928913CcFFa51447d88973e3b3DADc0c1921Ac |
500 |
NGS |
NATURAL GAS SERVICES GROUP, INC. COMMON STOCK |
0x2F5e0C0404B8F2b1fc92D3452CbC6d74e7d82a31 |
500 |
NGVC |
NATURAL GROCERS BY VITAMIN COTTAGE, INC. COMMON STOCK |
0xC4c22709780de6505E36B493c7a7e894A52E5C10 |
500 |
NGVT |
INGEVITY CORPORATION COMMON STOCK |
0xAbaec73E8AA61b5d6015E6e9790D7b7190dDFF1E |
500 |
NHI |
NATIONAL HEALTH INVESTORS, INC. COMMON STOCK |
0x6A8A6Ef56797FBC5a5CC01D0773FdE31473F5c4e |
500 |
NI |
NISOURCE INC COMMON STOCK |
0xBd985bFF121898b50ACB0a4a07f3579cC18EDbCF |
500 |
NIC |
NICOLET BANKSHARES INC. COMMON STOCK |
0x6631c365F243D71466C7EdA959f8C03C9b8fcc96 |
500 |
NIE |
VIRTUS EQUITY & CONVERTIBLE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x5955c830fe49AE7aD4fE2079998b67a73eB86806 |
500 |
NIM |
NUVEEN SELECT MATURITIES MUNICIPAL FUND COMMON STOCK |
0x3F8623c99d65C70fE2F17DeD445fF4bdb481e148 |
500 |
NINE |
NINE ENERGY SERVICE, INC. COMMON STOCK |
0xb6df905d3fB2cD8e51F3cEdF44757c9A53b3FC2F |
500 |
NIO |
NIO INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0x25C1AdB980827d4Ed780a2bAbafdEd7143062399 |
500 |
NJR |
NEWJERSEY RESOURCES CORPORATION COMMON STOCK |
0xC857Ae92d432AC7AF65568B94250b8135fe6B77f |
500 |
NKE |
NIKE, INC. COMMON STOCK |
0xdC611fdF73A306a3cEc20e5a692B94a5b27D2822 |
500 |
NKX |
NUVEEN CALIFORNIA AMT |
0x8Bd5bfbE13c24955205530081cf488d63A1388FC |
500 |
NL |
NL INDUSTRIES, INC. COMMON STOCK |
0x1271a2CE8bcAEe6EBC9B88f440bbF91a9910E310 |
500 |
NLOP |
NET LEASE OFFICE PROPERTIES COMMON SHARES OF BENEFICIAL INTEREST |
0xd3f9797F81174b2b9a83E8fcc900081249A2db7e |
500 |
NLY |
ANNALY CAPITAL MANAGEMENT INC. COMMON STOCK |
0xA379F0fB8d56aB92AfA8D31BC7B09580A71e2d36 |
500 |
NLY$F |
ANNALY CAPITAL MANAGEMENT INC 6.95% SERIES F |
0x96390b4e91fB7B364A2249cE7401cAD7F63302d0 |
500 |
NLY$G |
ANNALY CAPITAL MANAGEMENT INC 6.50% SERIES G FIXED |
0x4EBB48902F6ed979Ce197C58916F76024b20B85F |
500 |
NLY$I |
ANNALY CAPITAL MANAGEMENT INC 6.750% SERIES I FIXED |
0x1e287d83205b12Cb096cbE88c3862028A040C036 |
500 |
NMAI |
NUVEEN MULTI |
0x61a39Cd3c9B17c9001649F9bF4487f39f479b893 |
500 |
NMAX |
NEWSMAX, INC. CLASS B COMMON STOCK |
0x6D76d7f82E3aC91039c4Aa956C5618268Abef7ea |
500 |
NMCO |
NUVEEN MUNICIPAL CREDIT OPPORTUNITIES FUND COMMON SHARES |
0x2D97a589136E8F3b70A1641657151d4a8984457A |
500 |
NMG |
NOUVEAU MONDE GRAPHITE INC. COMMON SHARES |
0xf3EFa05E89F6ae4e9f1b0ad0D87339C230B9d084 |
500 |
NMI |
NUVEEN MUNICIPAL INCOME FUND, INC. COMMON STOCK |
0xd0F5f15A27ab32bB42BafB78eb3bFcD4c5A574E0 |
500 |
NMM |
NAVIOS MARITIME PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x4b9cC52c292361026A1cEA7d6881c5476Ba2036A |
500 |
NMR |
NOMURA HOLDINGS INC ADR AMERICAN DEPOSITARY SHARES |
0x7c0c1012290a285FC646C519c97cE005AA130A35 |
500 |
NMS |
NUVEEN MINNESOTA QUALITY MUNICIPAL INCOME FUND |
0x92848Fef1ea9fC043fcee6D43e0F78f06B8F14DF |
500 |
NMT |
NUVEEN MASSACHUSETTS QUALITY MUNICIPAL INCOME FUND COMMON STOCK |
0x99265c5685D8F2A3383eA9c48A32BB25260Be6eF |
500 |
NMZ |
NUVEEN MUNICIPAL HIGH INCOME OPPORTUNITY FUND COMMON STOCK, $0.01 PAR VALUE, PER SHARE |
0xD3fcb74F0FF9955113b3B93ED6D5070B43eea680 |
500 |
NNI |
NELNET, INC. COMMON STOCK |
0x514041De27753B24ffA143C5A7e5cC996119c1CE |
500 |
NNN |
NNN REIT, INC. COMMON STOCK |
0xcE258E26DA297B86223aEC78348Df2B0fEC0371C |
500 |
NNY |
NUVEEN NEW YORK MUNICIPAL VALUE FUND COMMON STOCK |
0xA8d28188A24BC57b478CD31BdD226199EB4befd9 |
500 |
NOA |
NORTH AMERICAN CONSTRUCTION GROUP LTD. COMMON SHARES (NO PAR) |
0x6C1101Da6aB432736dE084039DF0a0E1d753adC6 |
500 |
NOAH |
NOAH HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES |
0xA9b5D55967530496F4689a709A22a87e7DB2D51e |
500 |
NOC |
NORTHROP GRUMMAN CORPORATION COMMON STOCK |
0xE64c88A4B5Ba11BD6b773Eec225702e43979EB17 |
500 |
NOG |
NORTHERN OIL AND GAS, INC. COMMON STOCK |
0xdBfd59cF252e48805d0E257895DB91E42d69221c |
500 |
NOK |
NOKIA CORPORATION SPONSORED AMERICAN DEPOSITARY SHARES |
0xf1f6CCf23A0C0EfC8bf4f81FF82A94D660F7f2F6 |
500 |
NOM |
NUVEEN MISSOURI QUALITY MUNICIPAL INCOME FUND |
0x48FE212e332225Ed9d8c9358fE306C1D08214e66 |
500 |
NOMD |
NOMAD FOODS LIMITED ORDINARY SHARES |
0x376BDc793751D89daC969c539b0860ADa1006aDE |
500 |
NOTE |
FISCALNOTE HOLDINGS, INC. CLASS A COMMON STOCK |
0x55239765732E650553A23fceD29eC6A2B1137fFA |
500 |
NOTE.W |
FISCALNOTE HOLDINGS, INC. WARRANTS TO PURCHASE ONE SHARE OF CLASS A COMMON STOCK, EACH AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0xBABB9E960b985EbEeeCD0Fcb31b750A0b37211BE |
500 |
NOV |
NOV INC. COMMON STOCK |
0x36B332bc4663addbB7cae4BEcD2519A26A89d0C1 |
500 |
NOW |
SERVICENOW, INC. COMMON STOCK |
0xcaa30340c0FF69A8f4310beD1aaB8Bf735c340Bb |
500 |
NPB |
NORTHPOINTE BANCSHARES, INC. COMMON STOCK |
0x99E0fA409272f05a54Df2F03b5744a63F1521084 |
500 |
NPCT |
NUVEEN CORE PLUS IMPACT FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xb10852ba8D3999Ba5021728e4483F5DD0A9F297E |
500 |
NPFD |
NUVEEN VARIABLE RATE PREFERRED & INCOME FUND COMMON SHARES |
0x8134B69E526141bB30ec62DAFeCD91cae738699E |
500 |
NPK |
NATIONAL PRESTO INDUSTRIES, INC. COMMON STOCK |
0x7114597190c93bEE109671DB3e5F1cE57C7FA86c |
500 |
NPKI |
NPK INTERNATIONAL INC. COMMON STOCK |
0xf659fbfAcF7Ca175109cCc88c33806286d62F47e |
500 |
NPO |
ENPRO INC. COMMON STOCK |
0xCe805BDBD7acB96f7EB89065a33480Ad245a3bc7 |
500 |
NPV |
NUVEEN VIRGINIA QUALITY MUNICIPAL INCOME FUND COMMON STOCK |
0x277D98D55E01062bCCC2ac3f652C0478e2944d61 |
500 |
NPWR |
NET POWER INC. CLASS A COMMON STOCK |
0xd815a9d776881a7ff0139cc4aBE76C8bE1DC0d39 |
500 |
NPWR.W |
NET POWER INC. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK AT AN EXERCISE PRICE OF $11.50 |
0xd1EBB8f1c3c0Ce0E5590A19397Ae68da76A96464 |
500 |
NQP |
NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND COMMON STOCK |
0x307193dA947C8aBf01Ac6827276E43eca1120bB7 |
500 |
NRDY |
NERDY INC. CLASS A COMMON STOCK |
0x523D1006e1887349820d11fDaF345f12b9cB8D86 |
500 |
NREF |
NEXPOINT REAL ESTATE FINANCE, INC. COMMON STOCK |
0x68a4158A36dcA3657B20C922A1E1044F5EeE35A1 |
500 |
NREF$A |
NEXPOINT REAL ESTATE FINANCE, INC. 8.50% SERIES A CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xb0d23a616735108B147c22BB6086399B8B840090 |
500 |
NRG |
NRG ENERGY, INC. COMMON STOCK |
0x302cFD4C26CCB934b2C26a6CcA50268541bF9df3 |
500 |
NRGV |
ENERGY VAULT HOLDINGS, INC. COMMON STOCK |
0xB19c8877Bb0779b3E14751222a0Da784F15e55fc |
500 |
NRK |
NUVEEN NEW YORK AMT |
0xe5B4B56751C737038867107D929233D6E4316fDc |
500 |
NRP |
NATURAL RESOURCE PARTNERS LP LIMITED PARTNERSHIP |
0xFaa2058fA0f3eE14983049A44Fcc1a73e521D0D0 |
500 |
NRT |
NORTH EUROPEAN OIL ROYALITY TRUST COMMON STOCK |
0x98D7F5042d002966aBE5E4cb6430b1c611Efd1c5 |
500 |
NRUC |
NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION 5.500% SUBORDINATED NOTES DUE 2064 (SUBORDINATED DEFERRABLE INTEREST NOTES) |
0x8351e828831D237CEBa477A25F06E4eD544b1e9F |
500 |
NSA |
NATIONAL STORAGE AFFILIATES TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0x24B791848488885DE0e2b2e968f3f59D1D96d5Fd |
500 |
NSA$A |
NATIONAL STORAGE AFFILIATES TRUST 6.000% SERIES A CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST (LIQUIDATION PREFERENCE $25.00 PER SHARE) |
0x7E660d45067b73eDbE2921e5Cd37BFaa88853952 |
500 |
NSA$B |
NATIONAL STORAGE AFFILIATES TRUST 6.000% SERIES B CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x12A4A295843E0769958ee4dB6e988b5316aC43aD |
500 |
NSC |
NORFOLK SOUTHERN CORPORATION COMMON STOCK |
0x3d40de9440866a3efb1592FC944D3F080D06376E |
500 |
NSP |
INSPERITY, INC. COMMON STOCK |
0x0E98A3a2d0052a41ac0c5cD1a565a9959a7a541A |
500 |
NTB |
BANK OF N.T. BUTTERFIELD & SON LIMITED (THE) VOTING ORDINARY SHARES |
0x1aF9ba0bAFF3a1a5625771aE97ca23B781CaeF04 |
500 |
NTR |
NUTRIEN LTD. COMMON SHARES |
0x07eBBa26b02E44Bc4E292265A97824ff0812D578 |
500 |
NTST |
NETSTREIT CORP. COMMON STOCK |
0xc5Fc31076225db30BC40f45203fe50583722445B |
500 |
NTZ |
NATUZZI, S.P.A. |
0xf1fE731B69e5a82d79b0fabdFA3474E4e8004E44 |
500 |
NU |
NU HOLDINGS LTD. CLASS A ORDINARY SHARES |
0xB9cB85294b27D6dD60077D5025B5DB1bEDD45453 |
500 |
NUE |
NUCOR CORPORATION COMMON STOCK |
0x532565681b7508e5D5aB9bc9fd4ebdd0899ab77f |
500 |
NUS |
NU SKIN ENTERPRISES, INC. COMMON STOCK |
0x72Fac3701cCa116F80FEcb7a680DC0564114b44E |
500 |
NUV |
NUVEEN MUNICIPAL VALUE FUND, INC. COMMON STOCK |
0xE1f2181145B95B053CF8aD3f099341C041D12a69 |
500 |
NUVB |
NUVATION BIO INC. CLASS A COMMON STOCK |
0x7e421B19893e056CAE2b57303c32f5687b498145 |
500 |
NUVB.W |
NUVATION BIO INC. WARRANTS |
0x0083C8c197a2234b363c3b7F3b1e4EdEE2Cf1bc0 |
500 |
NUW |
NUVEEN AMT |
0xC16360d4521906b02FE063ea43D9a16861500Aae |
500 |
NVG |
NUVEEN AMT |
0x679922458Ad67E4a1EbE2047Ca156659c2589c2A |
500 |
NVGS |
NAVIGATOR HOLDINGS LTD. ORDINARY SHARES (MARSHALL ISLANDS) |
0xE22BacD46F02B4fA7dF51e8f1f05c95935f290Af |
500 |
NVO |
NOVO NORDISK A/S COMMON STOCK |
0xF429411A9bc00C309fdb8e1D97096db0CAA36C8A |
500 |
NVR |
NVR, INC. COMMON STOCK |
0x43D62e2c41366cCEe9FE071eA0F4aed7cf4E2407 |
500 |
NVRI |
ENVIRI CORPORATION COMMON STOCK |
0x29016bE0CE6318884FFe835887Ee5FBBe317da4b |
500 |
NVS |
NOVARTIS AG COMMON STOCK |
0xE4478000cf8Dc1e42C174bf0Fcd32335ec92B827 |
500 |
NVST |
ENVISTA HOLDINGS CORPORATION COMMON STOCK |
0x03C2A44e05fb975dC57dAeBf6C9135566214CF1F |
500 |
NVT |
NVENT ELECTRIC PLC ORDINARY SHARES |
0x98335081fcBf7D4F3632C2Edc4C3C78aDCD4A7F3 |
500 |
NWG |
NATWEST GROUP PLC AMERICAN DEPOSITARY SHARES, (EACH REPRESENTING TWO (2) ORDINARY SHARES) |
0x333768Fa575CF48A6DD5B3495979f60a5480A3Ea |
500 |
NWN |
NORTHWEST NATURAL HOLDING COMPANY COMMON STOCK |
0xFe5482Cbe657458d54E1d3183c750eB5904b3719 |
500 |
NX |
QUANEX BUILDING PRODUCTS CORPORATION COMMON STOCK |
0xab71C6c88f9A9696Ff67cD666FdAC08D2137D86C |
500 |
NXC |
NUVEEN CALIFORNIA SELECT TAX |
0x8D83f278A5f84ec1C72406A78d04F6Ff10D4DE1d |
500 |
NXDT |
NEXPOINT DIVERSIFIED REAL ESTATE TRUST COMMON STOCK |
0x45191AF43824764c76cc87cA2EBa95F6CdA21e94 |
500 |
NXDT$A |
NEXPOINT DIVERSIFIED REAL ESTATE TRUST 5.50% SERIES A CUMULATIVE PREFERRED SHARES ($25.00 LIQUIDATION PREFERENCE PER SHARE) |
0x77d91FD52616cc7b35e7ffF84FE6C9EA639Defa1 |
500 |
NXE |
NEXGEN ENERGY LTD. COMMON SHARES |
0x3B5361705627384742E05863aDd7488018E43416 |
500 |
NXG |
NXG NEXTGEN INFRASTRUCTURE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x9aEDDD8c66f77545C241406C740F219dc6dF02c0 |
500 |
NXJ |
NUVEEN NEW JERSEY QUALIFIED MUNICIPAL FUND |
0x8409B3850c1c09f7EbA85EDd9ad64353748e9CEc |
500 |
NXN |
NUVEEN NEW YORK SELECT TAX |
0x312b1f0367F95782cd778Ea3B1b61555Da21D4B7 |
500 |
NXP |
NUVEEN SELECT TAX FREE INCOME PORTFOLIO COMMON STOCK |
0xaCb42d295E18e6656D921f9fcC5904440A13d867 |
500 |
NXRT |
NEXPOINT RESIDENTIAL TRUST, INC. COMMON STOCK |
0x6AF8A00BeF47f1e9205b510AAC76feEDdBb3193F |
500 |
NYC |
AMERICAN STRATEGIC INVESTMENT CO. CLASS A COMMON STOCK |
0xbFEe03B1e8100C5777F09Ecd8c4AA672BAF1F8AC |
500 |
NYT |
NEW YORK TIMES COMPANY (THE) COMMON STOCK |
0xcb98860bc2eaAeC95354B5E0b2c0CDab566a00bB |
500 |
NZF |
NUVEEN MUNICIPAL CREDIT INCOME FUND |
0xe847ba91560ED38b585Fe2D0A681B966bb7A3Acb |
500 |
O |
REALTY INCOME CORPORATION COMMON STOCK |
0xd3df221e4ba766ee95300Fe374B4A873a2e7ad9f |
500 |
OAK$A |
BROOKFIELD OAKTREE HOLDINGS, LLC 6.625% SERIES A PREFERRED UNITS |
0xFe965D7342EF17E8559fC2C5A78544aFeF2E1058 |
500 |
OAK$B |
BROOKFIELD OAKTREE HOLDINGS, LLC 6.550% SERIES B PREFERRED UNITS |
0xB24Aec3f1cc2B78e063e8EAC4109c2041e38E486 |
500 |
OBDC |
BLUE OWL CAPITAL CORPORATION COMMON STOCK |
0xE3AFd15c461deF7AFA63666ddF03611e0fD7aD33 |
500 |
OBK |
ORIGIN BANCORP, INC. COMMON STOCK |
0xD73796Da117a3345ded3CE5165Da49F5eb8172Eb |
500 |
OC |
OWENS CORNING INC COMMON STOCK NEW |
0x2240E7E9C838e755EeFcB9Be7f167706ce6450B8 |
500 |
OCFT |
ONECONNECT FINANCIAL TECHNOLOGY CO., LTD. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING THIRTY ORDINARY SHARES |
0x82786F4b1A2d91E02bb460864a0874d9c3e45149 |
500 |
ODC |
OIL |
0xff6397Db996FB70bc09b331Fec9AeD31d58f459e |
500 |
ODV |
OSISKO DEVELOPMENT CORP. COMMON SHARES |
0x9d8A84e7a102Dbd6d24F6Fe7cC9f9B05c931dCFa |
500 |
OEC |
ORION S.A. COMMON SHARES |
0x39e7816c2439D03641D461839218596637fd4e65 |
500 |
OFG |
OFG BANCORP COMMON STOCK |
0x0bBA45B34d1EBD01467f883fE3f590D87daA3150 |
500 |
OGE |
OGE ENERGY CORP COMMON STOCK |
0x95306bd991270eCa7245A5beF56fcdFC42afDe18 |
500 |
OGN |
ORGANON & CO. COMMON STOCK |
0x61ebf9aAe6e5DA9C63678363940439E87Fa653E2 |
500 |
OGS |
ONE GAS, INC. COMMON STOCK |
0xA383a9D005301c36bCbE05765C04459948435d2B |
500 |
OHI |
OMEGA HEALTHCARE INVESTORS, INC. COMMON STOCK |
0x4A4ff13b7a3D668f84e027AFD98272BaadcE9193 |
500 |
OI |
O |
0x8A32C08F6645886eB79Ec9c02B0d86b7F2Bc0DC0 |
500 |
OIA |
INVESCO MUNICIPAL INCOME OPPORTUNITIES TRUST COMMON STOCK |
0xb4635d95921c475d0108E97c54B119a0F4e9c99e |
500 |
OII |
OCEANEERING INTERNATIONAL, INC. COMMON STOCK |
0x754a57beDB07237cc87274F66d099e337c51584C |
500 |
OIS |
OIL STATES INTERNATIONAL, INC. COMMON STOCK |
0xf4D9fCD10dA461884EF93F3e6E557732fb9a3bbc |
500 |
OKE |
ONEOK, INC. COMMON STOCK |
0xB0d2776E59995536d5BC44D17169952ecc81e7aE |
500 |
OKLO |
OKLO INC. CLASS A COMMON STOCK |
0xa180d7d6b036637e851789Dc36a553B1359Db558 |
500 |
OLN |
OLIN CORPORATION COMMON STOCK |
0x49F97Ce9173D30F66240B5bCFe2F07d6A8499EbC |
500 |
OLO |
OLO INC. CLASS A COMMON STOCK |
0x619DeB73ad73C69779C79f5Aef022a812A3b7325 |
500 |
OLP |
ONE LIBERTY PROPERTIES, INC. COMMON STOCK |
0x9b519F29e1FdbcD122dc0fF48D24c51B9083b0A0 |
500 |
OMC |
OMNICOM GROUP INC. COMMON STOCK |
0xf62782fCD78dE88f7aC29dDAF6Ab871A159Bfc8D |
500 |
OMF |
ONEMAIN HOLDINGS, INC. COMMON STOCK |
0x303ae7E7C343ab874F8adA1D6f5a18980C2cb035 |
500 |
OMI |
OWENS & MINOR, INC. COMMON STOCK |
0xF0641404fD78331ea1586ba6cc373F9b5273Cbc4 |
500 |
ONIT |
ONITY GROUP INC. COMMON STOCK |
0x43d6Ed77AB6D922685FcD1E995891AC068422CA1 |
500 |
ONL |
ORION PROPERTIES INC. COMMON STOCK |
0x5b9fABB887228e292Fa13F06f86a1b09f8507bBD |
500 |
ONON |
ON HOLDING AG CLASS A ORDINARY SHARES |
0x9d198fAf14590e171E46Dde68748ff72AB280bc4 |
500 |
ONTF |
ON24, INC. COMMON STOCK |
0x330aDfF694582F5855F2f493FdD51ba62feD672F |
500 |
ONTO |
ONTO INNOVATION INC. COMMON STOCK |
0x76471547F0d87391d9D71095A94262A02893c18a |
500 |
OOMA |
OOMA, INC. COMMON STOCK |
0xFc356F8dA0c7d5cb355B59c15a516191C460Fffc |
500 |
OPAD |
OFFERPAD SOLUTIONS INC. CLASS A COMMON STOCK |
0x28CD02fA8736F5849442511B0d612c2A24303302 |
500 |
OPFI |
OPPFI INC. CLASS A COMMON STOCK |
0x285D0C0e47a9dC8D862A031Ad3D12A082F274D6E |
500 |
OPFI.W |
OPPFI INC. WARRANTS |
0xcE1e8e8441b5183661ED341ca2104707D117D197 |
500 |
OPP |
RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND, INC. COMMON STOCK |
0xb4D8F9578529d881D13CfD787082f2e83016ba9d |
500 |
OPP$A |
RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND, INC. 4.375% SERIES A CUMULATIVE PREFERRED STOCK |
0xA51CCA80e3Edf63f259592CDF5aFA7E236188AbB |
500 |
OPP$B |
RIVERNORTH/DOUBLELINE STRATEGIC OPPORTUNITY FUND, INC. 4.75% SERIES B CUMULATIVE PREFERRED STOCK |
0x7Be91Db25984b3027F919619a069CE9B4a4a81B8 |
500 |
OPY |
OPPENHEIMER HOLDINGS, INC. CLASS A COMMON STOCK (DE) |
0xFD45a875a25F8DbdC6fA7867988A2A22a74882Bc |
500 |
OR |
OR ROYALTIES INC. COMMON SHARES |
0x53073EA4E0C4Eaa9616A1656623611BcEb057272 |
500 |
ORA |
ORMAT TECHNOLOGIES, INC. COMMON STOCK |
0x525b214CA6f43a60Ac6580541DaccC8393aa9D39 |
500 |
ORC |
ORCHID ISLAND CAPITAL, INC. COMMON STOCK |
0x3c0f7Be64D45B87b2e6D42Bc11F7A7C53D033AA3 |
500 |
ORCL |
ORACLE CORPORATION COMMON STOCK |
0x30Eb1BED54D84474fEe89B3837EC3E40B4bfc57a |
500 |
ORI |
OLD REPUBLIC INTERNATIONAL CORPORATION COMMON STOCK |
0x76707eC8f7a9F0072F9F431a02690BE96229FAd7 |
500 |
ORN |
ORION GROUP HOLDINGS, INC. COMMON |
0xd98C80a65fA6e8b472b091Eb495481B29b114046 |
500 |
OSCR |
OSCAR HEALTH, INC. CLASS A COMMON STOCK |
0xFF046292BF11152fd6B3d68BbF7e59937765514c |
500 |
OSK |
OSHKOSH CORPORATION (HOLDING COMPANY)COMMON STOCK |
0xD200d15C253F2826ef39AFF20dfE4687273A5CB8 |
500 |
OTF |
BLUE OWL TECHNOLOGY FINANCE CORP. COMMON STOCK |
0xaD76BA540FB3D028657358C9B2B8f9451846e04F |
500 |
OTIS |
OTIS WORLDWIDE CORPORATION COMMON STOCK |
0x51cFaCa307313A5c8C2a8f98c1c9d3bcdCc43a48 |
500 |
OUT |
OUTFRONT MEDIA INC. COMMON STOCK |
0x1E170d5c41d60149f93D9d56B0752b2C79062198 |
500 |
OVV |
OVINTIV INC. (DE) |
0xCb9a309Ee97D3430A1e3723997DaC4D48210ff4e |
500 |
OWL |
BLUE OWL CAPITAL INC. CLASS A COMMON STOCK |
0x43cc76d81536E83e379504B7c9aD7994c8E548BB |
500 |
OWLT |
OWLET, INC. CLASS A COMMON STOCK |
0x96a3e823a3c4fF60FF562d98FB358863BE8E0e8a |
500 |
OXM |
OXFORD INDUSTRIES, INC. COMMON STOCK |
0xf819A97D6758EC9606F8884CE6C7937adAb285D9 |
500 |
OXY |
OCCIDENTAL PETROLEUM CORPORATION COMMON STOCK |
0x8dF54e76820bf5dfD9F3439f1780c5c8BFB61B81 |
500 |
OXY.W |
OCCIDENTAL PETROLEUM CORPORATION WARRANTS |
0xAC6977CbA575d778248B19CdE89cff87F24f209C |
500 |
PAAS |
PAN AMERICAN SILVER CORP. COMMON STOCK |
0x46c375DeB6EC7B4f8F52C3dFA721fB3315285a67 |
500 |
PAC |
GRUPO AEROPORTUARIO DEL PACIFICO, S.A. B. DE C.V. GRUPO AEROPORTUARIO DEL PACIFICO, S.A. DE C.V. (EACH REPRESENTING 10 SERIES B SHARES) |
0xb961810C9A667230CAaE4695341098D4025Ea9ff |
500 |
PACK |
RANPAK HOLDINGS CORP CLASS A COMMON STOCK |
0x57F5c80422Cc2590a50997477401B3A7aEf070F8 |
500 |
PACS |
PACS GROUP, INC. COMMON STOCK |
0x1Ba6Da5D6E02cF7F7A7d7d90148EC1610F9956d6 |
500 |
PAG |
PENSKE AUTOMOTIVE GROUP, INC. COMMON STOCK |
0xC712b25c849Bca9E826294738e7F7073465197f2 |
500 |
PAGS |
PAGSEGURO DIGITAL LTD. CLASS A COMMON SHARES |
0xBa551a51Efd319eE525dB6389433e257Ca590eD1 |
500 |
PAI |
WESTERN ASSET INVESTMENT GRADE INCOME FUND INC. |
0x57f145dD0A461C467f4CC016d3bdc9521e9c814a |
500 |
PAM |
PAMPA ENERGIA S.A. |
0x987f7662c68371F528f5351BD33Ee32c996C5050 |
500 |
PAR |
PAR TECHNOLOGY CORPORATION COMMON STOCK |
0xD6a1cEDF921F4c08159e11b1278D3F8E2d8A4D2D |
500 |
PARR |
PAR PACIFIC HOLDINGS, INC. COMMON STOCK |
0x2bDEDe7b565CC29C11a4701163a24bD06d32139d |
500 |
PATH |
UIPATH, INC. CLASS A COMMON STOCK |
0x4FB1eF0aA0E8669A1B97E55b829BDEB92ec25B7A |
500 |
PAXS |
PIMCO ACCESS INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xE493e799954628E0C54313b353D3a0b6cA5B93de |
500 |
PAY |
PAYMENTUS HOLDINGS, INC. CLASS A COMMON STOCK |
0x542ba5e9B590D96905934e2577a9aF6847a35449 |
500 |
PAYC |
PAYCOM SOFTWARE, INC. COMMON STOCK |
0x7420d02baeFCA0360958595B9054b80C419B2905 |
500 |
PB |
PROSPERITY BANCSHARES, INC. COMMON STOCK |
0xF0cfd64939deFAd6919Ed63713f81d73dEFAb555 |
500 |
PBA |
PEMBINA PIPELINE CORP. ORDINARY SHARES (CANADA) |
0x6f44D45E7C51af3e46854742F0e24335099ae25a |
500 |
PBF |
PBF ENERGY INC. CLASS A COMMON STOCK |
0x762d5046b7b9b395f4C8Ed4e349CA7731B4A1E85 |
500 |
PBH |
PRESTIGE CONSUMER HEALTHCARE INC. COMMON STOCK |
0x9FcdfdD5714767327ce16ff843e05faC0faD4B82 |
500 |
PBI |
PITNEY BOWES INC. COMMON STOCK |
0xBc8d6dB1F52dC704677cb3296eaa58ded342bf18 |
500 |
PBI$B |
PITNEY BOWES INC 6.70% NOTES DUE 2043 |
0xaE9D0C9e4A33E55db0b81C666453df2E84301052 |
500 |
PBR |
PETROLEO BRASILEIRO S.A. |
0x8c6eeD9643bB6f54A377656ebc10A3D182C85Bf5 |
500 |
PBR.A |
PETROLEO BRASILEIRO S.A. |
0x385bFFa1c1Eb13d09fc836fe5ff4f6Ba0f35EB1c |
500 |
PBT |
PERMIAN BASIN ROYALTY TRUST COMMON STOCK |
0xc2957b0A94Da24f1EfE8b2faA25c1508aC81241F |
500 |
PCF |
HIGH INCOME SECURITIES FUND COMMON STOCK |
0xbc93d726d96E312A6C72CB6fA57F1004D15c1e88 |
500 |
PCG |
PACIFIC GAS & ELECTRIC CO. COMMON STOCK |
0x67FC994050cec426f67ef4F51E261BccbF904e29 |
500 |
PCG$X |
PG&E CORP 6.000% SERIES A MANDATORY CONVERTIBLE PREFERRED STOCK |
0x7Fdd0e8F0e6F6e626E81368AF72435570128349f |
500 |
PCK |
PIMCO CALIFORNIA MUNICIPAL INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST |
0xDd4F98C589Da94B64BBa7495D7e2507b7BB689B3 |
500 |
PCM |
PCM FUND, INC. COMMON STOCK |
0x3844e89429a8132F309352776d9595EAAEaAa863 |
500 |
PCN |
PIMCO CORPORATE & INCOME STRATEGY FUND COMMON STOCK |
0x8Ad19f61Bf287eFDEa8f427a484804e8EAdC40b6 |
500 |
PCOR |
PROCORE TECHNOLOGIES, INC. COMMON STOCK |
0x2Ce17adaaac77D1166946Cf3fD097C82e1676321 |
500 |
PCQ |
PIMCO CALIFORNIA MUNICIPAL INCOME FUND COMMON STOCK |
0x92E9E293F880C9152D0C1c9F9Cc3e45d81AFaF95 |
500 |
PD |
PAGERDUTY, INC. COMMON STOCK |
0x17C49dAc70207F09c617E606Fa4EA2d46445Ca7b |
500 |
PDCC |
PEARL DIVER CREDIT COMPANY INC. COMMON STOCK |
0x7F2b441544d9751AB6674da22eE8e39C8CE7fba8 |
500 |
PDI |
PIMCO DYNAMIC INCOME FUND COMMON STOCK |
0xF823841653D6F6604824DC240F4979eEc0Eb00B3 |
500 |
PDM |
PIEDMONT REALTY TRUST, INC. CLASS A COMMON STOCK |
0x9361edEe799285fac33AA32B0b8C73275Ff4A870 |
500 |
PDO |
PIMCO DYNAMIC INCOME OPPORTUNITIES FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x07Dd54826Ffe07130961378AF12c1fC8e04b5b22 |
500 |
PDPA |
PEARL DIVER CREDIT COMPANY INC. 8.00% SERIES A PREFERRED STOCK DUE 2029 |
0x8Addb3364F6191DD58d8e89652FAe4F8CdA96aBC |
500 |
PDS |
PRECISION DRILLING CORPORATION COMMON STOCK |
0x5818fC8c1272b2144F36a32d92280F1038f3FA5c |
500 |
PDT |
JOHN HANCOCK PREMIUM DIVIDEND FUND |
0x9b227Add99C9121a32c33FD09ddBb3483540369F |
500 |
PDX |
PIMCO DYNAMIC INCOME STRATEGY FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xFE09c14a9d98f253B668fF2a4B85d63543ECac1c |
500 |
PEB |
PEBBLEBROOK HOTEL TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xE641e1FF572ED5353e02d0C09A46DA6F8E2A3eCb |
500 |
PEB$E |
PEBBLEBROOK HOTEL TRUST 6.375% SERIES E CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x31D3152dAc11E58044e7BCb03D919A7F935e18D3 |
500 |
PEB$F |
PEBBLEBROOK HOTEL TRUST 6.3% SERIES F CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0xe8e8d25EC77295A55A96710739612d5faC1A622a |
500 |
PEB$G |
PEBBLEBROOK HOTEL TRUST 6.375% SERIES G CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x452AE6CddDdDb83e87740190Adb05E6d133b7837 |
500 |
PEB$H |
PEBBLEBROOK HOTEL TRUST 5.700% SERIES H CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x974EB1de302Aa94272A4DD12586FD607Ee8083Ad |
500 |
PEG |
PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED COMMON STOCK |
0xE73B6821D8d6595161f345cb4A9e95f5f14DEECE |
500 |
PEN |
PENUMBRA, INC. COMMON STOCK |
0x98c8F7Ae5458EFba4815972c7F1D4e66B3D35915 |
500 |
PEO |
ADAMS NATURAL RESOURCES FUND, INC. COMMON STOCK |
0xa8aaA3086e4b01eDdAD3b8e4b30d313045f5AE61 |
500 |
PERF |
PERFECT CORP. CLASS A ORDINARY SHARE |
0x28C8Af110791c93CE6B37F2afFe048B0F5133823 |
500 |
PERF.W |
PERFECT CORP. WARRANTS, EACH EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT A PRICE OF $11.50 PER SHARE |
0x5Fe5aBf86830B76F122155c61d0AD595544998f5 |
500 |
PFD |
FLAHERTY & CRUMRINE PREFERRED AND INCOME FUND INCORPORATED |
0xCbBdB42A579E91f3b995710a1d07243b2B770AA6 |
500 |
PFE |
PFIZER, INC. COMMON STOCK |
0x7b5Aa50390fD066260B22D54DABD6DC7FD3C3c41 |
500 |
PFGC |
PERFORMANCE FOOD GROUP COMPANY COMMON STOCK |
0x58896DD89dE4fC7B5A42C2391C875B68f6743579 |
500 |
PFH |
PRUDENTIAL FINANCIAL, INC. 4.125% JUNIOR SUBORDINATED NOTES DUE 2060 |
0x00a341E5a3f7ea75702647d5aBD7D79650Dfb367 |
500 |
PFL |
PIMCO INCOME STRATEGY FUND SHARES OF BENEFICIAL INTEREST |
0x27af5d0c9Df5AfC8339A88016E0d0EbF76980874 |
500 |
PFLT |
PENNANTPARK FLOATING RATE CAPITAL LTD. COMMON STOCK |
0x56CA4C2Ca1ccD07712d53955d0b4d465D4FC8AFF |
500 |
PFN |
PIMCO INCOME STRATEGY FUND II |
0x4EB7BfAA5CF9537183d934431206EF36eCB4fC47 |
500 |
PFO |
FLAHERTY & CRUMRINE PREFERRED AND INCOME OPPORTUNITY FUND INCORPORATED |
0x3DC21f2308b1DF298CC11A0630CEdDF7EFf0Cc8a |
500 |
PFS |
PROVIDENT FINANCIAL SERVICES, INC COMMON STOCK |
0x23f6Ec82e6f0315814f89De2c29968bdD08d1718 |
500 |
PFSI |
PENNYMAC FINANCIAL SERVICES, INC. COMMON STOCK |
0x8A4c01253988BaE6dA71F3f446f2DA799C1485CF |
500 |
PG |
PROCTER & GAMBLE COMPANY (THE) COMMON STOCK |
0x0754FDB468620B334d597591B64B87ccAC83F7EB |
500 |
PGP |
PIMCO GLOBAL STOCKSPLUS & INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x3c4E7A09C9A4E2DA25CC322d90F3ea456fD6E647 |
500 |
PGR |
PROGRESSIVE CORPORATION (THE) COMMON STOCK |
0xCf85bE105643D4503B9d896ec8bc0A446b5D9FCd |
500 |
PGRE |
PARAMOUNT GROUP, INC. COMMON STOCK |
0x397392Ba88D073fF6E55797F09e3c8617c9D9cA1 |
500 |
PGZ |
PRINCIPAL REAL ESTATE INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x0672ED73Ac3B36216BB31F3d6166308Cc386Fb6C |
500 |
PH |
PARKER |
0x2C320d52Fbe604B0a41335A40E7976c28A14d871 |
500 |
PHD |
PIONEER FLOATING RATE FUND, INC. |
0xC94b3Ac06983484697DD76592AE8C7110472Dbd0 |
500 |
PHG |
KONINKLIJKE PHILIPS N.V. NY REGISTRY SHARES |
0x1580Af6D9d46F736D98E639ad3C33a82f17D2668 |
500 |
PHI |
PLDT INC. SPONSORED ADR |
0xcC89EF094439ecCe784e657216f8665c5f825c52 |
500 |
PHIN |
PHINIA INC. COMMON STOCK |
0x27f5aAc7cb184364C0Bc762041B1eCB293D19a95 |
500 |
PHK |
PIMCO HIGH INCOME FUND |
0xbA55e2fdBc571C03eC41f005ab349564aA2Da612 |
500 |
PHM |
PULTEGROUP, INC. COMMON STOCK |
0x24B0D38936C02a547cc161001b781A1E05EdD91a |
500 |
PHR |
PHREESIA, INC. COMMON STOCK |
0x2aF40aEb26C2b1c05F2F2cfd5706f268133e63b1 |
500 |
PHT |
PIONEER HIGH INCOME FUND, INC. |
0x40783C3fB1ebfEbFa0c0AF264602357c7b01DDDD |
500 |
PII |
POLARIS INC. COMMON STOCK |
0xA5913a0e8371Ad3391340f045844fCAC040dF051 |
500 |
PIM |
PUTNAM MASTER INTERMEDIATE INCOME TRUST COMMON STOCK |
0x61d6954EDF768dD8d887DaA1ade5E5F3C3dc9c5E |
500 |
PINE |
ALPINE INCOME PROPERTY TRUST, INC. COMMON STOCK |
0x9c347EE69D21e868630FE5C18c45B18CAfea1087 |
500 |
PINS |
PINTEREST, INC. CLASS A COMMON STOCK |
0x2Ff9052ee82069A2906315bdCb466EC4EB65E664 |
500 |
PIPR |
PIPER SANDLER COMPANIES COMMON STOCK |
0xC1565DAE5577BF48Bb15753Cfb5950cEC820c5ca |
500 |
PJT |
PJT PARTNERS INC. CLASS A COMMON STOCK |
0x3e98297Bc064097A1cF31131174DD891DAf9028B |
500 |
PK |
PARK HOTELS & RESORTS INC. COMMON STOCK |
0x6da1B5C93fB177E5e3Ca6e3AF266dEBc4D2df2A6 |
500 |
PKE |
PARK AEROSPACE CORP. COMMON STOCK |
0x90aDcb91AA1f41c6A5efC8fB975395bBa8e22afA |
500 |
PKG |
PACKAGING CORPORATION OF AMERICA COMMON STOCK |
0xfF61d4d8301F8722984bb295d9F63eeea5c55A75 |
500 |
PKST |
PEAKSTONE REALTY TRUST COMMON SHARES |
0xD1837f11c1061497691C9ce0edECf884FC6cEc9D |
500 |
PKX |
POSCO HOLDINGS INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1/4TH OF A SHARE OF COMMON STOCK) |
0xd594b228620eC9BeaC17892A547d40e924a3633e |
500 |
PL |
PLANET LABS PBC CLASS A COMMON STOCK |
0x46EC3dC6Cb47a9e1AEa904A720DecA82262ee546 |
500 |
PL.W |
PLANET LABS PBC REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK, EACH AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x5E9596d54935645FD1F1E668a646d90810c5b307 |
500 |
PLD |
PROLOGIS, INC. COMMON STOCK |
0xEdc8C68a72E522591Ee610BEa65063269881Fb87 |
500 |
PLNT |
PLANET FITNESS, INC. COMMON STOCK |
0x3683b4e24B71E97e3C1624B82719426004cD9215 |
500 |
PLOW |
DOUGLAS DYNAMICS, INC. COMMON STOCK |
0x3E0acBC901c4ae4246762ED46a8D77B4C5378508 |
500 |
PLYM |
PLYMOUTH INDUSTRIAL REIT, INC. COMMON STOCK |
0xf11f536E9F4Bdeb3D40656D6A103FEC75491bDc6 |
500 |
PM |
PHILIP MORRIS INTERNATIONAL INC COMMON STOCK |
0xD5617f9Dc557c3Dc2513fCC52342f324d82CcbF7 |
500 |
PMF |
PIMCO MUNICIPAL INCOME FUND COMMON STOCK |
0xD1B341A4da68fB632Baf5248A31E56AEe2bB5977 |
500 |
PML |
PIMCO MUNICIPAL INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST |
0x7118649469B8DE86853ec481a2CffABe9B3eD1f9 |
500 |
PMM |
PUTNAM MANAGED MUNICIPAL INCOME TRUST COMMON STOCK |
0x5dC79F2B59cF5Cdf1D71dB06Fbfa98f520dD6838 |
500 |
PMO |
PUTNAM MUNICIPAL OPPORTUNITIES TRUST COMMON STOCK |
0xFafF43327c088C2cbE18B492370540f80813E0A3 |
500 |
PMT |
PENNYMAC MORTGAGE INVESTMENT TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xD039a10E51f58CAfDf3003481C9980f2BE0927C9 |
500 |
PMT$A |
PENNYMAC MORTGAGE INVESTMENT TRUST 8.125% SERIES A FIXED |
0x55D9534922Ca8d51d7CE338A5d9DD4363FC167A2 |
500 |
PMT$B |
PENNYMAC MORTGAGE INVESTMENT TRUST 8.00% SERIES B FIXED |
0xb85D7E35cBcC025712021891Dd587F2e68FdB673 |
500 |
PMT$C |
PENNYMAC MORTGAGE INVESTMENT TRUST 6.75% SERIES C CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x810fb0196e856DD10f2D9c8BE7eA8e30b5e083F6 |
500 |
PMTU |
PENNYMAC MORTGAGE INVESTMENT TRUST 8.50% SENIOR NOTES DUE 2028 |
0x2A260656F594d4F234e38F1e96AAE070d9ED0DA8 |
500 |
PMTV |
PENNYMAC MORTGAGE INVESTMENT TRUST 9.00% SENIOR NOTES DUE 2030 |
0xC56C9369063A2B9676ADFddFA74c5C1Bd63227d9 |
500 |
PMTW |
PENNYMAC MORTGAGE INVESTMENT TRUST 9.00% SENIOR NOTES DUE 2030 |
0x76931a23C4e8AbCd01e3bA13ff00523C8cccA7be |
500 |
PMX |
PIMCO MUNICIPAL INCOME FUND III COMMON SHARES OF BENEFICIAL INTEREST |
0x301e6F58b145ba9a3A635E186aC82ED4BFAAb19e |
500 |
PNC |
PNC FINANCIAL SERVICES GROUP, INC. (THE) COMMON STOCK |
0xF21c14c8EA58aB93a2A0f8756FA1955B3DD891D0 |
500 |
PNF |
PIMCO NEW YORK MUNICIPAL INCOME FUND COMMON STOCK |
0x5De0D65Fe6Bf672cA4935c5Abd9B0b43E42d9f05 |
500 |
PNI |
PIMCO NEW YORK MUNICIPAL INCOME FUND II COMMON SHARES OF BENEFICIAL INTEREST |
0x7aE32814d326d9eb7cB17aBbF3192be7861789B1 |
500 |
PNNT |
PENNANTPARK INVESTMENT CORPORATION COMMON STOCK |
0x1162A347B3333391aFB2cbE2C6dBD89f8d488232 |
500 |
PNR |
PENTAIR PLC. ORDINARY SHARE |
0x4655134128CB209191083BF0cF45E3937550D378 |
500 |
PNW |
PINNACLE WEST CAPITAL CORPORATION COMMON STOCK |
0xe1D7516D5F2Ae3799b21a3E45b242D4f50D0e89E |
500 |
POR |
PORTLAND GENERAL ELECTRIC CO COMMON STOCK |
0xbDdB5588fd8C48a1bfa9805bA1AD26bEf55FC4c7 |
500 |
POST |
POST HOLDINGS, INC. COMMON STOCK |
0x5731C5257c26A03D1E326c5Aa1368b1D389cDE17 |
500 |
PPG |
PPG INDUSTRIES, INC. COMMON STOCK |
0x0E84c05b87c80bB39D13aB18296ca30c7fFa80Bc |
500 |
PPL |
PPL CORPORATION COMMON STOCK |
0xa00f4434f818d5d5B24d2451AB4Ca9ab0528dA6f |
500 |
PPT |
PUTNAM PREMIER INCOME TRUST COMMON STOCK |
0x45334A73A1dB65e55Ef5eEd3c1A7874328C8662D |
500 |
PR |
PERMIAN RESOURCES CORPORATION CLASS A COMMON STOCK |
0x12da09553401969b40bFf9579785d5169aD39856 |
500 |
PRA |
PROASSURANCE CORPORATION COMMON STOCK |
0xf960B2Dc0650579eF82fAe905a4Dc4B85749aFd7 |
500 |
PRCS |
PARNASSUS INCOME FUNDS PARNASSUS CORE SELECT ETF |
0xa106746d561040a1f9AD6f5FA45E72EDe8a8EBd6 |
500 |
PRG |
PROG HOLDINGS, INC. COMMON STOCK |
0x0Cf437E0Ac15FF1DA28CA4a2F72DEd3195e42c3d |
500 |
PRGO |
PERRIGO COMPANY PLC ORDINARY SHARES |
0xDd107B8c7f4E96bcBe4F09D3cf42f1C6688F92d7 |
500 |
PRH |
PRUDENTIAL FINANCIAL, INC. 5.950% JUNIOR SUBORDINATED NOTES DUE 2062 |
0xDB88f491B7bC1f3dB8550f75165C59375Ae201BF |
500 |
PRI |
PRIMERICA, INC. COMMON STOCK |
0x81a68C23773b56Df7c0acE9a61347DB226aB8e53 |
500 |
PRIF$D |
PRIORITY INCOME FUND, INC. 7.00% SERIES D TERM PREFERRED STOCK DUE 2029 |
0x00a0eF5D937F4e6953E189C9019f01c4d7eaBeFE |
500 |
PRIF$I |
PRIORITY INCOME FUND, INC. 6.125% SERIES I TERM PREFERRED STOCK DUE 2028 |
0x9d60706B3148F9a79DA294d26E0Ffd420d19E052 |
500 |
PRIF$J |
PRIORITY INCOME FUND, INC. 6.000% SERIES J TERM PREFERRED STOCK DUE 2028 |
0xb7cAEd31301A9508dd91BD96CAa30466053f2f7c |
500 |
PRIF$K |
PRIORITY INCOME FUND, INC. 7.000% SERIES K CUMULATIVE PREFERRED STOCK |
0xA7EA40b683D366A01f2A4310309DA7E3d8891d27 |
500 |
PRIF$L |
PRIORITY INCOME FUND, INC. 6.375% SERIES L TERM PREFERRED STOCK DUE 2029 |
0x540E2eFcB98FfeaFA94c0F2F114681aecc585826 |
500 |
PRIM |
PRIMORIS SERVICES CORPORATION COMMON STOCK |
0x8B6A2F725A602d0261Ca3172321E15dDb62933EF |
500 |
PRKS |
UNITED PARKS & RESORTS INC. COMMON STOCK |
0xf61D701058D5A88D62B166ba32203A08d2E7f109 |
500 |
PRLB |
PROTO LABS, INC. COMMON STOCK |
0x4Af842F4F9eFaDe1373fc10259c1bACa92B29c81 |
500 |
PRM |
PERIMETER SOLUTIONS, SA COMMON STOCK |
0x9C656791088bAbfbF18c69E04F630c1A409bA3AB |
500 |
PRMB |
PRIMO BRANDS CORPORATION CLASS A COMMON STOCK |
0x40965D62c9Fd171404DdB02A03aaA5Ccd115A636 |
500 |
PRO |
PROS HOLDINGS, INC. COMMON STOCK |
0xa06CEc30979E41B09d00616EBF88c32Ab5FA4842 |
500 |
PRS |
PRUDENTIAL FINANCIAL, INC. 5.625% JUNIOR SUBORDINATED NOTES DUE 2058 |
0xb427b193285c2f41c73be6c6AFb1913fb895b70d |
500 |
PRSU |
PURSUIT ATTRACTIONS AND HOSPITALITY, INC. COMMON STOCK |
0x21bc00d06c99875A13052C977d7F3493A6cEB2a7 |
500 |
PRT |
PERMROCK ROYALTY TRUST TRUST UNITS |
0x16e5E2B837B400057c5bd3f76f2daB7fdbdDf7Ab |
500 |
PRU |
PRUDENTIAL FINANCIAL, INC. COMMON STOCK |
0xF6B499376A66C38E0D7dd54Eacf2436f96691869 |
500 |
PRVS |
PARNASSUS INCOME FUNDS PARNASSUS VALUE SELECT ETF |
0x7beDCC0D1B73Bbce6C6bC4790584906D19F73BC6 |
500 |
PSA |
PUBLIC STORAGE COMMON STOCK |
0x6d7DB023C1558cDc65819ea34B7C4196b0A6C790 |
500 |
PSA$F |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 5.15% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES F, PAR VALUE $0.01 PER SHARE |
0x7f7eb356Dc5E1299480CE7b7A58c067E4CEE2E1C |
500 |
PSA$G |
PUBLIC STORAGE DEPOSITARY SHARES, EACH REPRESENTING 1/1,000 OF A 5.05% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES G |
0x7857a82658777939bE60F9d91474A2B762FC9c39 |
500 |
PSA$H |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 5.60% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES H |
0xd78caD2F020fF8DCa9c0AE515e0fCaF087c085F2 |
500 |
PSA$I |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.875% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES I, PAR VALUE $0.01 PER SHARE |
0x639132db037ce02F9bEB84093B98031a7D60d43F |
500 |
PSA$J |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.700% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES J, PAR VALUE $0.01 PER SHARE |
0x9D3F6E0Ab1811911CD7F863FaBea2CA3Be7C1B40 |
500 |
PSA$K |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.75% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES K |
0xAfb26D667D99B870E8b43873613f032d55552389 |
500 |
PSA$L |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.625% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES L, PAR VALUE $0.01 PER SHARE |
0xd3BEC7229dA49af5B5d1FdaeaF444F47E3aa13B9 |
500 |
PSA$M |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.125% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES M |
0xA47562083B921727E8F68c3b19f30bc60EA0f3ab |
500 |
PSA$N |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 3.875% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES N |
0x90Fc30d445F1425475df5d69144e2132DC368166 |
500 |
PSA$O |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 3.900% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES O |
0x1739021F190e0a1e7A63010b3c3D12D1D1B75706 |
500 |
PSA$P |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.000% CUMULATIVE PREFERRED SHARE OF BENE CIAL INTEREST, SERIES P |
0xe647373077F71B92f84ef2AE7d342E1c67B1f5c2 |
500 |
PSA$Q |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 3.950% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES Q, PAR VALUE $0.01 PER SHARE |
0xE2839ab1fef68b36beCaB08c916C2112E4b9E27c |
500 |
PSA$R |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.00% CUMULATIVE PREFERRED SHARE OF BENE CIAL INTEREST, SERIES R |
0x89D2e72696b7DC7589E827943599EA07B026630B |
500 |
PSA$S |
PUBLIC STORAGE DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A 4.100% CUMULATIVE PREFERRED SHARE OF BENEFICIAL INTEREST, SERIES S |
0x98415F22542bdcF8eF2F57097e0E33CC87370054 |
500 |
PSBD |
PALMER SQUARE CAPITAL BDC INC. COMMON STOCK |
0x5697D564D90DE1a2862E8a20385007d126EDbe44 |
500 |
PSEC$A |
PROSPECT CAPITAL CORPORATION 5.35% SERIES A FIXED RATE CUMULATIVE PERPETUAL PREFERRED STOCK |
0x6f5a403B4021Bc7Ae517dD10b616cE25BC312EAd |
500 |
PSF |
COHEN & STEERS SELECT PREFERRED AND INCOME FUND, INC. COMMON STOCK |
0xCB00c44601eEF39A5A288dC66CaE34E5eE5eaEa1 |
500 |
PSFE |
PAYSAFE LIMITED COMMON SHARES |
0xb7D5DdE11626C85f8dF2960c1cCc410644FF03Bc |
500 |
PSFE.W |
PAYSAFE LIMITED WARRANTS, EXERCISABLE FOR ONE COMMON SHARE OF PAYSAFE LIMITED AT A PRICE OF $11.50 PER SHARE |
0x9A137181b8627feFf280Faa82313062ddD333b8C |
500 |
PSN |
PARSONS CORPORATION COMMON STOCK |
0x98e6B0280FD4C06F8994f75a0C3f0DeeE1eaD52f |
500 |
PSO |
PEARSON, PLC COMMON STOCK |
0xec53b5dcdC0F1673285C18B27D38773DF089e019 |
500 |
PSQH |
PSQ HOLDINGS, INC. CLASS A COMMON STOCK |
0xB8890592F629c35F1C8419A5FA2Ca6097a74524d |
500 |
PSQH.W |
PSQ HOLDINGS, INC. WARRANTS, EACH EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x6f1d0f47d14492ec5e7C0C77E87f355a1D8FA045 |
500 |
PSTG |
PURE STORAGE, INC. CLASS A COMMON STOCK |
0xA6dF192AB070caf400E35F26E333Ef20BfEa397B |
500 |
PSTL |
POSTAL REALTY TRUST, INC. CLASS A COMMON STOCK |
0x6A38Fe4bcB67A2D5f98b686D3986d3d1DA450419 |
500 |
PSX |
PHILLIPS 66 COMMON STOCK |
0x144D5C0D49C11e83dEe9bBc607A033196330cf63 |
500 |
PTA |
COHEN & STEERS TAX |
0xae4a57b027fD9d4669A15e106D929ba517Fa34e2 |
500 |
PTY |
PIMCO CORPORATE & INCOME OPPORTUNITY FUND |
0x627A2b915253d0C2F91eb8e652FAE6b23712cf5D |
500 |
PUK |
PRUDENTIAL PUBLIC LIMITED COMPANY COMMON STOCK |
0x59ba20e3e3f72B84A2e6606aB8d2eAE66F9B492f |
500 |
PUMP |
PROPETRO HOLDING CORP. COMMON STOCK |
0xa3bfd3E7C8A5329f64925c45DF5142cc8675BEfa |
500 |
PVH |
PVH CORP. COMMON STOCK |
0xBD8357Cc3A68d607F590997bF173f9BBE0428AD1 |
500 |
PVL |
PERMIANVILLE ROYALTY TRUST TRUST UNITS |
0x6A7aBF4EAf854C891F71Dc48075832641866A061 |
500 |
PWR |
QUANTA SERVICES, INC. COMMON STOCK |
0xb2Bb1606465D535e248615997aBd072f259606a9 |
500 |
PX |
P10, INC. CLASS A COMMON STOCK |
0x7f20DaC3C9eaF38B2Dec1078F765Bd260CA80C5d |
500 |
PYN |
PIMCO NEW YORK MUNICIPAL INCOME FUND III COMMON SHARES OF BENEFICIAL INTEREST |
0xB7e78EE031aaca75abc2727FeC2685066ec54357 |
500 |
PYT |
PPLUS TR GSC |
0x9A384a84958f641FfA93be943d343c80d879f18f |
500 |
PZC |
PIMCO CALIFORNIA MUNICIPAL INCOME FUND III COMMON SHARES OF BENEFICIAL INTEREST |
0xB5cE6D333D3811176C999930fc277579FAFf52A9 |
500 |
QBTS |
D |
0x65CC611d2409983C94E1df2d1457C59de561a4f5 |
500 |
QBTS.W |
D |
0x76817A9E19fBACad392e93441Aa1356f450aA379 |
500 |
QD |
QUDIAN INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0x15369A8C6D41e2180443a15A279D8F73F9E29dF3 |
500 |
QGEN |
QIAGEN N.V. COMMON SHARES |
0xFC64d5762924f70C529c06CE80F50A4ea8abe819 |
500 |
QS |
QUANTUMSCAPE CORPORATION CLASS A COMMON STOCK |
0x83aDcBd5970972E9B45fDaddCB3C4869B786286d |
500 |
QSR |
RESTAURANT BRANDS INTERNATIONAL INC. COMMON SHARES |
0xD0d1F5A7272B2Fd18a9650B3c6e1Ba70971e3255 |
500 |
QTWO |
Q2 HOLDINGS, INC. COMMON STOCK |
0xAAD7541Cee921599B379605d370d1338B97b98e8 |
500 |
QUAD |
QUAD GRAPHICS, INC CLASS A COMMON STOCK |
0xcbC4A19885BD79D097E70Bb2F8072EeC3de42674 |
500 |
QVCC |
QVC, INC. 6.250% SENIOR SECURED NOTES DUE 2068 |
0xEb7A87d3de1109Ed6DB1311B2bd81c159152b677 |
500 |
QVCD |
QVC, INC. 6.375% SENIOR SECURED NOTES DUE 2067 |
0xEc401397857DC66b887685568Cf679Cf12663146 |
500 |
QXO |
QXO, INC. COMMON STOCK |
0xdb6011b94f68f9aAE44b2a209CD90Bb69730ac8B |
500 |
QXO$B |
QXO, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/20TH INTEREST IN A SHARE OF 5.50% SERIES B MANDATORY CONVERTIBLE PREFERRED STOCK |
0xdc55dA0903df4B6019610D164B0Cd5F6618F4545 |
500 |
R |
RYDER SYSTEM, INC. COMMON STOCK |
0xaaDFE4dfBeFF488a840328E22dC0af6F064429D7 |
500 |
RA |
BROOKFIELD REAL ASSETS INCOME FUND INC. COMMON STOCK |
0x7ea043168b8dDDCC506E0750Cee771a2771b5510 |
500 |
RAC |
RITHM ACQUISITION CORP. CLASS A ORDINARY SHARES |
0xec2E1Df8D243693e645ef353064E1a8e353B3bF3 |
500 |
RAC.U |
RITHM ACQUISITION CORP. UNITS (EACH CONSISTS OF ONE CLASS A ORDINARY SHARE AND ONE |
0x4644a6170acfD9360454063Ab3bd943a8A03132C |
500 |
RAC.W |
RITHM ACQUISITION CORP. REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 |
0xBE02D19FC11004582bf56d5e558089D98c6A70E5 |
500 |
RACE |
FERRARI N.V. COMMON SHARES |
0xa13645a3c0d61e98844813720a6002d9efeb2a29 |
500 |
RAL.V |
RALLIANT CORPORATION COMMON STOCK WHEN |
0x7F298297a2c9a63A9855dCCf5f85f59B2a1a3Cd6 |
500 |
RAMP |
LIVERAMP HOLDINGS, INC. COMMON STOCK |
0x8Ad2Fc29506ED7F236b792768f4676d6fCb80544 |
500 |
RBA |
RB GLOBAL, INC. COMMON STOCK |
0xc73c51e604Ac29B6A849E73dD38B4D3a728A7186 |
500 |
RBC |
RBC BEARINGS INCORPORATED COMMON STOCK |
0xBe9B64F1aD8916a00cFf31861f6181DB0D172331 |
500 |
RBLX |
ROBLOX CORPORATION CLASS A COMMON STOCK |
0x3eC78e8123444D2D6f7ee121643f7EaEd616B1B3 |
500 |
RBOT |
VICARIOUS SURGICAL INC. CLASS A COMMON STOCK |
0x78bA648CEE5B1C054B94c097b3F6BF0bC35E17B6 |
500 |
RBOT.W |
VICARIOUS SURGICAL INC. WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x7A26bE03752b4474706cBB4B7Eab59c2871edb4F |
500 |
RBRK |
RUBRIK, INC. CLASS A COMMON STOCK |
0xFB15DE916e4161B758e771BceF2897Edb6F322A7 |
500 |
RC |
READY CAPITAL CORPORATION COMMON STOCK |
0x1796b71A04492815696dcDBe1f6fb57AC54d8C92 |
500 |
RC$C |
READY CAPITAL CORPORATION 6.25% SERIES C CUMULATIVE CONVERTIBLE PREFERRED STOCK |
0x3BB571f907c30fB2e8dC5276004D44f67c6FdD30 |
500 |
RC$E |
READY CAPITAL CORPORATION 6.50% SERIES E CUMULATIVE REDEEMABLE PREFERRED STOCK |
0x999377dCcebA12ECf44d244E61EFE661BB2fB176 |
500 |
RCB |
READY CAPITAL CORPORATION 6.20% SENIOR NOTES DUE 2026 |
0xDFC4FA406952494e1815f58f16C7B07A79e4Ab7f |
500 |
RCC |
READY CAPITAL CORPORATION 5.75% SENIOR NOTES DUE 2026 |
0x38349A2aA188DA618eEF22adB84Fb1478C802903 |
500 |
RCD |
READY CAPITAL CORPORATION 9.00% SENIOR NOTES DUE 2029 |
0xa953CAF9AbF4cB05a573d75AD9c578E05CB1A2fE |
500 |
RCI |
ROGERS COMMUNICATION, INC. COMMON STOCK |
0x827C5E75df1B2dB1Ab03444EAB4Cd075F4c2458C |
500 |
RCL |
ROYAL CARIBBEAN CRUISES LTD. COMMON STOCK |
0x3928fe3143f65154baba8836Af5F59715A68a6aE |
500 |
RCS |
PIMCO STRATEGIC INCOME FUND, INC. |
0x8b8eAf5544bfd0f118c01af73b29d905d8d6CeC9 |
500 |
RCUS |
ARCUS BIOSCIENCES, INC. COMMON STOCK |
0xC7C12b90B67Ce57008F0636E98bdC696eCe8C3ab |
500 |
RDDT |
REDDIT, INC. CLASS A COMMON STOCK |
0x41018E6766eef3164c6d60220bf948012CA868fB |
500 |
RDN |
RADIAN GROUP INC. COMMON STOCK |
0x7aB776416D422133161BE6692699E0c8Df25BF3D |
500 |
RDW |
REDWIRE CORPORATION COMMON STOCK |
0xbea8c78C033adbeaf1e6Cc1615aFc992aad62880 |
500 |
RDY |
DR. REDDY'S LABORATORIES LTD COMMON STOCK |
0xf5BBd1Cd77a068FfD3CA56aBa1BBCD22e3311b62 |
500 |
RELX |
RELX PLC PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE ORDINARY SHARE) |
0x66d33fEBA1f1Ea94b4106485e0939b64A2E90CEB |
500 |
RERE |
ATRENEW INC. AMERICAN DEPOSITARY SHARES (EVERY THREE OF WHICH REPRESENTING TWO CLASS A ORDINARY SHARES) |
0xdEA54Fa0f6EE489348dFFFa49fC1f38978714F48 |
500 |
RES |
RPC, INC. COMMON STOCK |
0x00967695B6706417a5f0232e891B2c80932e7cd7 |
500 |
REVG |
REV GROUP, INC. COMMON STOCK |
0x31313B33EF489BBe5dd407f57D0AFee4C35CB278 |
500 |
REX |
REX AMERICAN RESOURCES CORPORATION |
0x2Fec6BeB9Ae9bA5d0d0dB9636172dF77d51e3bc8 |
500 |
REXR |
REXFORD INDUSTRIAL REALTY, INC. COMMON STOCK |
0xfC17f05a21e2D5D59Dd998C871240F727c479ce6 |
500 |
REXR$B |
REXFORD INDUSTRIAL REALTY, INC. 5.875% SERIES B CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xC22819629f85e51092ff1E38415bE9C2eCa66840 |
500 |
REXR$C |
REXFORD INDUSTRIAL REALTY, INC. 5.625% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK, PAR VALUE $0.01 PER SHARE |
0x1EE7a40605b9de944BDE11ADD693115D564A6Aa6 |
500 |
REZI |
RESIDEO TECHNOLOGIES, INC. COMMON STOCK |
0x62a8ca76Ab0d20578F642460a483a1226a2F8Ebc |
500 |
RF |
REGIONS FINANCIAL CORPORATION COMMON STOCK |
0x019175c7d49B644ec5e9DeE16d86cbD692af639B |
500 |
RF$C |
REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.700% FIXED |
0xb4da30a809c18000d9279033f03EB99138f52229 |
500 |
RF$E |
REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 4.45% NON |
0x56bc26f3d7CA71Ae0f8964AFC0eCC233186c5B02 |
500 |
RF$F |
REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF NON |
0x79d18BdcaBfE66739555daB455a8F3d131f43Ffc |
500 |
RFI |
COHEN & STEERS TOTAL RETURN REALTY FUND, INC. COMMON STOCK |
0x5a432169542FCc6072f0eE4B8F5Ac9616779Bd71 |
500 |
RFL |
RAFAEL HOLDINGS, INC. CLASS B COMMON STOCK |
0x1d698fc648eAADe305F049E3b4ecFCFd2D8449e7 |
500 |
RFL.W |
RAFAEL HOLDINGS, INC. WARRANTS TO PURCHASE SHARES OF CLASS B COMMON STOCK |
0xE6e7AAE95dDeBe9bBe32BdFBd49506b4D67374C3 |
500 |
RFM |
RIVERNORTH FLEXIBLE MUNICIPAL INCOME FUND, INC. COMMON STOCK |
0xBA4199eC41385e0B1b7A0961d2bb391B3557D056 |
500 |
RFMZ |
RIVERNORTH FLEXIBLE MUNICIPAL INCOME FUND II, INC. COMMON STOCK |
0x78d61dce437e97d5E1017DC6Fed6884402A539FB |
500 |
RGA |
REINSURANCE GROUP OF AMERICA, INCORPORATED COMMON STOCK |
0x394fB9dca8a109e09A699Cc272247100a93D8951 |
500 |
RGR |
STURM, RUGER & COMPANY, INC. COMMON STOCK |
0xb3933EE5832704aA00F2615800620E4B1f1eb795 |
500 |
RGT |
ROYCE GLOBAL TRUST, INC. COMMON STOCK |
0x432C3ddF2054a05d0AdE204cF0A395aa478C30E5 |
500 |
RH |
RH COMMON STOCK |
0x5312D05e0C3C4DD96bFCA639d46CB576f24AA1C7 |
500 |
RHI |
ROBERT HALF INC. COMMON STOCK |
0xf5b2e8830B671f03C5E14335a5a153038f642F92 |
500 |
RHP |
RYMAN HOSPITALITY PROPERTIES, INC. (REIT) |
0x0Df158eEa20dF5c125C9A1D96A1d08193e87f9e8 |
500 |
RIG |
TRANSOCEAN LTD (SWITZERLAND) COMMON STOCK |
0x08eFd926AF532cE9345A88C1375E1672D22e9977 |
500 |
RIO |
RIO TINTO PLC COMMON STOCK |
0xBe8B93da2C77164557572971B2c704d01D8Bbc30 |
500 |
RITM |
RITHM CAPITAL CORP. COMMON STOCK |
0x2680d2552c97be2d3e6E4f1011E5976f9531B7c8 |
500 |
RITM$A |
RITHM CAPITAL CORP. 7.50% SERIES A FIXED |
0xFB35Cf9C3a113AD71961f0a48091C3CE27f2cf67 |
500 |
RITM$B |
RITHM CAPITAL CORP. 7.125% SERIES B FIXED |
0xFb8689fC8b590B69B160132213b215D401e7a501 |
500 |
RITM$C |
RITHM CAPITAL CORP. 6.375% SERIES C FIXED |
0xc90b7ec64b1D3e3dE273705666Cb22Eb61C7bDbE |
500 |
RITM$D |
RITHM CAPITAL CORP. 7.00% FIXED |
0xbD24D929bc99409796B7F94613C8E79370B1af2C |
500 |
RIV |
RIVERNORTH OPPORTUNITIES FUND, INC. COMMON STOCK |
0x5e492f8813066A9b4a540c3F56798463C9478b97 |
500 |
RIV$A |
RIVERNORTH OPPORTUNITIES FUND, INC. 6.00% SERIES A PERPETUAL PREFERRED STOCK |
0x4CeC68e8b9406570E3d266EEF6f8601c2e83E399 |
500 |
RJF |
RAYMOND JAMES FINANCIAL, INC. COMMON STOCK |
0x5B3f44762A80c9F0a10439DF3AB8E600588205E9 |
500 |
RJF$B |
RAYMOND JAMES FINANCIAL, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 6.375% FIXED |
0x49C6278D2921016b6831DDFBC8C826F61835b9b3 |
500 |
RKT |
ROCKET COMPANIES, INC. CLASS A COMMON STOCK |
0x14243DA9742D2C116e97580f15Fa5e4997aD02D4 |
500 |
RL |
RALPH LAUREN CORPORATION COMMON STOCK |
0xd82199FeE8301D8101eff802f5d2c06268E70576 |
500 |
RLI |
RLI CORP. COMMON STOCK (DE) |
0x12BF1298B090E25EBD2b2aDE087571ac7D71F42c |
500 |
RLJ |
RLJ LODGING TRUST COMMON SHARES OF BENEFICIAL INTEREST $0.01 PAR VALUE |
0xaB1d8c277146f7F369518fbBEEa5F6b3eb0EE5Ab |
500 |
RLJ$A |
RLJ LODGING TRUST $1.95 SERIES A CUMULATIVE CONVERTIBLE PREFERRED SHARES |
0x19ca61DA3cd0Af52bB8d49c9231051c880854839 |
500 |
RLTY |
COHEN & STEERS REAL ESTATE OPPORTUNITIES AND INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x9FB8c1a57e59C5D3Cb54273D8A1274aEbB7574EA |
500 |
RLX |
RLX TECHNOLOGY INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING THE RIGHT TO RECEIVE ONE (1) CLASS A ORDINARY SHARE |
0xEBFDD2F8D3C76333926E8b99cBd8Ce0BDABD6b85 |
500 |
RM |
REGIONAL MANAGEMENT CORP. COMMON STOCK |
0xF741d6872DEE71A814A3dBC0eAe9e83B93D3FFF1 |
500 |
RMAX |
RE/MAX HOLDINGS, INC. CLASS A COMMON STOCK |
0x17a8E9A7474Bc957193E638a0d73700fEFf87BD5 |
500 |
RMD |
RESMED INC. COMMON STOCK |
0x9d364ab1B218ce58D700b1b7AEE4806D263c4a1D |
500 |
RMI |
RIVERNORTH OPPORTUNISTIC MUNICIPAL INCOME FUND, INC. COMMON STOCK |
0x031B3D368BCF76760C6B63B0AceF83b8dd32EA09 |
500 |
RMM |
RIVERNORTH MANAGED DURATION MUNICIPAL INCOME FUND, INC. COMMON STOCK |
0x5fc061A554c9f763C6d150cA195357757Fb586Bd |
500 |
RMMZ |
RIVERNORTH MANAGED DURATION MUNICIPAL INCOME FUND II, INC. COMMON STOCK |
0x5847D2B9F44a823c94fB132a8c826c353A0B9897 |
500 |
RMT |
ROYCE MICRO |
0x68257e93C5CB0708493FFB06280541389Fe9DB74 |
500 |
RNG |
RINGCENTRAL, INC. CLASS A COMMON STOCK |
0x22f467D9bE0D8ff1139916da457BCb82C99599aA |
500 |
RNGR |
RANGER ENERGY SERVICES, INC. CLASS A COMMON STOCK |
0x576A99a716664364A7934B31Bf189A03876569e7 |
500 |
RNP |
COHEN & STEERS REIT AND PREFERRED AND INCOME FUND, INC. COMMON SHARES |
0x1045777D3721b37B308C2F3b048B67178b6C8097 |
500 |
RNR |
RENAISSANCERE HOLDINGS LTD. COMMON STOCK |
0xe24B7Ee158E30D905aa3B7c74d468cA02FaaF7B1 |
500 |
RNR$F |
RENAISSANCERE HOLDINGS LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 5.750% SERIES F PREFERENCE SHARE |
0x41F4C6f6A5e34a7F95f0E3ae33D09ea30f08b843 |
500 |
RNR$G |
RENAISSANCERE HOLDINGS LTD. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 4.20% SERIES G PREFERENCE SHARES |
0x4F5c6C2A261d0c6F2aa5E57EDe3EB6618e2642FB |
500 |
RNST |
RENASANT CORPORATION COMMON STOCK |
0x2fB177b31AaC7347a843AeABca74058D45F9C913 |
500 |
ROG |
ROGERS CORPORATION COMMON STOCK |
0xC6d6E57bfaC52A623953C43B61048901BfA848a9 |
500 |
ROK |
ROCKWELL AUTOMATION, INC. COMMON STOCK |
0x66C73357C23cF9c83879E88f915a66816CE8c48d |
500 |
ROL |
ROLLINS, INC. COMMON STOCK |
0xCc6dAf4100a3722C89dFb6c59FCA16282bEd7375 |
500 |
RPM |
RPM INTERNATIONAL INC. COMMON STOCK |
0xBb60F7056A3Ee1e045f38Fea7Bd7f07c4B468f07 |
500 |
RPT |
RITHM PROPERTY TRUST INC. COMMON STOCK |
0x324DFCEA5D38Bb20Fb6Cf283CC9FD75bA0AC8e03 |
500 |
RPT$C |
RITHM PROPERTY TRUST INC. 9.875% SERIES C FIXED |
0x9c3A2cbf2fd6570679e31fd6dA9108f67F69c8DD |
500 |
RQI |
COHEN & STEERS QUALITY INCOME REALTY FUND INC COMMON SHARES |
0x1e8F1F2963FD55688C35d62A7d99e5568Ca31436 |
500 |
RRC |
RANGE RESOURCES CORPORATION COMMON STOCK |
0xBd2668e427ffC7953691d491a276865092716BAA |
500 |
RRX |
REGAL REXNORD CORPORATION COMMON STOCK |
0x8e4bF6cA6bC66Cb044F2F43E4A0068EBC56f2EC1 |
500 |
RS |
RELIANCE, INC. COMMON STOCK |
0x7f2f90a7B02d2542cC81dEe8b9308A14dF970B14 |
500 |
RSF |
RIVERNORTH CAPITAL AND INCOME FUND COMMON STOCK |
0x6715b53E10EF74f0FDe14F8E2186D9306AAabB23 |
500 |
RSF.R |
RIVERNORTH CAPITAL AND INCOME FUND RIGHTS (EXPIRING JULY 07, 2025) RIGHTS |
0x4540451b6C84B169C238Db54dF290462f2e8Ba80 |
500 |
RSG |
REPUBLIC SERVICES, INC. COMMON STOCK |
0x42E01768D370EBb25c0b55F75bC699c25d0E31db |
500 |
RSI |
RUSH STREET INTERACTIVE, INC. CLASS A COMMON STOCK |
0x0993e48DC14Bd060fb4BE87C2c20fA6374b8cd6a |
500 |
RSKD |
RISKIFIED LTD. CLASS A ORDINARY SHARES |
0x592c03D926005DC8794A1E236D4c791FFbB536B1 |
500 |
RTO |
RENTOKIL INITIAL PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING FIVE (5) ORDINARY SHARES) |
0x984AdcF098A40e10e409E8a806D04A6dfC5B82A1 |
500 |
RTX |
RTX CORPORATION COMMON STOCK |
0x75A11344b152075e0dd9e9B23aAF547B6c9b2914 |
500 |
RVLV |
REVOLVE GROUP, INC. CLASS A COMMON STOCK |
0x067F856723AA74c9c57275AfEad09517Db92e02F |
500 |
RVT |
ROYCE SMALL |
0x4de129165784534858F903fBA57D9Cb81d2520Df |
500 |
RVTY |
REVVITY, INC. COMMON STOCK |
0xd7FD041417B8E7b06b158CEf4Af4764110A4e3f8 |
500 |
RWT |
REDWOOD TRUST, INC. COMMON STOCK |
0xfc89c6cbD1CB62cE17C2B93a667e780Def5Eb6fE |
500 |
RWT$A |
REDWOOD TRUST, INC. 10.00% SERIES A FIXED |
0xfE33F469845D616e552B00a329Aac18f7d25c398 |
500 |
RWTN |
REDWOOD TRUST, INC. 9.125% SENIOR NOTES DUE 2029 |
0xeca93D6435a2FaCc48cb8a24486ecA1766d69b36 |
500 |
RWTO |
REDWOOD TRUST, INC. 9.00% SENIOR NOTES DUE 2029 |
0x92CA1DBcff81E6B32134fA40Bb6eb752946D7cBd |
500 |
RWTP |
REDWOOD TRUST, INC. 9.125% SENIOR NOTES DUE 2030 |
0xBECe3B097482148b06D12dA2d3E7858e011dc3Ad |
500 |
RXO |
RXO, INC. COMMON STOCK |
0x988E670aDE202DF1e285Ee6032e1E3315ef2c5A3 |
500 |
RY |
ROYAL BANK OF CANADA COMMON STOCK |
0x37e2F05Bb0cB76051468e7F1ab0CdBC79A681547 |
500 |
RYAM |
RAYONIER ADVANCED MATERIALS INC. COMMON STOCK |
0xe1Bc4344ff29415ee4be8d76634F63c25Df30B3F |
500 |
RYAN |
RYAN SPECIALTY HOLDINGS, INC. CLASS A COMMON STOCK |
0x3DAAd95eb0679D4Ce77A82935feA450C77F33501 |
500 |
RYI |
RYERSON HOLDING CORPORATION COMMON STOCK |
0xAA2f44a6005dFFeD9caF7A9749F0730aDB073022 |
500 |
RYN |
RAYONIER INC. REIT COMMON STOCK |
0x54B8cc9a6b9B7c5eCd06360730D9AA3285f6BEAe |
500 |
RZB |
REINSURANCE GROUP OF AMERICA, INCORPORATED 5.75% FIXED |
0x6eE20c6B806dCC5EBcfEe1088b054A9230608497 |
500 |
RZC |
REINSURANCE GROUP OF AMERICA, INCORPORATED 7.125% FIXED |
0xC80922BB470725c82598315216A3acb027EF08E8 |
500 |
S |
SENTINELONE, INC. CLASS A COMMON STOCK |
0x5eeaaECF11427C9108340080A6f28c415D995768 |
500 |
SA |
SEABRIDGE GOLD, INC. ORDINARY SHARES (CANADA) |
0x8609E0b5af25e55D4F59cb29ef64b3472C4A0bC2 |
500 |
SABA |
SABA CAPITAL INCOME & OPPORTUNITIES FUND II SHARES OF BENEFICIAL INTEREST |
0x4A6bF084c5A9586357Cc38289b66869B076d868B |
500 |
SAFE |
SAFEHOLD INC. NEW COMMON STOCK |
0x36eA31618Bc1D1E185B64af366e5DDB894D506D3 |
500 |
SAH |
SONIC AUTOMOTIVE, INC. COMMON STOCK |
0xA0Ab5dD80EBE1E08cBFC44e0EE57bB9E22Ca7f3f |
500 |
SAJ |
SARATOGA INVESTMENT CORP 8.00% NOTES DUE 2027 |
0xEC3e747d51ED143314995C490eC1291A79A9860a |
500 |
SAM |
BOSTON BEER COMPANY, INC. (THE) COMMON STOCK |
0xC39fcda97E528f213863383dB3b1Af5408Cc8734 |
500 |
SAN |
BANCO SANTANDER, S.A. SPONSORED ADR (SPAIN) |
0xAf29485a071Faac70BE8eeE88573A03082E3139b |
500 |
SAND |
SANDSTORM GOLD LTD. ORDINARY SHARES (CANADA) |
0xFda09527a04919282af8F02bfeB204e0871fbc38 |
500 |
SAP |
SAP SE ADS |
0x0aEFd0383F4a481639FEdEC47F6cE3b655a06548 |
500 |
SAR |
SARATOGA INVESTMENT CORP NEW |
0xC9b89C3A2FCFC2c7338aed089F5bE8C4a0895bB3 |
500 |
SARO |
STANDARDAERO, INC. COMMON STOCK |
0x0dd423c4C9B30410b1BceF24d132cff6680efE61 |
500 |
SAT |
SARATOGA INVESTMENT CORP 6.00% NOTES DUE 2027 |
0x3D5B867B0C4beDbD1E861C2ad4a42B2d7497BDC8 |
500 |
SAY |
SARATOGA INVESTMENT CORP 8.125% NOTES DUE 2027 |
0xbC4599B8fc9bFA1313087B62b24221c05e45A942 |
500 |
SAZ |
SARATOGA INVESTMENT CORP 8.50% NOTES DUE 2028 |
0xa32a3Fc863395987F9978774BD4D7A33F5C597C1 |
500 |
SB |
SAFE BULKERS, INC COMMON STOCK ($0.001 PAR VALUE) |
0xB8757867FAf1950545b433d3f8DEEa36717bFD23 |
500 |
SB$C |
SAFE BULKERS, INC CUMULATIVE REDEEMABLE PERPETUAL PREFERRED SERIES C (MARSHALL ISLANDS) |
0xEc9f16e6d0f9dDb261ABCcEe8634C50c523c2dE5 |
500 |
SB$D |
SAFE BULKERS, INC PERPETUAL PREFERRED SERIES D (MARSHALL ISLANDS) |
0xD97b01cc0BB22a6Aa9e94eE3C60deE7e5c3c2C21 |
500 |
SBH |
SALLY BEAUTY HOLDINGS, INC. (NAME TO BE CHANGED FROM SALLY HOLDINGS, INC.) COMMON STOCK |
0x886B05F4fF870a3DB006828cC7BbC10253a2517f |
500 |
SBI |
WESTERN ASSET INTERMEDIATE MUNI FUND INC COMMON STOCK |
0xADe89774C2B1E71CC98DCd8a718B13ECf214403c |
500 |
SBR |
SABINE ROYALTY TRUST COMMON STOCK |
0xB4d3d5bb098921bDa4DAf1465E20B2202e996F27 |
500 |
SBS |
COMPANHIA DE SANEAMENTO BASICO DO ESTADO DE SAO PAULO |
0xad1F58773cfe4498511E7FF6d53752c689776926 |
500 |
SBSI |
SOUTHSIDE BANCSHARES, INC. COMMON STOCK |
0x6730513f528789E7DbBeE391B1F6383B18F2525a |
500 |
SBSW |
D/B/A SIBANYE |
0xbF7270A37e03BCFA55C496a99ADBEF06296772b5 |
500 |
SBXD |
SILVERBOX CORP IV CLASS A ORDINARY SHARES |
0x93d1F532DA8a2c413fE01acAb0D2910e4461966C |
500 |
SBXD.U |
SILVERBOX CORP IV UNITS, EACH CONSISTING OF ONE CLASS A ORDINARY SHARE AND ONE |
0x83E760bB609aB53AE78c1024f9B153273BceF7ae |
500 |
SBXD.W |
SILVERBOX CORP IV REDEEMABLE WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE CLASS A ORDINARY SHARE AT AN EXERCISE PRICE OF $11.50 |
0x8477014EB96D77433827ab279d61a91625d7496b |
500 |
SCCO |
SOUTHERN COPPER CORPORATION COMMON STOCK |
0xD72e6b9effee78d721d8EDaF02a5DF5d511E93c2 |
500 |
SCD |
LMP CAPITAL AND INCOME FUND INC. COMMON STOCK |
0x61359AE84205A326537b4b87E2c95D1EFE93b3b4 |
500 |
SCD.R |
LMP CAPITAL AND INCOME FUND INC. RIGHTS (EXPIRING JULY 11, 2025) RIGHTS |
0xE7f053Fd0548514B1B3A4def4638B3cda449639a |
500 |
SCE$G |
SCE TRUST II TRUST PREFERRED SECURITIES |
0x265cAc8c84194D13c2e5f0215ca02D73632725e1 |
500 |
SCE$J |
SOUTHERN CALIFORNIA EDISON COMPANY 5.375% FIXED |
0xbb3CA367d12320995D77a1e478B5220927a84f90 |
500 |
SCE$K |
SOUTHERN CALIFORNIA EDISON COMPANY 5.45% FIXED |
0x417b6B1680331AD7Bb7BBf7DDfB499decBddA149 |
500 |
SCE$L |
SCE TRUST VI |
0x4444F1106f68aac4BeFeDc95cFea32d318B4Dc5b |
500 |
SCE$M |
SCE TRUST VII 7.50% TRUST PREFERENCE SECURITIES |
0x8EAaC3382E0a7BCc889384F402d10e8c88D524BC |
500 |
SCE$N |
SCE TRUST VIII 6.95% TRUST PREFERENCE SECURITIES |
0xDB97A9fB2F7B6F35F243cA46F6Af9a71a59286FA |
500 |
SCHW |
CHARLES SCHWAB CORPORATION (THE) COMMON STOCK |
0x891e10fd9b8103b6e83fE967D954136060b146B4 |
500 |
SCHW$D |
THE CHARLES SCHWAB CORPORATION DEPOSITARY SHARES EACH REPRESENTING 1/40TH INTEREST IN A SHARE OF 5.95% NON |
0x2879aa5edBF11A5bE87beE056A3F7c316C8e80f9 |
500 |
SCHW$J |
THE CHARLES SCHWAB CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 4.450% NON |
0x3356aEBDd2367E3D6C69D9b4903C27B82711E022 |
500 |
SCI |
SERVICE CORPORATION INTERNATIONAL COMMON STOCK |
0xD6b88CAC754Dde18b3710cfe1525fA5f140679e6 |
500 |
SCL |
STEPAN COMPANY COMMON STOCK |
0x01324da61ce7284A28f93608d27b10de3BA24230 |
500 |
SCM |
STELLUS CAPITAL INVESTMENT CORPORATION COMMON STOCK |
0xF6AE5b5Bc9FF1C6B1290145635c7DbA045deBF79 |
500 |
SCS |
STEELCASE INC. COMMON STOCK |
0xf7d9Dc114b256485C6095114277d1385f90B7b2C |
500 |
SD |
SANDRIDGE ENERGY, INC. COMMON STOCK |
0x690F6ee185273FE3206eE4133327d01a9D558f56 |
500 |
SDHC |
SMITH DOUGLAS HOMES CORP. CLASS A COMMON STOCK |
0xe9522c31392C35D5D8284b2d54f049CF011Cd4A5 |
500 |
SDHY |
PGIM SHORT DURATION HIGH YIELD OPPORTUNITIES FUND COMMON SHARES |
0xCC31cB8d29420f7F6d7073916B7c7175B03f3a2a |
500 |
SDRL |
SEADRILL LIMITED COMMON SHARES |
0xf8F449607097A77b2829A91b4e46185c960D8669 |
500 |
SE |
SEA LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0x079193556E51b34d5D69E1Bf9970B1173Aa1E66A |
500 |
SEAL$A |
SEAPEAK LLC 9.00% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED UNITS |
0xa29B3be5ee1A00dBcF93Ef48c29569e660A59161 |
500 |
SEAL$B |
SEAPEAK LLC 8.50% SERIES B FIXED |
0xa3213F35aC87843808692324b8D28A6701710757 |
500 |
SEE |
SEALED AIR CORPORATION COMMON STOCK |
0x734f5e8D666ee715C9c1816E62bBd125bdF6d7aF |
500 |
SEI |
SOLARIS ENERGY INFRASTRUCTURE, INC. CLASS A COMMON STOCK |
0xBC33A5aaa6805dfc73CE343c9415aa03C10271dF |
500 |
SEM |
SELECT MEDICAL HOLDINGS CORPORATION COMMON STOCK |
0xF63DB8C894B7F6934334daCccf95C6b7D59b1D75 |
500 |
SEMR |
SEMRUSH HOLDINGS, INC. CLASS A COMMON STOCK |
0x8dAB8d3D81d08c29EcA74886c295fe641Be1Bb56 |
500 |
SES |
SES AI CORPORATION CLASS A COMMON STOCK |
0x1297E7f1C46E93D7A3330F3eE0264F9145995b10 |
500 |
SES.W |
SES AI CORPORATION WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0xFF035771Be40D08E6df3DC0A6B02130b862835Cc |
500 |
SF |
STIFEL FINANCIAL CORPORATION COMMON STOCK |
0x5359F1f589A8a6bBA5D2B36a13D67Aa6cF4BC852 |
500 |
SF$B |
STIFEL FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 6.25% NON |
0x6eAcD52d4C2163643eD6f384F73fB8611b9471B3 |
500 |
SF$C |
STIFEL FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 6.125% NON CUMULATIVE PREFERRED STOCK, SERIES C |
0x3a08582460F69FaC1181fF0FCCd6C8F84733f16B |
500 |
SF$D |
STIFEL FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 4.50% NON |
0x8e7aA072aF400ac31D7FdA815c2E811990525C11 |
500 |
SFB |
STIFEL FINANCIAL CORPORATION 5.20% SENIOR NOTES DUE 2047 |
0x6e21f199EB208b3a354962d2537444623836770B |
500 |
SFBS |
SERVISFIRST BANCSHARES, INC. COMMON STOCK |
0x6997C11E9239671dA2D98bC650B3bB9d8596a6Ec |
500 |
SFL |
SFL CORPORATION LTD |
0x0800acf9a700098c8B06CC74f12ed4657930762D |
500 |
SG |
SWEETGREEN, INC. CLASS A COMMON STOCK |
0xa1cEaEEf474964063337ebeA7553028A45A477a3 |
500 |
SGHC |
SUPER GROUP (SGHC) LIMITED ORDINARY SHARES |
0x57f72ECe56a440e0F6c8A24d51F10338eCA516CB |
500 |
SGI |
SOMNIGROUP INTERNATIONAL INC. COMMON STOCK |
0xF1c76c03f030574a8CF91d42D77716Df020Bd4ED |
500 |
SGU |
STAR GROUP L.P. COMMON STOCK |
0x8007Ca03114CCa6429F50857E40C9cC8a7Ec38A1 |
500 |
SHAK |
SHAKE SHACK, INC. CLASS A COMMON STOCK |
0x1617FdF8c2D720A44F4e53938b0781E640B4aC10 |
500 |
SHCO |
SOHO HOUSE & CO INC. CLASS A COMMON STOCK |
0xc7B1B663994294198Baa03D7DF4F5Ef6d0b604c4 |
500 |
SHEL |
SHELL PLC AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TWO (2) ORDINARY SHARES) |
0x31C7Bae57DA8BB2BED2521D7E752E7e6e29e70Fc |
500 |
SHG |
SHINHAN FINANCIAL GROUP CO LTD AMERICAN DEPOSITARY SHARES |
0xa6583Bf80252E9Dcd57E7B0358BD7847D404A3B5 |
500 |
SHO |
SUNSTONE HOTEL INVESTORS, INC. SUNSTONE HOTEL INVESTORS, INC. COMMON SHARES |
0xb022Fa4558b9cFeeEAD8828B7B6e391E946b0E4E |
500 |
SHO$H |
SUNSTONE HOTEL INVESTORS, INC. 6.125% SERIES H CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xBDFF87303C4077BD00971Aa81F3a9308acAdF646 |
500 |
SHO$I |
SUNSTONE HOTEL INVESTORS, INC. 5.70% SERIES I CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xc9dFd2ee3822e71e6959062E498Ec9Cff8ba48E1 |
500 |
SHOC |
EA SERIES TRUST STRIVE U.S. SEMICONDUCTOR ETF |
0x3838e78f12D0fDdfa5f06009C410f84564C2A236 |
500 |
SHW |
SHERWIN |
0xc3da900b56B8911D9700939e61C7a2aefD70B68c |
500 |
SID |
COMPANHIA SIDERURGICA NACIONAL S.A. COMMON STOCK |
0x71AF59004F362142C676B8c001cE4dC109725f85 |
500 |
SIG |
SIGNET JEWELERS LIMITED COMMON SHARES |
0x4f98D9F1CB376D69BB98A254caf43C4372616d15 |
500 |
SII |
SPROTT INC. COMMON SHARES |
0x58C60A7aDBd8D1eFD3bCd1Eed76a9009C7f0a2EE |
500 |
SILA |
SILA REALTY TRUST, INC. COMMON STOCK |
0x0869B5D5d85091cb37B961490F01427C50667749 |
500 |
SITC |
SITE CENTERS CORP. COMMON STOCK |
0x44C19b574D11E256a221B53268a5d19fbb4A97Ee |
500 |
SITE |
SITEONE LANDSCAPE SUPPLY, INC. COMMON STOCK |
0x43b49700E157823006bbD382d7c70A7F8536840c |
500 |
SJM |
THE J.M. SMUCKER COMPANY COMMON STOCK |
0x30B8A618A4391Ed10825801647e3427f71194fc1 |
500 |
SJT |
SAN JUAN BASIN ROYALTY TRUST COMMON STOCK |
0xD3556B4Aa9957f3f392f678d00aC5F8Eb3Bd789A |
500 |
SKE |
SKEENA RESOURCES LIMITED COMMON SHARES |
0x79416b161B49cD8E4Be33F3406A8f35648093dfe |
500 |
SKIL |
SKILLSOFT CORP. CLASS A COMMON STOCK |
0x1bD9b4D671e5c454016A77d19E7ceFb3D91c1186 |
500 |
SKLZ |
SKILLZ INC. CLASS A COMMON STOCK |
0x2Ed95Bc281D0a326aDe8ecF5aEe785700e8982a2 |
500 |
SKM |
SK TELECOM CO., LTD. COMMON STOCK |
0xCE96B8CDF1676976eF99085A5CC99E13259FE21e |
500 |
SKT |
TANGER INC. COMMON STOCK |
0x20D3C31bC03bb51A91CCe0d1C0BE58bE087e4d56 |
500 |
SKX |
SKECHERS U.S.A., INC. COMMON STOCK |
0x086a197aA5B5BD8378647c70494F780a2487BC44 |
500 |
SKY |
CHAMPION HOMES, INC. COMMON STOCK |
0x619D9dfa384Da5B8897F30CA3ae29B374b4dF9a8 |
500 |
SKYH |
SKY HARBOUR GROUP CORPORATION CLASS A COMMON STOCK |
0xf64a387615E0F817A62ec74a8136F14EC0E542dc |
500 |
SKYH.W |
SKY HARBOUR GROUP CORPORATION WARRANTS, EACH WHOLE WARRANT EXERCISABLE FOR ONE SHARE OF CLASS A COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x4e96e876b353e875D5623a1029d5Bc8a5A238B34 |
500 |
SLB |
SCHLUMBERGER N.V. COMMON STOCK |
0xfC630A5E29b7C51700f61E0f0679BDbFE7E3c7c1 |
500 |
SLF |
SUN LIFE FINANCIAL INC. COMMON STOCK |
0x06124a71404072c6ac3e4fba455E6981e347f330 |
500 |
SLG |
SL GREEN REALTY CORP COMMON STOCK |
0xf438d392e4e45202263f22E0f7e94F8a74E25003 |
500 |
SLG$I |
SL GREEN REALTY CORPORATION PREFERRED SERIES I |
0x43b653E26dCBE9806EdF9729440b54f5b28EcBcB |
500 |
SLGN |
SILGAN HOLDINGS INC. COMMON STOCK |
0xab5Ac85936EB9Fa2cddfD7aa6cF2209307d11e3a |
500 |
SLNZ |
TCW SENIOR LOAN ETF |
0xA91c02EC0D9471C40E998d94d360339225Db7CA0 |
500 |
SLQT |
SELECTQUOTE, INC. COMMON STOCK |
0x6962D566e08f7056f38fDAeE91CDe132c32A26b1 |
500 |
SLVM |
SYLVAMO CORPORATION COMMON STOCK |
0x261F78Cd3b72A7ECBAc878c065666891b3580dAB |
500 |
SM |
SM ENERGY COMPANY COMMON STOCK |
0xAc73cd8602bBBe79925b108C4335Bad22e85E70E |
500 |
SMA |
SMARTSTOP SELF STORAGE REIT, INC. COMMON STOCK |
0x9052A264dE76F8AF2AA516aF15f7C0cC67cc4EB9 |
500 |
SMBK |
SMARTFINANCIAL, INC. COMMON STOCK |
0x711aa5Ede68cFc0371106C6846f2E5E775942643 |
500 |
SMC |
SUMMIT MIDSTREAM CORPORATION COMMON STOCK |
0xB1c169D3eBE9348EF0F25afEA6a744605f876f37 |
500 |
SMFG |
SUMITOMO MITSUI FINANCIAL GROUP INC UNSPONSORED AMERICAN DEPOSITARY SHARES (JAPAN) |
0x54E1E9Ff238e0FE4f7862f46675D9188bEac1c77 |
500 |
SMG |
SCOTTS MIRACLE |
0x3A9D803e18b39c08eaee86Df11353C4e6e23e396 |
500 |
SMHI |
SEACOR MARINE HOLDINGS INC. COMMON STOCK |
0xFE62A4d43d50BeAe54a7bDAC88404afE5A605782 |
500 |
SMP |
STANDARD MOTOR PRODUCTS, INC. COMMON STOCK |
0x7B6AE2dF7bd1D889ed60F12Cd780047bB3ee8bF2 |
500 |
SMR |
NUSCALE POWER CORPORATION CLASS A COMMON STOCK |
0xb96a6e839d804D5FCf6177149F5Da5CF8B226383 |
500 |
SMRT |
SMARTRENT, INC. CLASS A COMMON STOCK |
0x51D00846E47aE4Bc8c076f37904DDe980c32e0d5 |
500 |
SMWB |
SIMILARWEB LTD. ORDINARY SHARES |
0x8e49f87C08f5fbf099cb87d0f90Fd60D6d7da8C5 |
500 |
SN |
SHARKNINJA, INC. ORDINARY SHARES |
0xd570B63B29cDE2010cB42eDf215fe00cdDa405A4 |
500 |
SNA |
SNAP |
0x168A6CeBe0171Cda76746A93Baacab38d22D9338 |
500 |
SNAP |
SNAP INC. CLASS A COMMON STOCK |
0x808E345FCc005CECFCFE36679B92E38a7f164bA5 |
500 |
SNDA |
SONIDA SENIOR LIVING, INC. COMMON STOCK |
0x1ab3b366C65dD0A37B6cFDb407762f434d75ADd9 |
500 |
SNDR |
SCHNEIDER NATIONAL, INC. COMMON STOCK |
0xb4253da19fB88a188b8Dc45EA8F03B54953A0F22 |
500 |
SNN |
SMITH & NEPHEW SNATS, INC. COMMON STOCK |
0xFB3DAbd2d08088f8767D78D6F62DCF30291D3062 |
500 |
SNOW |
SNOWFLAKE INC. CLASS A COMMON STOCK |
0x01278f9E614e62820AD8BcF0B33E7EDFcBe340fe |
500 |
SNV |
SYNOVUS FINANCIAL CORP. COMMON STOCK |
0xdB165D302bc2bc97cfac477E6E7B6ff63460B854 |
500 |
SNV$D |
SYNOVUS FINANCIAL CORP. FIXED |
0x6874Aad798E5D99201e89557088C1dAa32F68998 |
500 |
SNV$E |
SYNOVUS FINANCIAL CORP. 5.875% FIXED |
0x6509E189720837dbDA43c7B5eA5FF3c4015537d0 |
500 |
SNX |
TD SYNNEX CORPORATION COMMON STOCK |
0xa8625b1f975150bd2054828c8ABB02BD20EDafd4 |
500 |
SO |
SOUTHERN COMPANY (THE) COMMON STOCK |
0xc6CBb3b30e49A24A426677918b8f835C7D66E337 |
500 |
SOBO |
SOUTH BOW CORPORATION COMMON SHARES |
0xf6CF1aA00165A582890a8EAF5b1552B6EF414A1B |
500 |
SOC |
SABLE OFFSHORE CORP. COMMON STOCK |
0x67F12c1b979dce283dA4456F7915A5bf3e63BDF0 |
500 |
SOJC |
SOUTHERN COMPANY (THE) SERIES 2017B 5.25% JUNIOR SUBORDINATED NOTES DUE DECEMBER 1, 2077 |
0xD22DbBCbdfD57d35B0D25DB8eb8d2AdDDE5C3955 |
500 |
SOJD |
SOUTHERN COMPANY (THE) SERIES 2020A 4.95% JUNIOR SUBORDINATED NOTES DUE JANUARY 30, 2080 |
0xda3Fb8ABf8EC2a11a42C312A16B768419d902a58 |
500 |
SOJE |
SOUTHERN COMPANY (THE) SERIES 2020C 4.20% JUNIOR SUBORDINATED NOTES DUE OCTOBER 15, 2060 |
0x624f95Cd84a0742235D2AaE2600710EDc81bC7be |
500 |
SOJF |
SOUTHERN COMPANY (THE) SERIES 2025A 6.50% JUNIOR SUBORDINATED NOTES DUE MARCH 15, 2085 |
0x76cb1d29457ac2B46742524ddF4ad686890B13C6 |
500 |
SOL |
EMEREN GROUP LTD AMERICAN DEPOSITARY SHARES, EACH REPRESENTING 10 SHARES |
0xBc08461C7f5A1ba5Dec4513aEC926f6c94c1d9f2 |
500 |
SOLV |
SOLVENTUM CORPORATION COMMON STOCK |
0x19fB3eE78eA1A40ad4E1b929b77Ad3Ed7a6ADC73 |
500 |
SON |
SONOCO PRODUCTS COMPANY COMMON STOCK |
0xBA42E0c9E185a4898C6568B99BF44de15a4853E5 |
500 |
SONY |
SONY GROUP CORPORATION AMERICAN DEPOSITARY SHARES |
0x2e7A6b7f9a6bA65aebCd38Bb4efC77dfE4E6da3e |
500 |
SOR |
SOURCE CAPITAL, INC. CMN SHS OF BI |
0xC0CC69B2E6B5942a28716C5521c91f2d11282839 |
500 |
SOS |
SOS LIMITED AMERICAN DEPOSITARY SHARES, ONE HUNDRED AND FIFTY (150) CLASS A ORDINARY SHARES |
0x77EC9C732b8A7737f71E95409f073c50C82373c6 |
500 |
SOUL |
SOULPOWER ACQUISITION CORPORATION CLASS A ORDINARY SHARES |
0x38ca2b7e226742b6A8a50902498b22818E702Bac |
500 |
SOUL.R |
SOULPOWER ACQUISITION CORPORATION RIGHTS, EACH RIGHT ENTITLING THE HOLDER TO RECEIVE ONE |
0xdE7d4982EBf808b4a9FDCBB3feD6CEd47A4F46FF |
500 |
SOUL.U |
SOULPOWER ACQUISITION CORPORATION UNITS, EACH CONSISTING OF ONE CLASS A ORDINARY SHARE AND ONE RIGHT |
0x0f8BB1b1060dCa56A6B44fae515a733ec0651CE4 |
500 |
SPB |
SPECTRUM BRANDS HOLDINGS, INC. COMMON STOCK |
0x5EDd161CB8Cbf0877ACAC46b957192552b6A8dF7 |
500 |
SPCE |
VIRGIN GALACTIC HOLDINGS, INC. COMMON STOCK |
0x461C0563FfB4d18637d90e978Bd14536aBBc834d |
500 |
SPE |
SPECIAL OPPORTUNITIES FUND, INC COMMON STOCK |
0xC5c2a7BACD4deAA85b6043bb016A564F5A423F07 |
500 |
SPE$C |
SPECIAL OPPORTUNITIES FUND INC. 2.75% CONVERTIBLE PREFERRED STOCK, SERIES C |
0x2330DE9FB3d833486a8C2B036e1292E622c10a6a |
500 |
SPG |
SIMON PROPERTY GROUP, INC. COMMON STOCK |
0x97549A7c8f84296049c35DefbBc15080D6896C86 |
500 |
SPG$J |
SIMON PROPERTY GROUP, INC. SIMON PROPERTY GROUP 8 3/8% SERIES J CUMULATIVE REDEEMABLE PREFERRED STOCK |
0xF49bd2c282456DB4219E0d4eed943E3C423Bc19b |
500 |
SPGI |
S&P GLOBAL INC. COMMON STOCK |
0x3a37866891E58e0c8663C5D21a30D3A0e352fBC0 |
500 |
SPH |
SUBURBAN PROPANE PARTNERS, L.P. COMMON STOCK |
0xABa7B7C7571D5197d3D26bd1Cf2A6A2679b728A3 |
500 |
SPHR |
SPHERE ENTERTAINMENT CO. CLASS A COMMON STOCK |
0xE649f9cb903a26380A59de766D9c460DDD8cE1B1 |
500 |
SPIR |
SPIRE GLOBAL, INC. CLASS A COMMON STOCK |
0xbaaA6ceF9A7669e8239Fcc031F7aDfF3bAd5E1A9 |
500 |
SPMA |
SOUND POINT MERIDIAN CAPITAL, INC. 8.00% SERIES A PREFERRED SHARES DUE 2029 |
0x475393085f06221B60d852DDC2C1D44052F8aF7C |
500 |
SPMC |
SOUND POINT MERIDIAN CAPITAL, INC. COMMON STOCK |
0x3f0f5112dEc4c7b41a0a1Ea92F0a43600901c51A |
500 |
SPNT |
SIRIUSPOINT LTD. COMMON SHARES |
0x17502eD893E3bA8A17Fd70ba9b40464c2050d20E |
500 |
SPNT$B |
SIRIUSPOINT LTD. 8.00% RESETTABLE FIXED RATE PREFERENCE SHARES, SERIES B, $25.00 LIQUIDATION PREFERENCE PER SHARE |
0x8Db06CCC4b38d6590616E2bf2414dee05193a1Fc |
500 |
SPOT |
SPOTIFY TECHNOLOGY S.A. ORDINARY SHARES |
0x63bcB65378dD610E6375c2E39553a1a03a4731bd |
500 |
SPR |
SPIRIT AEROSYSTEMS HOLDINGS, INC. COMMON STOCK |
0x868AbFe151703eC9ef0Ee1479BE16930C220B6A4 |
500 |
SPRU |
SPRUCE POWER HOLDING CORPORATION CLASS A COMMON STOCK |
0x6c08eC86d122630Ca58Bb0C5e3CEfC117075BdcA |
500 |
SPXC |
SPX TECHNOLOGIES, INC. COMMON STOCK |
0xbA82bAe745e93bd1e043e6A20B15AaAe17A2Af26 |
500 |
SPXX |
NUVEEN S&P 500 DYNAMIC OVERWRITE FUND |
0x956300f58Ff4cC9B1bdE0C11CD2959daf1DC4cFa |
500 |
SQM |
SOCIEDAD QUIMICA Y MINERA S.A. COMMON STOCK |
0x9316f5A3B59849e5560BBB0A0fFB39105dd65dF1 |
500 |
SQNS |
SEQUANS COMMUNICATIONS S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN (10) ORDINARY SHARES) |
0xb29ebA725899087995Cd278b0116f31634e9c88D |
500 |
SR |
SPIRE INC. COMMON STOCK |
0xeEb7A9ceA6E9e545fFcA4BF563921880FE944122 |
500 |
SR$A |
SPIRE INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 5.90% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0x34268B6cf814BA6A462C992C78d49000B12f1393 |
500 |
SRE |
DBA SEMPRA COMMON STOCK |
0xb038075550D5B4181DD9599f173D38aaFBe23D64 |
500 |
SREA |
DBA SEMPRA 5.750% JUNIOR SUBORDINATED NOTES DUE 2079 |
0xF134C13ED91f3188dCf5a622b2DC0088aEB1727E |
500 |
SRFM |
SURF AIR MOBILITY INC. COMMON STOCK |
0xed217846F78acc08aa44914D06cF2CB63498fdba |
500 |
SRG |
SERITAGE GROWTH PROPERTIES CLASS A COMMON STOCK |
0x96Eb41a4d24D7C12eF9D779b9F23440800bc56D0 |
500 |
SRG$A |
SERITAGE GROWTH PROPERTIES 7.00% SERIES A CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST |
0x1c46210d7B2cb0670bE62d5CD83EE955593962be |
500 |
SRI |
STONERIDGE, INC. COMMON STOCK |
0x075E20d9935B591de13190b37cD36B0600224afd |
500 |
SRL |
SCULLY ROYALTY LTD. |
0x4B6d0B6e998A606E36C4e452DAE026DF058d347B |
500 |
SRV |
NXG CUSHING MIDSTREAM ENERGY FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xaBdC6c518131bC087C1a9F2ef5c35d7060b9c1E5 |
500 |
SSB |
SOUTHSTATE CORPORATION COMMON STOCK |
0xafd969C3fB15189CDaF6A3bD539C4aa7F3212746 |
500 |
SSD |
SIMPSON MANUFACTURING COMPANY, INC. COMMON STOCK |
0xb843e03ffa1c2114Eb5eAC6C4Ed8Dac5f16E870d |
500 |
SSL |
SASOL LTD. AMERICAN DEPOSITARY SHARES |
0xc711bBE4EBFC8b3BA64f9BA7D11d09B0f90DfF86 |
500 |
SST |
SYSTEM1, INC. CLASS A COMMON STOCK |
0xD890C228c6c491b8746C1670DD350391dF602DB4 |
500 |
SSTK |
SHUTTERSTOCK, INC. COMMON STOCK |
0xa489aa3aA77c2c7896aA9c01140a1BE762BDAcfA |
500 |
ST |
SENSATA TECHNOLOGIES HOLDING PLC ORDINARY SHARES |
0x1cbb06Ede62aFA3afe2bA093450D049eCB34ed3f |
500 |
STAG |
STAG INDUSTRIAL, INC. COMMON STOCK |
0x4c9d6bb2df832D6Ff81d43654B2677Aa6b9d7b33 |
500 |
STC |
STEWART INFORMATION SERVICES CORPORATION COMMON STOCK |
0x77Ad7c3b592D5F9d06a1233AC54E9fF2c7569A3a |
500 |
STE |
STERIS PLC (IRELAND) ORDINARY SHARES |
0xed4DF25239163ddD025c657161E40e2a2D72BbBF |
500 |
STEL |
STELLAR BANCORP, INC. COMMON STOCK |
0x4bD46C778EfCD7Ebd2d3003073A07D9b1Aaf97B3 |
500 |
STEM |
STEM, INC. CLASS A COMMON STOCK |
0x4B091cBe2150F6C142c6957BE36B4F2b7a018419 |
500 |
STEW |
SRH TOTAL RETURN FUND, INC. COMMON STOCK |
0xFd2723FeDE657507FeD6aE907C4BeCD211fDFCBe |
500 |
STG |
SUNLANDS TECHNOLOGY GROUP AMERICAN DEPOSITARY SHARES, REPRESENTING CLASS A ORDINARY SHARES |
0xfC8aD1cb146dFDBA7cc58ac4a1B35B1f5099A323 |
500 |
STK |
COLUMBIA SELIGMAN PREMIUM TECHNOLOGY GROWTH FUND INC |
0x2CADab38dA3b66b01aA45f73B3AdaE2aEF5A2062 |
500 |
STLA |
STELLANTIS N.V. COMMON SHARES |
0x3a8Ea765D791472D11Cb938553Bbc4C0A8B91c35 |
500 |
STM |
STMICROELECTRONICS N.V. COMMON STOCK |
0xbEbF8206a7e53995C9AA349a57150F6024bB9350 |
500 |
STN |
STANTEC INC COMMON STOCK |
0x48AE1AA9e4065FeA500a25a0cd0316Ef3ce6efC7 |
500 |
STNG |
SCORPIO TANKERS INC. COMMON SHARES |
0xC092950EBc26f6C4E312301cEEe2519eA5E4ab37 |
500 |
STR |
SITIO ROYALTIES CORP. CLASS A COMMON STOCK |
0x33Dd25b6f50e33145733cB94631380e69aB04bb5 |
500 |
STRV |
EA SERIES TRUST STRIVE 500 ETF |
0x8284244AD67C2E526fE5cB8f50cb98139416d90a |
500 |
STT |
STATE STREET CORPORATION COMMON STOCK |
0xc9d5E5093E7300F15c2E4e7187569263097df627 |
500 |
STT$G |
STATE STREET CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/4,000TH OWNERSHIP INTEREST IN A SHARE OF FIXED |
0x236F5b76111B79e84D2627DDfC608d007B25acCD |
500 |
STVN |
STEVANATO GROUP S.P.A. ORDINARY SHARES |
0x928eb57477318E09968e71E9BE201a7293429bd3 |
500 |
STWD |
STARWOOD PROPERTY TRUST, INC. STARWOOD PROPERTY TRUST INC. |
0x76e6507d601a1c159377D00674Cf6B790F0f852d |
500 |
STXD |
EA SERIES TRUST STRIVE 1000 DIVIDEND GROWTH ETF |
0xaA4F194c326Ce691a550c6b60378190B42A63AE6 |
500 |
STXE |
EA SERIES TRUST STRIVE EMERGING MARKETS EX |
0x788a0fdc9CCE43F96AA857Ff7BF0Ff1ca66f2233 |
500 |
STXG |
EA SERIES TRUST STRIVE 1000 GROWTH ETF |
0xF2d21588e39C4e940AfE15c8218B78838142138e |
500 |
STXI |
EA SERIES TRUST STRIVE INTERNATIONAL DEVELOPED MARKETS ETF |
0xFB642bDC63F9DaB5c4966c769C4BeB302fA11F48 |
500 |
STXK |
EA SERIES TRUST STRIVE SMALL |
0x395BE97f44Ed4f4dA55ED5c886E0DE152ba4c957 |
500 |
STXM |
EA SERIES TRUST STRIVE MID |
0x7246Ccdb01Fa1009b7D30eC6F0c97a7ff7233236 |
500 |
STXT |
EA SERIES TRUST STRIVE TOTAL RETURN BOND ETF |
0xb385bd0Dc770b9580D67b02C0B1d23c746587B14 |
500 |
STXV |
EA SERIES TRUST STRIVE 1000 VALUE ETF |
0xcD75E040E0780F46885D6EB6898C562932AC35f7 |
500 |
STZ |
CONSTELLATION BRANDS, INC. COMMON STOCK |
0x146773Dd7df331B9c61f7D28f74Ae6639b62Ba64 |
500 |
SU |
SUNCOR ENERGY INC. COMMON STOCK |
0xc4d070553AFb02383B1873c27d47734e0bd56a96 |
500 |
SUI |
SUN COMMUNITIES, INC. COMMON STOCK |
0x2F5fe0005304DaD94535e3429E71BD6fD2de20C6 |
500 |
SUN |
SUNOCO LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x52B4205749750e8D3bd22adFfADA351e824e1a3c |
500 |
SUPV |
GRUPO SUPERVIELLE S.A. AMERICAN DEPOSITARY SHARES EACH REPRESENTING FIVE CLASS B SHARES |
0xc3F85bD163900Eb93F748bee90F0317f1bC300Ce |
500 |
SUZ |
SUZANO S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE ORDINARY SHARE) |
0x64A31e9EBB37b5F8C7877B0a4D6b720Df5A0B12C |
500 |
SVV |
SAVERS VALUE VILLAGE, INC. COMMON STOCK |
0x932B3012a149bEF0A792AD928F30987a9Ace2389 |
500 |
SW |
SMURFIT WESTROCK PLC ORDINARY SHARES |
0x37FF908A5fe4ca12FA5fF210f9Fb2391F933F9FE |
500 |
SWK |
STANLEY BLACK & DECKER, INC. COMMON STOCK |
0xE7635bbb56FB844579E2bB2892604E932b21953e |
500 |
SWX |
SOUTHWEST GAS HOLDINGS, INC. COMMON STOCK (DE) |
0xc9172AfC5E3b4493A587acFD669606B312eBa5C5 |
500 |
SWZ |
TOTAL RETURN SECURITIES FUND COMMON STOCK |
0xf95dAC2db3e16Ae7E170CDE002E591f736a80A8a |
500 |
SXC |
SUNCOKE ENERGY, INC. COMMON STOCK |
0x2184e926E020f6b9d37f6182a52524C399bC6047 |
500 |
SXI |
STANDEX INTERNATIONAL CORPORATION COMMON STOCK |
0xBa759A16a5961Bf6919dD64f820e954aC6aA6A43 |
500 |
SXT |
SENSIENT TECHNOLOGIES CORPORATION COMMON STOCK |
0x8f1D25259DDdE85fb60a970961C3159D637Ea390 |
500 |
SYF |
SYNCHRONY FINANCIAL COMMON STOCK |
0x23d6ad76cbBFde409367FB6cb5ABfEC1E74B520D |
500 |
SYF$A |
SYNCHRONY FINANCIAL DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.625% FIXED RATE NON |
0xcb64101a2c7cEeb77C8eAce77780328484c2Db13 |
500 |
SYF$B |
SYNCHRONY FINANCIAL DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 8.250% FIXED RATE RESET NON |
0xF0Cf015b11dE5A79A5f70c62C3D28a4e68b53d8d |
500 |
SYK |
STRYKER CORPORATION COMMON STOCK |
0xf1FEb613D047951C13291009C7Ed755e30360d88 |
500 |
SYY |
SYSCO CORPORATION COMMON STOCK |
0x2050E90Af30eABFACa0391F19578b2551104A274 |
500 |
T |
AT&T INC. |
0xF1AcFE4875bF301CAafBEbe2899c6054Ef474Ec4 |
500 |
T$A |
AT&T INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 5.000% PERPETUAL PREFERRED STOCK, SERIES A |
0xD5569CD6e7b1Ee8646156583e642417f49E63C30 |
500 |
T$C |
AT&T INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF 4.750% PERPETUAL PREFERRED STOCK, SERIES C |
0xB7a1e4d72d4F1Deaf8e9E4e828B1a0eb8Dc1dB98 |
500 |
TAC |
TRANSALTA CORPORATION ORDINARY SHARES |
0x34c53A19B16c839626A36ed990B35e2A83ad85Fe |
500 |
TAK |
TAKEDA PHARMACEUTICAL COMPANY LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 1/2 OF A SHARE OF COMMON STOCK) |
0x0a5cb21B52437C44BA5fB12A74c1B6c2b067A1e9 |
500 |
TAL |
TAL EDUCATION GROUP AMERICAN DEPOSITARY SHARES |
0xE99346D82a996b8369B36d44515Ab8159d0a8Df6 |
500 |
TALO |
TALOS ENERGY, INC. COMMON STOCK |
0xc1C5E7c30e21f17C8e40Da6a6905F38e90023A9c |
500 |
TAP |
MOLSON COORS BEVERAGE COMPANY CLASS B COMMON STOCK |
0x2273088F11e8B179E879f941eA40ac1090263034 |
500 |
TAP.A |
MOLSON COORS BEVERAGE COMPANY CLASS A COMMON STOCK |
0xe108B80216Fd4b0530856f9e1247fed886dF3259 |
500 |
TBB |
AT&T INC. 5.350% GLOBAL NOTES DUE 2066 |
0x02c4FB3b5D2B7677D4E366A076C175392174E2bE |
500 |
TBBB |
BBB FOODS INC. CLASS A COMMON SHARES |
0xfCd43cEf6335b70FdE690d9421734828b835E57d |
500 |
TBI |
TRUEBLUE, INC. COMMON STOCK |
0x17366aaeF55a843250F1eEbF4Fe0D12d648Bd2c6 |
500 |
TBN |
TAMBORAN RESOURCES CORPORATION COMMON STOCK |
0xC194051C09E1c109E2B8f9541c8d9Fe4C76404b9 |
500 |
TCI |
TRANSCONTINENTAL REALTY INVESTORS, INC. COMMON STOCK |
0x91DFd02D65371b758613B16DB8fbF3989a59a435 |
500 |
TD |
TORONTO DOMINION BANK (THE) COMMON STOCK |
0xBF55E2AB11fe0F95f4917e3b16DeaD1C5FF16d4a |
500 |
TDC |
TERADATA CORPORATION COMMON STOCK |
0xc9234964c94f6aDcD1AC2755B05aEb945431b164 |
500 |
TDF |
TEMPLETON DRAGON FUND, INC. COMMON STOCK |
0xb5E9C10bCD086289d2951521AF22a5f0121909A9 |
500 |
TDG |
TRANSDIGM GROUP INCORPORATED COMMON STOCK |
0x4e115C3571d132dD6E7060760986620a70610e2b |
500 |
TDOC |
TELADOC HEALTH, INC. COMMON STOCK |
0x04c92C99d601C48808dfD3bF2D1D3d6eD2F16398 |
500 |
TDS |
TELEPHONE AND DATA SYSTEMS, INC. COMMON SHARES |
0xae4fdc1e982bEa7Ac87d9Ce430121Db91F4E2C67 |
500 |
TDS$U |
TELEPHONE AND DATA SYSTEMS, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 6.625% SERIES UU CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0x782Dc35d7b2D462Efb0F99e8AB4c01F6D10DBD4E |
500 |
TDS$V |
TELEPHONE AND DATA SYSTEMS, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A 6.000% SERIES VV CUMULATIVE REDEEMABLE PERPETUAL PREFERRED STOCK |
0xe12ce07eCbd3f4D863E46D780111Ef85F97b5124 |
500 |
TDW |
TIDEWATER INC. COMMON STOCK |
0xA55B453494691D81fe24F06FCfbc7B7921EA5B80 |
500 |
TDY |
TELEDYNE TECHNOLOGIES INCORPORATED COMMON STOCK |
0x40D792D437e7A2A402C1293ED13498F29B21fFAc |
500 |
TE |
T1 ENERGY INC. COMMON STOCK |
0xf5CC8fB205dC436CB83e47896601221Ff1833120 |
500 |
TE.W |
T1 ENERGY INC. WARRANTS, EACH WHOLE WARRANT EXERCISABLE TO PURCHASE ONE COMMON STOCK AT AN EXERCISE PRICE OF $11.50 PER SHARE |
0x4A0C8e355438979E9B8ad95d7E79CB432A59cf5B |
500 |
TEAF |
TORTOISE SUSTAINABLE AND SOCIAL IMPACT TERM FUND COMMON SHARES OF BENEFICIAL INTEREST |
0x1f35fd1a9A7dAa31f9768b3936c0163461f134D4 |
500 |
TECK |
TECK RESOURCES LTD ORDINARY SHARES |
0x045e45987e3a07CFcffe2824fE12e47e12038e9F |
500 |
TEF |
TELEFONICA SA COMMON STOCK |
0x71EEB55E0F594acEbd6FA92Af3Df8323A3fC71AE |
500 |
TEI |
TEMPLETON EMERGING MARKETS INCOME FUND, INC. COMMON STOCK |
0xe0817e69FDe83F2D7EEc95e4fb0E2e0430d37295 |
500 |
TEL |
TE CONNECTIVITY PLC ORDINARY SHARES |
0x20b1E5a66c93465e3792893b77D56611F40962F9 |
500 |
TEN |
TSAKOS ENERGY NAVIGATION LTD COMMON SHARES |
0xE84797067A2224d25330D0141c412ef81713F64e |
500 |
TEN$E |
TSAKOS ENERGY NAVIGATION LTD SERIES E FIXED |
0x849D050b78D62a56237C4d5ca13Ad13C9c11bBBe |
500 |
TEN$F |
TSAKOS ENERGY NAVIGATION LTD SERIES F FIXED |
0xb650203d9103DB3ce591B4D3091F3E3112B27747 |
500 |
TEO |
TELECOM ARGENTINA SA |
0x9D6f8Cf879E6eC6945DBfFDafbD32De9Be1487D1 |
500 |
TEVA |
TEVA PHARMACEUTICAL INDUSTRIES LIMITED AMERICAN DEPOSITARY SHARES |
0xb6A882289c42fD453b548B4D51D422A2B8Cf4bAA |
500 |
TEX |
TEREX CORPORATION COMMON STOCK |
0x0D5d44782c2bc0f27ae7f86D4C0CeFB3906212F3 |
500 |
TFC |
TRUIST FINANCIAL CORPORATION COMMON STOCK |
0x6933d13926b62cacbD8BDBAB13e3608Ac8B363dA |
500 |
TFC$I |
TRUIST FINANCIAL CORPORATION DEPOSITARY SHARES |
0xB1726494bf815e0EFCeaaB726f29480ef022DDDe |
500 |
TFC$O |
TRUIST FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF SERIES O NON |
0xCCEAB6377A52CcF3E7d7078d745c57580257571c |
500 |
TFC$R |
TRUIST FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF SERIES R NON |
0x1D059761D1607940909576dEaf1A3480daf92F97 |
500 |
TFII |
TFI INTERNATIONAL INC. COMMON SHARES |
0x2755b2b7069C2b9b9F307C336Ff87E0e48820216 |
500 |
TFPM |
TRIPLE FLAG PRECIOUS METALS CORP. COMMON SHARES |
0xe90644c06CbB62d505463cb475786077799F0181 |
500 |
TFSA |
TERRA INCOME FUND 6, LLC 7.00% NOTES DUE 2026 |
0x3451c74868eff00560046EFa908D576BbFE05E9a |
500 |
TFX |
TELEFLEX INCORPORATED COMMON STOCK |
0xA19c8E880dDe27dc550ca4829E974C8a0384065B |
500 |
TG |
TREDEGAR CORPORATION COMMON STOCK |
0x521975af087344d0ac0846D00cc3f902B9340EDd |
500 |
TGE |
THE GENERATION ESSENTIALS GROUP CLASS A ORDINARY SHARES |
0xdEc0259E5BF7446db1CA2677CD4990993E0c7D1f |
500 |
TGI |
TRIUMPH GROUP, INC. COMMON STOCK |
0x63A47131eC6b497c52dC5Eb2f0B260aBc613DE9c |
500 |
TGLS |
TECNOGLASS INC. ORDINARY SHARES |
0xf94233875Fb8350Ddc8b47913cd9503CBFd514aD |
500 |
TGNA |
TEGNA INC |
0xB49729c43a7c88bF62258A12cE9cF8dE4f740D49 |
500 |
TGS |
TRANSPORTADORA DE GAS DEL SUR SA TGS COMMON STOCK |
0xBAe2025353d745753eB3cDaeb72d4eD77FE2f933 |
500 |
TGT |
TARGET CORPORATION COMMON STOCK |
0x11712F0cD66E2E702313C2dDbc0A521dB4f7c61F |
500 |
THC |
TENET HEALTHCARE CORPORATION COMMON STOCK |
0xF5F5769882a8cEDB3526A660A159f993F2da564A |
500 |
THG |
HANOVER INSURANCE GROUP INC |
0xE6961C4c33D14b2cd567ba9cfF5FBA08799354D3 |
500 |
THIR |
THOR FINANCIAL TECHNOLOGIES TRUST THOR INDEX ROTATION ETF |
0x630FA48D1FFA406F8A0D491cda6B65AB6Af99a31 |
500 |
THLV |
THOR EQUAL WEIGHT LOW VOLATILITY ETF |
0x934E9a863c67E4BC4710F4d4dd12bf64FDeB6520 |
500 |
THO |
THOR INDUSTRIES, INC. COMMON STOCK |
0x93ed567BE4Cd73dB901179EAbD0d787ee2B7696a |
500 |
THQ |
ABRDN HEALTHCARE OPPORTUNITIES FUND SHARES OF BENEFICIAL INTEREST |
0xeAbC8541e41d4254B37c1B3ff89D6dfA69833d1B |
500 |
THR |
THERMON GROUP HOLDINGS, INC. COMMON STOCK |
0x72079B5B5A481A6cf7F6B9AD24FdFAa31bCAc28D |
500 |
THS |
TREEHOUSE FOODS, INC. COMMON STOCK |
0x1161e7bAEC8d3B6498bE83C5feE0e37d5b22cEF0 |
500 |
THW |
ABRDN WORLD HEALTHCARE FUND SHARES OF BENEFICIAL INTEREST |
0x91Bf80b4CecdBf7bda3A45e26F3F5bCDb0D8735D |
500 |
TIC |
ACUREN CORPORATION COMMON STOCK |
0xe88b64F2763d73786e18050196cA6Fa336dBB75f |
500 |
TIMB |
TIM S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 5 COMMON SHARES) |
0xdA799f02316aa6a427F57acb6D5f61BD42a4cE09 |
500 |
TISI |
TEAM, INC. COMMON STOCK |
0x06dBE88CDF43be33e26d51CB3d94A8Fb3df7358c |
500 |
TIXT |
TELUS INTERNATIONAL (CDA) INC. SUBORDINATE VOTING SHARES |
0xDD69f4AeCb32bb4fc750CEa92272a309273DCBc2 |
500 |
TJX |
TJX COMPANIES, INC. (THE) COMMON STOCK |
0x361AFafF60c2337b97884E45B768cD2e981743a8 |
500 |
TK |
TEEKAY CORPORATION LTD. COMMON STOCK |
0x2e685a572d8DA01Ad983029Bb758bF920BBAAB5C |
500 |
TKC |
TURKCELL ILETISIM HIZMETLERI AS COMMON STOCK |
0xf48889eCD671A916e614013Adaa3123d15113f44 |
500 |
TKO |
TKO GROUP HOLDINGS, INC. CLASS A COMMON STOCK |
0x7826a016272798c90ccF556fAeFBfa8567293Ad4 |
500 |
TKR |
TIMKEN COMPANY (THE) COMMON STOCK |
0x802B7C772B08F07C6C7eA2e008E706BA7342996F |
500 |
TLK |
PT TELEKOMUNIKASI INDONESIA, TBK |
0x8936CF63E84dFc60757BE76eD528d06F4b80FA42 |
500 |
TLYS |
TILLY'S, INC. COMMON STOCK |
0x3E1499fFf2834BF954F9b56b1904D0F7086C6fEC |
500 |
TM |
TOYOTA MOTOR CORPORATION COMMON STOCK |
0xf19b1fd693D0A922a557C56D98e064594d5A6602 |
500 |
TME |
TENCENT MUSIC ENTERTAINMENT GROUP AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO CLASS A ORDINARY SHARES |
0x15Dd1a2Bac2eb253Ee3425169c4496DaDF99d063 |
500 |
TMHC |
TAYLOR MORRISON HOME CORPORATION COMMON STOCK |
0xD1b099b8Cf2DdB9CB14af7c2E4d7E7208b8dac3C |
500 |
TMO |
THERMO FISHER SCIENTIFIC INC COMMON STOCK |
0x8981332e63A9B31e516f15fa9203483B18C685dE |
500 |
TNC |
TENNANT COMPANY COMMON STOCK |
0x51ed73B1F6D171604a3F6D9b4e7910D1a8D7a7A7 |
500 |
TNET |
TRINET GROUP, INC. COMMON STOCK |
0x1001f35e4E218bd30AeEde981c9575f8FF482bB5 |
500 |
TNGY |
TORTOISE CAPITAL SERIES TRUST TORTOISE ENERGY FUND |
0x36795C28cFB01179D6F94491D934E99A7c315dCC |
500 |
TNK |
TEEKAY TANKERS LTD. |
0x359fa92B23059bBCd6C0204965e54785f64e965A |
500 |
TNL |
TRAVEL LEISURE CO. COMMON STOCK |
0xd24928845aCcDC5cbe4d6b0cA7F08a2023a20D03 |
500 |
TOL |
TOLL BROTHERS, INC. COMMON STOCK |
0x80ef8996eBa91Ed57587BFC7c1930f25beB41726 |
500 |
TOST |
TOAST, INC. CLASS A COMMON STOCK |
0xd91835a05D44157791B634F0F67fa3a8882D152b |
500 |
TPB |
TURNING POINT BRANDS, INC. COMMON STOCK |
0xE2B0BfE54f1768B7D8d9BFB99E2583f46fE5a37c |
500 |
TPC |
TUTOR PERINI CORPORATION COMMON STOCK |
0x819Ec521dd089e3Dfa57c6EE28d21450E6Ecb577 |
500 |
TPH |
TRI POINTE HOMES, INC. COMMON STOCK |
0x11bf5740A0C58535fa6dcb0D036C472BF52dc00d |
500 |
TPL |
TEXAS PACIFIC LAND CORPORATION COMMON STOCK |
0xEA53f85200035d91A860180C40eF69bE84356530 |
500 |
TPR |
TAPESTRY, INC. COMMON STOCK |
0x75d360504598c47a460919EeB2D6bf7e9BB909A8 |
500 |
TPTA |
TERRA PROPERTY TRUST, INC. 6.00% NOTES DUE 2026 |
0xeeE877Fc5D5A80dC7bE68D4c2B7c530a6657Ec47 |
500 |
TPVG |
TRIPLEPOINT VENTURE GROWTH BDC CORP. COMMON STOCK |
0x08D61C7024Bb72826D376D541A0e26C7f19631c3 |
500 |
TPYP |
TORTOISE CAPITAL SERIES TRUST TORTOISE NORTH AMERICAN PIPELINE FUND |
0xE52c73A3da299b57bC00aF636FEA5088CbBf62D6 |
500 |
TPZ |
TORTOISE ESSENTIAL ENERGY FUND |
0x1B8c316B987968D700f639632096997949b93E25 |
500 |
TR |
TOOTSIE ROLL INDUSTRIES, INC. COMMON STOCK |
0xbD5ce0bA5019E86efcBd1e1151D3F5670500882e |
500 |
TRAK |
REPOSITRAK, INC. COMMON STOCK |
0xD83ed424c42B68C70Dfdf572f881E23955232151 |
500 |
TRC |
TEJON RANCH CO COMMON STOCK |
0xB49089aE123e9b50673A8cf96c34835c9c2D9384 |
500 |
TREX |
TREX COMPANY, INC. COMMON STOCK |
0xc8861297A150535f681E330B67d3f536D9aC6c87 |
500 |
TRGP |
TARGA RESOURCES, INC. COMMON STOCK |
0x4d639A72E2b290134Ddf667e925E7d5646b7c36b |
500 |
TRN |
TRINITY INDUSTRIES, INC. COMMON STOCK |
0xc4a91c458DF78152d8e8bA079FF8A623675Fa7ab |
500 |
TRNO |
TERRENO REALTY CORPORATION COMMON STOCK |
0x9d7753eD2d51f57a0f178eC3Ae849576B8e6Ab45 |
500 |
TROX |
TRONOX HOLDINGS PLC ORDINARY SHARES (UK) |
0x4adfFc2757827527a75a47eB88AA14c77Ce687a3 |
500 |
TRP |
TC ENERGY CORPORATION COMMON STOCK |
0xA7c1D562D835061028f61CB3Fff5Aef7c2b3549a |
500 |
TRTN$A |
TRITON INTERNATIONAL LIMITED 8.50% SERIES A CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES |
0xa4eBEaB5FE94d21bfb594BAd05a0575b4806401E |
500 |
TRTN$B |
TRITON INTERNATIONAL LIMITED 8.00% SERIES B CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES |
0x0638A368032dAB025983Ae987eBD76cb6cd7218F |
500 |
TRTN$C |
TRITON INTERNATIONAL LIMITED 7.375% SERIES C CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES |
0xe89704B32531111F226b783fADb35965C2E9A50a |
500 |
TRTN$D |
TRITON INTERNATIONAL LIMITED 6.875% SERIES D CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES |
0x36F6c39ECb6e11aA7E4b974E910544B059624Df9 |
500 |
TRTN$E |
TRITON INTERNATIONAL LIMITED 5.75% SERIES E CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES |
0x07673C9063C1DFd57C748aD6CBe270e57373C57E |
500 |
TRTN$F |
TRITON INTERNATIONAL LIMITED 7.625% SERIES F CUMULATIVE REDEEMABLE PERPETUAL PREFERENCE SHARES |
0xd0CC3D2ed1EF84356F904B36DFDaEaCc99a541DE |
500 |
TRTX |
TPG RE FINANCE TRUST, INC. COMMON STOCK |
0x6FE98eb1F1135c1a76A8ddC26031CC350E547EaD |
500 |
TRTX$C |
TPG RE FINANCE TRUST, INC. 6.25% SERIES C CUMULATIVE REDEEMABLE PREFERRED STOCK, $0.001 PAR VALUE PER SHARE |
0xa0D82F9a76E7Be852D472B0a5A6ED37f1EbEe1eb |
500 |
TRU |
TRANSUNION COMMON STOCK |
0x13DCB12cA1E37eA9035C658CB93e9Aee6E61B800 |
500 |
TRV |
THE TRAVELERS COMPANIES, INC. COMMON STOCK |
0x48f831d6283fe1F2A81a9Fbf465a65DCe0f108A6 |
500 |
TS |
TENARIS S.A. AMERICAN DEPOSITARY SHARES |
0x89Ea900D0C6eac6f44f56301e63996B90CAE6e48 |
500 |
TSE |
TRINSEO PLC ORDINARY SHARES |
0x23D339A2883a2Ee95D91C12c72765BFDC4AF5528 |
500 |
TSI |
TCW STRATEGIC INCOME FUND, INC. COMMON STOCK |
0x9f129a338075E40C0aaf0A96975a239c2a29eEb9 |
500 |
TSLX |
SIXTH STREET SPECIALTY LENDING, INC. COMMON STOCK |
0x276df3D9Eb8ED5162A82f561812Ba787c1Bd64b6 |
500 |
TSM |
TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY LTD. |
0x1cE686D9261995aDAf4A5D7a613AD6C37f6E4e7C |
500 |
TSN |
TYSON FOODS, INC. COMMON STOCK |
0x6a05F4608dadAb0447eAe5A4657865D4523CA9e6 |
500 |
TSQ |
TOWNSQUARE MEDIA, INC. CLASS A COMMON STOCK |
0xf9a7C7CA2840b2b8b64Eaf31B6230A5B0832CfE2 |
500 |
TT |
TRANE TECHNOLOGIES PLC |
0x7131B7be9BE2e5A28285e4Ef569B4DF43EaC1366 |
500 |
TTAM |
TITAN AMERICA SA COMMON SHARES |
0x1d0aa4CA63CE446757a3a9f553480bA64f30Bf9f |
500 |
TTC |
TORO COMPANY (THE) COMMON STOCK |
0x0285dfa33605341Da7Cc9D0DC32Ca682c91824E4 |
500 |
TTE |
TOTALENERGIES SE |
0x8D2c09D01d2Da43dE33e98ae8746f6CA12CeD4e6 |
500 |
TTI |
TETRA TECHNOLOGIES, INC. COMMON STOCK |
0xDeBfDdAA9E9Bec96aCFEDfD51728976CEF3199F1 |
500 |
TU |
TELUS CORPORATION ORDINARY SHARES |
0xc062fdCBF5EfD4838d8AA7911a2812EF5c26A701 |
500 |
TUYA |
TUYA INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0xE5E05f5CA0412038B1f10b476D89f5B16280cf6c |
500 |
TV |
GRUPO TELEVISA S.A.B. COMMON STOCK |
0x3E52ee506f9BA487196d5D9788A2F69F76598809 |
500 |
TVC |
TENNESSEE VALLEY AUTHORITY COMMON STOCK |
0x374B2CAEFb8636968f5B79c4C74f8b0F54953441 |
500 |
TVE |
TENNESSEE VALLEY AUTHORITY |
0x015ACc8803D9fD421ec74F9E0E22f182E9Ff136e |
500 |
TWI |
TITAN INTERNATIONAL, INC. (DE) COMMON STOCK |
0xB319CbB2a53034bd07B42F8e7A4B08e86C68FA91 |
500 |
TWLO |
TWILIO INC. CLASS A COMMON STOCK |
0xeFe21f1b8Ac203cBAa64BE5806CBdbBB6E5dd34f |
500 |
TWN |
TAIWAN FUND, INC. (THE) COMMON STOCK |
0x16049D94c1134ba73D03755aE4d81706928BA534 |
500 |
TWO |
TWO HARBORS INVESTMENT CORP |
0x8ab71708bB0f44762CA2e037bC5A2f543D4C4232 |
500 |
TWO$A |
TWO HARBORS INVESTMENTS CORP 8.125% SERIES A FIXED |
0xdDB420F0a3d50fa1116Df20a9C4546E06d7156eE |
500 |
TWO$B |
TWO HARBORS INVESTMENTS CORP 7.625% SERIES B FIXED |
0xe858d374E59e9a993893e6c25dca51b1C28D8945 |
500 |
TWO$C |
TWO HARBORS INVESTMENTS CORP 7.25% SERIES C FIXED |
0xb722ccD6CbE0453145B94a87233e4587448c8DB1 |
500 |
TWOD |
TWO HARBORS INVESTMENTS CORP 9.375% SENIOR NOTES DUE 2030 |
0x5ED96b7B08D7f8fB165518C0784674cb28dc8060 |
500 |
TX |
TERNIUM S.A. TERNIUM S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN SHARES, USD1.00 PAR VALUE) |
0xBdb722C4F3E1e00C9E76c3b52c0103E70e36C2F1 |
500 |
TXNM |
TXNM ENERGY, INC. COMMON STOCK |
0x42c3C3fAe32253939Ad0532205333E7dE1D8fdFB |
500 |
TXO |
TXO PARTNERS, L.P. COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x0dfA5B339C1ED12ece36B25b646C52C13844239A |
500 |
TXT |
TEXTRON INC. COMMON STOCK |
0xE8aDe63827D04b760148b6Cb619aCC2D06eBf46a |
500 |
TY |
TRI CONTINENTAL CORPORATION COMMON STOCK |
0xbAAA7001C34B51416D4797d9e21C1449785f4302 |
500 |
TY$ |
TRI CONTINENTAL CORPORATION PREFERRED STOCK |
0x8Da7FC08459086516C5DA502C30951743Af8bb5B |
500 |
TYG |
TORTOISE ENERGY INFRASTRUCTURE CORPORATION COMMON STOCK |
0x5CA4471B63cDfa8Ca8Bb1bEe87290caD6BB45d3F |
500 |
TYL |
TYLER TECHNOLOGIES, INC. COMMON STOCK |
0xAE3Fa0952Ca590C95bfaD793Ab4EE56A91170899 |
500 |
U |
UNITY SOFTWARE INC. COMMON STOCK |
0xCc88E0E169e7BeaF347193E2fbEEc7a8837e57E9 |
500 |
UA |
UNDER ARMOUR, INC. CLASS C COMMON STOCK |
0xe1CB4d50caD9b7f9e06A7D6f8CF70b4Dc760a539 |
500 |
UAA |
UNDER ARMOUR, INC. CLASS A COMMON STOCK |
0x3cA1f85a7Ec25c5EA2af9E1258443Cb7D05A1D02 |
500 |
UAN |
CVR PARTNERS, LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x94177413516dd2CeDCaF0d1Abff177633A22bd7d |
500 |
UBER |
UBER TECHNOLOGIES, INC. COMMON STOCK |
0xaF345EEBc82A3EFaD224d3441AeEd30B1461f884 |
500 |
UBS |
UBS GROUP AG REGISTERED ORDINARY SHARES |
0x93221227F667b338Af81b36a228C490CdAe17D81 |
500 |
UCB |
UNITED COMMUNITY BANKS, INC. COMMON STOCK |
0x2C161473e3f4b4bD196C1583693364B5E2e0f012 |
500 |
UCB$I |
UNITED COMMUNITY BANKS, INC. DEPOSITARY SHARES, EACH REPRESENTING 1/1000TH INTEREST IN A SHARE OF SERIES I NON |
0xbcbFE0E7b07f40FDf355Cf682fd550391C6Ec0b0 |
500 |
UDR |
UDR, INC. COMMON STOCK |
0xe892E7c07BB9A77ad9F16a452223C4F13a8a9f45 |
500 |
UE |
URBAN EDGE PROPERTIES COMMON SHARES OF BENEFICIAL INTEREST |
0x7e7fcbbf06c745B015edb9c9f909718CC47b5fF4 |
500 |
UFI |
UNIFI, INC. NEW COMMON STOCK |
0xed2FCEdbFF154653Bd41ffdeF46D4B77F0F7839f |
500 |
UGI |
UGI CORPORATION COMMON STOCK |
0x6C89E030492f282E0810D238D26E60C744A92Ef8 |
500 |
UGP |
ULTRAPAR PARTICIPACOES S.A. (NEW) AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) |
0xAcB8F4D51dAC9AAE5a248Dbfc869FE01eD6d13Fa |
500 |
UHAL |
U |
0x3766A95eCdaD67C44cfbCd3310a8F397172911e8 |
500 |
UHAL.B |
U |
0x179A06bc4dF92B8E255B4B3b9d31Dae26aeAb2aE |
500 |
UHS |
UNIVERSAL HEALTH SERVICES, INC. COMMON STOCK |
0xd2b3031fDbF05dB72B3585ce1Ad6Ad6B4635fCe0 |
500 |
UHT |
UNIVERSAL HEALTH REALTY INCOME TRUST COMMON STOCK |
0x855c0860Ff05BDC9a4222d4a4370b657702e1d59 |
500 |
UI |
UBIQUITI INC. COMMON STOCK |
0xC859db3d3E84044623bA2A5d38D3d02033CFcF42 |
500 |
UIS |
UNISYS CORPORATION NEW COMMON STOCK |
0x07ce24E13BDFCb631383C30A85eb39A467FEAAF4 |
500 |
UL |
UNILEVER PLC COMMON STOCK |
0xe72c992B84Fa7D7Fa3De4c117dAdC3c8F402Aa51 |
500 |
ULS |
UL SOLUTIONS INC. CLASS A COMMON STOCK |
0x4829609B861c73a4400a8C985C3fF24A5A7AD156 |
500 |
UMC |
UNITED MICROELECTRONICS CORPORATION (NEW) COMMON STOCK |
0x9A6131BbFD63475DfdcC9E1F555fa5465Aa33389 |
500 |
UMH |
UMH PROPERTIES, INC. COMMON STOCK |
0xB8b185dd0Fbd7ace0F884c0F715C4eB04625ae77 |
500 |
UMH$D |
UMH PROPERTIES, INC. 6.375% SERIES D CUMULATIVE REDEEMABLE PREFERRED STOCK, LIQUIDATION PREFERENCE $25 PER SHARE |
0x06DFe677b63DA47635D547da81dBD381eb384E46 |
500 |
UNF |
UNIFIRST CORPORATION COMMON STOCK |
0x17a72ECEC1D97e55fB35648c4D7dBEA3fA3595Ca |
500 |
UNFI |
UNITED NATURAL FOODS, INC. COMMON STOCK |
0xaA0302EeF4c858F8093071626c0E5A7856aE4D68 |
500 |
UNH |
UNITEDHEALTH GROUP INCORPORATED COMMON STOCK (DE) |
0xd7C8166716AB6d15cbdf24A0b37bC703218Ec790 |
500 |
UNM |
UNUM GROUP COMMON STOCK |
0xD355A0D0BE5C9d12a4466B68116D0F2D85b9b074 |
500 |
UNMA |
UNUM GROUP 6.250% JUNIOR SUBORDINATED NOTES DUE 2058 |
0x2859AAbB7C8A418374b46401831E46E3337F515a |
500 |
UNP |
UNION PACIFIC CORPORATION COMMON STOCK |
0xD3CBB2561D3bFF7d56D947839C84248ffde5E6aa |
500 |
UP |
WHEELS UP EXPERIENCE INC. CLASS A COMMON STOCK |
0x1E81922e53d715dAb4fB8E6C82237bf9f0Fc1e01 |
500 |
UPS |
UNITED PARCEL SERVICE, INC. COMMON STOCK |
0xAc0c44e742d700536aE68A963054FDF799D4611b |
500 |
URI |
UNITED RENTALS, INC. COMMON STOCK |
0x733971350d828a4235E192C2a0fFc5ea315b397F |
500 |
USA |
LIBERTY ALL |
0x6D981452a533Dbf4F9cEfBD5494390dD07D253f9 |
500 |
USAC |
USA COMPRESSION PARTNERS, LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x2a6ECdb03e3171371673638c37439b443f38B839 |
500 |
USB |
U.S. BANCORP COMMON STOCK |
0xe2e6e04dCFF163f9337E2BF997153E57D3f3c0d5 |
500 |
USB$A |
U.S. BANCORP DEPOSITARY SHARES, EACH REPRESENTING A 1/100TH INTEREST IN A SHARE OF SERIES A NON |
0xeCCCf176da524361F76adE22F5350829C4d30A2f |
500 |
USB$H |
U.S. BANCORP DEPOSITARY SHARES REPSTG 1/1000TH PFD SER B |
0xB30AF007D0836180401Ee0A41F543da703F5FC7a |
500 |
USB$P |
U.S. BANCORP DEPOSITARY SHARES EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF SERIES K NON |
0x335f600dbA1f6377b5730F32f8858f782909504e |
500 |
USB$Q |
U.S. BANCORP DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF SERIES L NON |
0x4c7495617e84E5Ec70cC034379C505171859702D |
500 |
USB$R |
U.S. BANCORP DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF SERIES M NON |
0x39946e519b8383925ad959C300563Ae949c91Ef8 |
500 |
USB$S |
U.S. BANCORP DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF SERIES O NON |
0xF3ce83edF1D87Cf5777Cd86a4d71f3aa67D3B34b |
500 |
USFD |
US FOODS HOLDING CORP. COMMON STOCK |
0xF96526CeC8ae5dCdC72b15344B7b9060B72704e1 |
500 |
USM |
UNITED STATES CELLULAR CORPORATION COMMON STOCK |
0x95242C4f4bEe905C60f2C8a66926B31D6143365f |
500 |
USNA |
USANA HEALTH SCIENCES, INC. COMMON STOCK |
0xAa50875df39335A4494811E7a0E9429C72bd7c0B |
500 |
USPH |
U.S. PHYSICAL THERAPY, INC. COMMON STOCK |
0x6b7b4b78b8DEbD5cB4f1b68BD955A0ef7b856ACb |
500 |
UTF |
COHEN & STEERS INFRASTRUCTURE FUND, INC COMMON STOCK |
0x401040AD4c5a0d2f55443aFd421D55277B426DD9 |
500 |
UTI |
UNIVERSAL TECHNICAL INSTITUTE INC COMMON STOCK |
0x4F3d99bee7e68E205FD4E0f9D0e8A5aE18aD682B |
500 |
UTL |
UNITIL CORPORATION COMMON STOCK |
0x290a24c4a108e106ba565d87Ed7658ef72440926 |
500 |
UTZ |
UTZ BRANDS INC CLASS A COMMON STOCK |
0xF8AB3973bebf278Fd720466af4C7A258186e1427 |
500 |
UVE |
UNIVERSAL INSURANCE HOLDINGS INC COMMON STOCK |
0xd8E24Dc6F34C7843Acc0FAc9DcE8f3F3F359761a |
500 |
UVV |
UNIVERSAL CORPORATION COMMON STOCK |
0x73Ac775398079b2C67a35f1ebBF7A540a93701af |
500 |
UWMC |
UWM HOLDINGS CORPORATION CLASS A COMMON STOCK |
0xd9786F438f6Ee27124079f607e76B8D862528F0c |
500 |
UWMC.W |
UWM HOLDINGS CORPORATION WARRANT |
0x1FF81488134cEcc73960dC043A51939d2570AC30 |
500 |
UZD |
UNITED STATES CELLULAR CORPORATION 6.250% SENIOR NOTES DUE 2069 |
0x0C394203C7597C2dfD18132CF8eaC659F54Ad13E |
500 |
UZE |
UNITED STATES CELLULAR CORPORATION 5.500% SENIOR NOTES DUE 2070 |
0x4f6648619C908650cAB2Dad3A4659dbe07D75F67 |
500 |
UZF |
UNITED STATES CELLULAR CORPORATION 5.500% SENIOR NOTES DUE 2070 |
0xC22d33C74e32AC562ddBb14d3a8cAaEb24B03Fc0 |
500 |
V |
VISA INC. |
0x93E1867484Ac005DcC11DFa6eCFF7D08e54b4E5b |
500 |
VAC |
MARRIOTT VACATIONS WORLDWIDE CORPORATION COMMON STOCK |
0x63c60a10bFD40391D7FF997715fe3622A1d212E8 |
500 |
VAL |
VALARIS LIMITED COMMON SHARES |
0xcdea555f58362c9165667AE4a55f1ACAbD008aC8 |
500 |
VAL.W |
VALARIS LIMITED WARRANTS |
0xE1B6E437aEe50CedC6f47ec3330d3D9589d986d9 |
500 |
VALE |
VALE S.A. AMERICAN DEPOSITARY SHARES EACH REPRESENTING ONE COMMON SHARE |
0xDd3d3e989e5e691ce9852314C6526722644A2eAC |
500 |
VATE |
INNOVATE CORP. COMMON STOCK |
0xFB60a547725287845EB7E76F7C231674f1173AfF |
500 |
VBF |
INVESCO BOND FUND COMMON STOCK |
0x659D4753112eFF5C9eED22DA1C386f3114CAc9aF |
500 |
VCV |
INVESCO CALIFORNIA VALUE MUNICIPAL INCOME TRUST COMMON STOCK |
0xe7E769A2A682d092e2dbdB00Fe822003A1633468 |
500 |
VEEV |
VEEVA SYSTEMS INC. CLASS A COMMON STOCK |
0xDD2bB4c44da0E57a32EB42663DD49612b3BFA9d8 |
500 |
VEL |
VELOCITY FINANCIAL, INC. COMMON STOCK |
0x283A33476658D27e1da3a445C113f38C8c0C88Df |
500 |
VET |
VERMILION ENERGY INC. COMMON (CANADA) |
0x26044F9f1856c99af3c2FaD2CEfe4D74c7C39644 |
500 |
VFC |
V.F. CORPORATION COMMON STOCK |
0xa8e76C3e517F7b6e7dE645F22f0ae15c02B19a68 |
500 |
VG |
VENTURE GLOBAL, INC. CLASS A COMMON STOCK |
0x181b01cf436fB2a2261f6c9a81066d2e8F075324 |
500 |
VGI |
VIRTUS GLOBAL MULTI |
0xCC7c5fE2031f8Dc499DB9fB75F18Fc1DDC90c140 |
500 |
VGM |
INVESCO TRUST FOR INVESTMENT GRADE MUNICIPALS COMMON STOCK (DE) |
0xb87F4528b796E89C464A8d66F1128f876A1C228A |
500 |
VHC |
VIRNETX HOLDING CORP COMMON STOCK |
0x0F4aD4248645df11E16722770A9C294A7cc6D38f |
500 |
VHI |
VALHI, INC. COMMON STOCK |
0x3489c622d7061d318B9578DDC9518fd9dAD9cd93 |
500 |
VICI |
VICI PROPERTIES INC. COMMON STOCK |
0x2B39693e97A78fce26b37Ed488D81a02d3FB24e5 |
500 |
VIK |
VIKING HOLDINGS LTD ORDINARY SHARES |
0x61b0D1Cbf1a1D29764c2A096780f8bcdfc94B057 |
500 |
VIPS |
VIPSHOP HOLDINGS LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO ORDINARY SHARES |
0xccCAf779790197e7cc3Ef62863833D8e860A246E |
500 |
VIRT |
VIRTU FINANCIAL, INC. CLASS A COMMON STOCK |
0x3f2B2916Dd928A6057A42e2e061D884e63DCBb11 |
500 |
VIST |
VISTA ENERGY S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE SERIES A SHARE, WITH NO PAR VALUE |
0xF471fDd3Ddc59D71a12ca5A9810826828D74250a |
500 |
VIV |
TELEFONICA BRASIL S.A. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) |
0xD23Fba4171D1a8a9aA1d063a90DB7696b080654C |
500 |
VKQ |
INVESCO MUNICIPAL TRUST COMMON STOCK |
0x24360dfd0F5a54396648C139716Cb51FE82cD8B3 |
500 |
VLN |
VALENS SEMICONDUCTOR LTD. ORDINARY SHARES |
0x48A4eB242365D169c9B36503d70d94EE8BC7d808 |
500 |
VLN.W |
VALENS SEMICONDUCTOR LTD. WARRANTS, EACH WARRANT TO PURCHASE ONE |
0x9E4eF30105a73b9215A33cfBFb98156d7E74098c |
500 |
VLO |
VALERO ENERGY CORPORATION COMMON STOCK |
0x0C5847D00A10bB56143DA6A7FBe74bA1a8012074 |
500 |
VLRS |
CONTROLADORA VUELA COMPANIA DE AVIACION, S.A.B. DE C.V. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TEN (10) ORDINARY PARTICIPATION CERTIFICATES |
0xf5a908095f5b2Ce4acD8802E5F7985CACd98E818 |
500 |
VLT |
INVESCO HIGH INCOME TRUST II |
0x55546803E409F68b2536c04520D413A41aa2eb76 |
500 |
VLTO |
VERALTO CORP COMMON STOCK |
0x0068721495D20F9699b6527a2589644F9e7d8d1E |
500 |
VMC |
VULCAN MATERIALS COMPANY (HOLDING COMPANY) COMMON STOCK |
0x57f9f7d007684F2bA4F756674FC20114188Fe9cB |
500 |
VMI |
VALMONT INDUSTRIES, INC. COMMON STOCK |
0xFFf5a4dbC0E73ACaEf42d197fd6a04A37189e31c |
500 |
VMO |
INVESCO MUNICIPAL OPPORTUNITY TRUST COMMON STOCK |
0x9Ecb37d747dE3967E0bD1F51D72BfF455c3898b5 |
500 |
VNCE |
VINCE HOLDING CORP. COMMON STOCK |
0x3Ae0E9318Fe49e9708077418D7cE143482E11c90 |
500 |
VNO |
VORNADO REALTY TRUST COMMON STOCK |
0x539c91bb3FB47465E5f00a25418bd1037f7cCa53 |
500 |
VNO$L |
VORNADO REALTY TRUST PFD SER L % |
0xf1e3d9599b1FeAA21F44E42c551817B5AC8c1221 |
500 |
VNO$M |
VORNADO REALTY TRUST 5.25% SERIES M CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST, LIQUIDATION PREFERENCE $25.00 PER SHARE, NO PAR VALUE PER SHARE |
0x8F4cd96a0c2199bB2317508F0EB84751936FB1f3 |
500 |
VNO$N |
VORNADO REALTY TRUST 5.25% SERIES N CUMULATIVE REDEEMABLE PREFERRED SHARES OF BENEFICIAL INTEREST, LIQUIDATION PREFERENCE $25.00 PER SHARE |
0xf433adc995EFF9B8511Cf0125B6e5355A7534e01 |
500 |
VNO$O |
VORNADO REALTY TRUST 4.45% SERIES O CUMULATIVE REDEEMABLE PREFERRED SHARES, LIQUIDATION PREFERENCE $25.00 PER SHARE |
0x14Ba4da1dBEaD656eF9B3e6D51CE98aDbd538730 |
500 |
VNT |
VONTIER CORPORATION COMMON STOCK |
0xD241da7D79D1c611CE93c1c9c16F6D98E64654Df |
500 |
VOC |
VOC ENERGY TRUST UNITS OF BENEFICIAL INTEREST |
0x5bd6e9B907A22793A13cB658A8C7dd33c27388C7 |
500 |
VOYA |
VOYA FINANCIAL, INC. COMMON STOCK |
0x2ED61545776B3b385b389024144fa635771Bbf0C |
500 |
VOYA$B |
VOYA FINANCIAL, INC. DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.35% FIXED |
0x00CFf43896F2bcb707d63dC422EeB9bd163F8dBc |
500 |
VOYG |
VOYAGER TECHNOLOGIES, INC. CLASS A COMMON STOCK |
0xFBDF864Fa0EE2dfa44071288d37BEc01e30fF1F7 |
500 |
VPG |
VISHAY PRECISION GROUP, INC. COMMON STOCK |
0xB37FEa02E1AA363Db3D614f7B742Ac46b28c6d60 |
500 |
VPV |
INVESCO PENNSYLVANIA VALUE MUNICIPAL INCOME TRUST COMMON STOCK (DE) |
0x4948db20fB8B02009CfF104302593Ac6997B4405 |
500 |
VRE |
VERIS RESIDENTIAL, INC. COMMON STOCK |
0xa492A539edA62820B2a4F1945Ce18b36A54003e8 |
500 |
VRT |
VERTIV HOLDINGS, LLC CLASS A COMMON STOCK |
0xB424aA520dF05616DD9C63730746c198aD6F577B |
500 |
VRTS |
VIRTUS INVESTMENT PARTNERS, INC. COMMON STOCK |
0x49b7a4ed516f550A7A5DDaa622F0e157D8c6c717 |
500 |
VSCO |
VICTORIAS SECRET & CO. COMMON STOCK |
0x00439d1d7101ADE4C63c6204C9bCAbeEf2B66C44 |
500 |
VSH |
VISHAY INTERTECHNOLOGY, INC. COMMON STOCK |
0x3008DeaA5E023af254ad5dD52224B22bDe5563b6 |
500 |
VST |
VISTRA CORP. COMMON STOCK |
0xF000863286a158F1b6B0302B3dE38D9fEC73171b |
500 |
VSTS |
VESTIS CORPORATION COMMON STOCK |
0xe0E0B5fd5de72E0cdaFCE05a2bAdBB5ffBf0b658 |
500 |
VTEX |
VTEX CLASS A COMMON SHARES |
0x4Ca80d8337D1a1320991F5BCD14f7A539B2bf995 |
500 |
VTLE |
VITAL ENERGY, INC. COMMON STOCK, PAR VALUE $0.01 PER SHARE |
0x8b0340406635C173A56EC1bc999Dd74692d196eD |
500 |
VTMX |
CORPORACION INMOBILIARIA VESTA, S.A.B DE C.V. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TEN (10) COMMON SHARES |
0xc15554bc5a013cbA1c008C6252922504ACEe0A6d |
500 |
VTN |
INVESCO TRUST FOR INVESTMENT GRADE NEW YORK MUNICIPALS COMMON STOCK |
0xc62dE08aAa1E44d1277e778c418fb0eB0d4FbFB4 |
500 |
VTOL |
BRISTOW GROUP, INC. COMMON STOCK |
0x33720a24111be78b298B9cA88DfFC9f3cc7FCe9c |
500 |
VTR |
VENTAS, INC. COMMON STOCK |
0xefDB31978A4cbeEF5b998EE7e95023eff74e304b |
500 |
VTS |
VITESSE ENERGY, INC. COMMON STOCK |
0x6052E6b9b658E8c35c8BB32968d7BD59d7BBF571 |
500 |
VVR |
INVESCO SENIOR INCOME TRUST COMMON STOCK (DE) |
0x2C58De820ec8077633195838300ee5C0D9e8eaE1 |
500 |
VVV |
VALVOLINE INC. COMMON STOCK |
0x529d3703eb72B23237e66ee6dd71B04f0420867A |
500 |
VVX |
V2X, INC. COMMON STOCK |
0xac94D967190af45a295c90e2C992f4d16bcCDeF8 |
500 |
VYX |
NCR VOYIX CORPORATION COMMON STOCK |
0xBB4812C744633a3d884cF29648661a498c22fcb4 |
500 |
VZ |
VERIZON COMMUNICATIONS INC. COMMON STOCK |
0x315081CCaed2d40378a837eBfecB28f147C76AA4 |
500 |
W |
WAYFAIR INC. CLASS A COMMON STOCK |
0xe53ACFacCE70f19A0c746b8e68CB5aF4759Bd4a0 |
500 |
WAB |
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORPORATION COMMON STOCK |
0xaAdd11ccEFc6e978D7633f75443fF6B6bdAc93CE |
500 |
WAL |
WESTERN ALLIANCE BANCORPORATION COMMON STOCK (DE) |
0x4941367577a3F3Dd814eA1Ed7E5B47D7053dC354 |
500 |
WAL$A |
WESTERN ALLIANCE BANCORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/400TH INTEREST IN A SHARE OF 4.250% FIXED |
0x42727a1Ac44301ba78546de5B9CA8e65643c883C |
500 |
WAT |
WATERS CORPORATION COMMON STOCK |
0x55CA6eB02278411dEAD14587C3748Ef3475cF984 |
500 |
WBS |
WEBSTER FINANCIAL CORPORATION COMMON STOCK |
0xAeFF050BE735069c3A8E134008e079317Ad17E1f |
500 |
WBS$F |
WEBSTER FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/1,000TH INTEREST IN A SHARE OF 5.25% SERIES F NON |
0xc6aa76F60fEe0dADb398b41A0895Bc0D445261d3 |
500 |
WBS$G |
WEBSTER FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 6.50% SERIES G NON |
0xF6E7ee66ee373160C34d6f65F567Fec43510D81d |
500 |
WBX |
WALLBOX N.V. CLASS A ORDINARY SHARES |
0x90deBB47D0c3faDd09261c16193496a2B0369896 |
500 |
WCC |
WESCO INTERNATIONAL, INC. COMMON STOCK |
0x649276C2C6e812D9670298d4dB0439F37B4AD099 |
500 |
WCN |
WASTE CONNECTIONS, INC. COMMON SHARES |
0x3bab792F9d9a2ca4dB64220706fD1bC590AC335e |
500 |
WD |
WALKER & DUNLOP, INC COMMON STOCK |
0xADbd670De1d842987ea1179ba3dfF93c76C9fBc7 |
500 |
WDH |
WATERDROP INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THE RIGHT TO RECEIVE 10 CLASS A ORDINARY SHARES) |
0xd68241654FA873c519FCe67C4900Edeae9352235 |
500 |
WDI |
WESTERN ASSET DIVERSIFIED INCOME FUND COMMON SHARES OF BENEFICIAL INTEREST |
0xaC9f7Fd28d9982607102bAd504C3bBce9CA14d63 |
500 |
WDS |
WOODSIDE ENERGY GROUP LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE ORDINARY SHARE |
0xD69375f699324fa8579cDB162FC815D3134fa640 |
500 |
WEA |
WESTERN ASSET BOND FUND SHARE OF BENEFICIAL INTEREST |
0xd151905B14eb0A6D6f029c291ED5E0C90A20D901 |
500 |
WEAV |
WEAVE COMMUNICATIONS, INC. COMMON STOCK |
0x3567b31A36C2ef2A910e67F1c4eCf5fdcBBe6DcD |
500 |
WEC |
WEC ENERGY GROUP, INC. COMMON STOCK |
0x70F19dBa9acc292e1ae2558958f3b2834E8b6268 |
500 |
WELL |
WELLTOWER INC. COMMON STOCK |
0x39BEE9B3F979f7600AE8321578e1de10F0ef0fe1 |
500 |
WES |
WESTERN MIDSTREAM PARTNERS, LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0xfAFd4D7821360D1bfeb0Ba216bfD1e416EC9DB80 |
500 |
WEX |
WEX INC. COMMON STOCK |
0x0A3cc21cBAD25c0eb6eA6728C664A2ad84a0eC36 |
500 |
WF |
WOORI FINANCIAL GROUP INC. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING THREE (3) SHARES OF COMMON STOCK) |
0xcd3d55F0e0b044D765a340dA838Fd269967d48B9 |
500 |
WFC |
WELLS FARGO & COMPANY COMMON STOCK |
0xa9D48B387B0Bc8cb2Fe4348006240d68A818080c |
500 |
WFC$A |
WELLS FARGO & COMPANY DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF NON |
0x932124f8731ca969de9268dE095B8f8D7dd52723 |
500 |
WFC$C |
WELLS FARGO & COMPANY DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF NON |
0x16aAfd0471EeE75fb4c67001F582A355096A3076 |
500 |
WFC$D |
WELLS FARGO & COMPANY DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF NON |
0x547EeA0574083f4CC63E578d0430Fc8325Cc4911 |
500 |
WFC$L |
WELLS FARGO & COMPANY 7.50% NON |
0xF044E82BE515631aeC0Cc7807e82412632455654 |
500 |
WFC$Y |
WELLS FARGO & COMPANY DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF NON |
0x71dD6C94cAb84CffBC7B1Be1692a3f0A52dCFF19 |
500 |
WFC$Z |
WELLS FARGO & COMPANY DEPOSITARY SHARES, EACH REPRESENTING A 1/1,000TH INTEREST IN A SHARE OF NON |
0x0bc1762d7B433E468bf551124f67AF4C05e9Df35 |
500 |
WFG |
WEST FRASER TIMBER CO. LTD COMMON STOCK |
0xC90939aD8Ceb19eB0593B8827Bf67995Abac9862 |
500 |
WGO |
WINNEBAGO INDUSTRIES, INC. COMMON STOCK |
0xee2d7D61cfb4C4C8d2b1738d39464Ee8Bd69f24c |
500 |
WH |
WYNDHAM HOTELS & RESORTS, INC. COMMON STOCK |
0xA454c77aDcf205e4136a04E6b3CaC4d7283B557A |
500 |
WHD |
CACTUS, INC. CLASS A COMMON STOCK |
0x9F8e94B155D621FA548442762405AF44c5F03a51 |
500 |
WHG |
WESTWOOD HOLDINGS GROUP INC COMMON STOCK |
0xF0f5Ee967132Bd66601bb511871267Ddf4993c47 |
500 |
WHR |
WHIRLPOOL CORPORATION COMMON STOCK |
0x5c8eab6e5dfB90821913c06EaC1BAC52741cCba4 |
500 |
WIA |
WESTERN ASSET INFLATION |
0x3aBA2FFB99B63a55df5C0Dc3E83535135e708570 |
500 |
WINN |
HARBOR ETF TRUST HARBOR LONG |
0x3F9CA91561DED804F64393b193221b12a5b6E540 |
500 |
WIT |
WIPRO LIMITED COMMON STOCK |
0xf55C7FB9B341Cf275ECC57DDF402C93510FAA75D |
500 |
WIW |
WESTERN ASSET INFLATION |
0x061C1a77bA047507aDB3DafAfBA57d6e418960f9 |
500 |
WK |
WORKIVA INC. CLASS A COMMON STOCK |
0xf191bD2F7BdB8Be92a8239fea67881A36bb1Bc00 |
500 |
WKC |
WORLD KINECT CORPORATION COMMON STOCK |
0x23A171F57eda2f9dAB39f3bAa0d8526785F1CA28 |
500 |
WLK |
WESTLAKE CORPORATION COMMON STOCK |
0x07b27DDe7DF08f9536a1BD6063fe9f8440b6d580 |
500 |
WLKP |
WESTLAKE CHEMICAL PARTNERS LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0x3Ca0Fc64dA4a3C665bAF6bdc49C5AbAAB365a2f7 |
500 |
WLTG |
ETF OPPORTUNITIES TRUST WEALTHTRUST DBS LONG TERM GROWTH ETF |
0x9e9C7BE86aB2C6D89545F0E800f1eB98f2809D73 |
500 |
WLY |
JOHN WILEY & SONS, INC. COMMON STOCK |
0xAc565b0a95E1BDeF98EE536b653b34c1FDc6612c |
500 |
WLYB |
JOHN WILEY & SONS, INC. COMMON STOCK |
0x2Ec6383Fdfd26c657c4F6aAf57A818BD1E900603 |
500 |
WM |
WASTE MANAGEMENT, INC. COMMON STOCK |
0x24C2119A98FEabE83f49EB7eEA9690E0829388C7 |
500 |
WMB |
WILLIAMS COMPANIES, INC. (THE) COMMON STOCK |
0x7B1F6a060d028fd5c1fb788813C0F101430E84C9 |
500 |
WMK |
WEIS MARKETS, INC. COMMON STOCK |
0xaEE89e91017324c31C49c577658c600faa56496a |
500 |
WMS |
ADVANCED DRAINAGE SYSTEMS, INC. COMMON STOCK |
0x19F235dD52dFDC19e4DE9441190278c403a03eF0 |
500 |
WMT |
WALMART INC. COMMON STOCK |
0x331C38A167f7D1Cf4c92592B02FBC5e336569fA7 |
500 |
WNC |
WABASH NATIONAL CORPORATION COMMON STOCK |
0xDc1eA655A60E402f12161aA21cf33D9CC4958695 |
500 |
WNS |
WNS (HOLDINGS) LIMITED ORDINARY SHARES |
0xe4CfAabcc2b61Ae7a403Fe75fed068A0E096A4b5 |
500 |
WOLF |
WOLFSPEED, INC. COMMON STOCK |
0xe060E4DfBD0dea19c08Df08539640Cd2B4005471 |
500 |
WOR |
WORTHINGTON ENTERPRISES, INC. COMMON SHARES |
0x9AA96E3260cD883A7d0B35a2A2C3e53beCBaea09 |
500 |
WOW |
WIDEOPENWEST, INC. COMMON STOCK |
0x0C9bCf9F26b2055184bbe29f7f75C69C8F3f2C9d |
500 |
WPC |
W. P. CAREY INC. REIT |
0xdcD84d3Cf6C4c24e2AeA62F7EAf23BBc67E19d2a |
500 |
WPM |
WHEATON PRECIOUS METALS CORP COMMON SHARES (CANADA) |
0x87C0e91284FD37e2c1C0b01D1f7Cc2c25437282f |
500 |
WPP |
WPP PLC AMERICAN DEPOSITARY SHARES |
0x0b10B837dC8E4a92136Cd082820b67311f9b38Ea |
500 |
WRB |
W.R. BERKLEY CORPORATION COMMON STOCK |
0x820dfefE804C0EC0D3e1243394dbB9f49FdDAE3b |
500 |
WRB$E |
W.R. BERKLEY CORPORATION 5.70% SUBORDINATED DEBENTURES DUE 2058 |
0x479A0BB4AdBBF912B80D7e0669C18455AeDBe314 |
500 |
WRB$F |
W.R. BERKLEY CORPORATION 5.10% SUBORDINATED DEBENTURES DUE 2059 |
0x1FfE4F1ec900E65Aafaa466A177856FEF0349119 |
500 |
WRB$G |
W.R. BERKLEY CORPORATION 4.25% SUBORDINATED DEBENTURES DUE 2060 |
0x6d366d636fC55c0e3324726BE4177BE93D3A2E24 |
500 |
WRB$H |
W.R. BERKLEY CORPORATION 4.125% SUBORDINATED DEBENTURES DUE 2061 |
0x7dFb36312ff23543F30d1c6eaDb0c193b52c5f1F |
500 |
WRBY |
WARBY PARKER INC. CLASS A COMMON STOCK |
0x1a8119da309B826443b3364c1444f0597AE73fEf |
500 |
WS |
WORTHINGTON STEEL, INC. COMMON SHARES |
0xd5B6Db14E073F4868d60e67D13E525F2c27A47dC |
500 |
WSM |
WILLIAMS |
0x7026a4dc644989d8da77dF7a393d27c145Da897a |
500 |
WSO |
WATSCO, INC. COMMON STOCK |
0xC1f3F9E4393ca9347D31Fab84EBe46c0BA530F88 |
500 |
WSO.B |
WATSCO, INC. CLASS B COMMON STOCK |
0x47D2efe14ECaCB44807ddEfD7ccAB0fff0B223d5 |
500 |
WSR |
WHITESTONE REIT COMMON SHARES |
0x6F07AE3708D182231A5C36d9723F9C097793C957 |
500 |
WST |
WEST PHARMACEUTICAL SERVICES, INC. COMMON STOCK |
0xf8f19D222bC2D288Fa3d02992C3b2d9ed06d1E52 |
500 |
WT |
WISDOMTREE, INC. COMMON STOCK |
0x875AbC59aC2e0089148264a7DD230696cdD3013A |
500 |
WTI |
W&T OFFSHORE, INC. COMMON STOCK |
0x7B7b1712545Bd1C307229d017f814c4614823c99 |
500 |
WTM |
WHITE MOUNTAINS INSURANCE GROUP, LTD. COMMON STOCK |
0x02f22980690F90915346657f197DfF6Fb9BaEEAf |
500 |
WTRG |
ESSENTIAL UTILITIES, INC. COMMON STOCK |
0x9Cecb74437727D3033ecD9e50Bc4Af5356395eB4 |
500 |
WTS |
WATTS WATER TECHNOLOGIES, INC. CLASS A COMMON STOCK |
0xf803Df2EF5DC8Dae75cfE63B69B0158af9A627E6 |
500 |
WTTR |
SELECT WATER SOLUTIONS, INC. CLASS A COMMON STOCK |
0x51bDD784aEF6501Cff97bd964a71f40b34d84F7E |
500 |
WU |
WESTERN UNION COMPANY (THE) COMMON STOCK |
0x4B3E1fED1EfAcB6b2422a205CCaF036B17C8DDcC |
500 |
WWW |
WOLVERINE WORLD WIDE, INC. COMMON STOCK |
0xE8697Ed7B81Ba6dC720401Cb0f69303D4275f611 |
500 |
WY |
WEYERHAEUSER COMPANY COMMON STOCK |
0xA1638b32805ab4d6080729D285803A8Da598C0ad |
500 |
XFLT |
XAI OCTAGON FLOATING RATE & ALTERNATIVE INCOME TRUST COMMON SHARES OF BENEFICIAL INTEREST |
0xa96C95FA86B713adfAfb79Ca01485eAfAA25c89A |
500 |
XFLT$A |
XAI OCTAGON FLOATING RATE & ALTERNATIVE INCOME TRUST 6.50% SERIES 2026 TERM PREFERRED SHARES, (LIQUIDATION PREFERENCE $25.00) |
0xc39b38854bEaEddf7E3ABA73260F2e0E32941494 |
500 |
XHR |
XENIA HOTELS & RESORTS, INC. COMMON STOCK |
0xdfA50fF7c31839261d8e15bDf97093AcA615F258 |
500 |
XIFR |
XPLR INFRASTRUCTURE, LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS |
0xc132CFB5FC9ca2aD6b0EeC9494c998502a200dcC |
500 |
XIN |
XINYUAN REAL ESTATE CO LTD AMERICAN DEPOSITARY SHARES |
0x2782cEF852D5D93BFA190d82baa7eE28B53dB299 |
500 |
XOM |
EXXON MOBIL CORPORATION COMMON STOCK |
0x78363366e47F3cd5ae56C946E361B247BC0A0985 |
500 |
XPER |
XPERI INC. COMMON STOCK |
0x954D4CF27022f71b219350731c0bca47d6AEE25C |
500 |
XPEV |
XPENG INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO CLASS A ORDINARY SHARES |
0x32F73e3F81793F444780C106588d109E460417aa |
500 |
XPO |
XPO, INC. COMMON STOCK |
0x7D5ecF3Fa0Cb3E8052a2a876E5b123161329547E |
500 |
XPOF |
XPONENTIAL FITNESS, INC. CLASS A COMMON STOCK |
0x635332adaB5C35aC97beaA047cb0bbC41CE17b25 |
500 |
XPRO |
EXPRO GROUP HOLDINGS N.V. COMMON STOCK |
0x75e4101E8204d86717bFfeAAAd6Ce090797e7776 |
500 |
XYF |
X FINANCIAL AMERICAN DEPOSITARY SHARES, EACH REPRESENTING SIX CLASS A ORDINARY SHARES |
0x4F8B36345710aFf1084FC1Fd098bbb2feC3691A6 |
500 |
XYL |
XYLEM INC. COMMON STOCK NEW |
0x729c8781cdf28EccbE9e62dF1a4b211f4693A944 |
500 |
XYZ |
BLOCK, INC. CLASS A COMMON STOCK, |
0x7Da94e9dD1600f1909851a9a12533eF5B18Cc3CE |
500 |
YALA |
YALLA GROUP LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE |
0xbbd4F962335A6280F35Df06eaaAA5637cD8e43Cc |
500 |
YELP |
YELP INC. COMMON STOCK |
0x48Fb44369f280fD243BFc8D3503D3f7f40790940 |
500 |
YETI |
YETI HOLDINGS, INC. COMMON STOCK |
0x6cf4946361984AD55f239814105D2726471D3E3F |
500 |
YEXT |
YEXT, INC. COMMON STOCK |
0x611b2DD5C68c4e5E3A337b787d7F74D6e988c519 |
500 |
YMM |
FULL TRUCK ALLIANCE CO. LTD. AMERICAN DEPOSITARY SHARES (EACH REPRESENTING 20 CLASS A ORDINARY SHARES) |
0x272430D67485620b9f5b72bDa510a556C0348114 |
500 |
YOU |
CLEAR SECURE, INC. CLASS A COMMON STOCK |
0x08487567f8dDFfA08141Ca852Bada43d2042626a |
500 |
YPF |
YPF SOCIEDAD ANONIMA COMMON STOCK |
0x8Ba3223b3A6F78e4cD4b1E704157A2daAe0caAea |
500 |
YRD |
YIREN DIGITAL LTD. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWO ORDINARY SHARES |
0xfa07330509860C5d441290C2bd6F78e85d546Df1 |
500 |
YSG |
YATSEN HOLDING LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING TWENTY (20) CLASS A ORDINARY SHARES |
0xF66b085508Eb547F6564C3c233bD49D777F23cd4 |
500 |
YUM |
YUM! BRANDS, INC. |
0x2182447B1CBeFC1D8624376118df3dcf8E89D7a4 |
500 |
YUMC |
YUM CHINA HOLDINGS, INC. COMMON STOCK |
0xCDF8C0AB76a8D8Dd0C56B2097D5c020bE544FB23 |
500 |
ZBH |
ZIMMER BIOMET HOLDINGS, INC. COMMON STOCK |
0x4AC195b343F5f272e2A8DAf3324f964D3dA08164 |
500 |
ZEPP |
ZEPP HEALTH CORPORATION AMERICAN DEPOSITARY SHARES, EACH REPRESENTING SIXTEEN CLASS A ORDINARY SHARES |
0xF732681C52c115BacECE6dF0C1667D38B9B4610c |
500 |
ZETA |
ZETA GLOBAL HOLDINGS CORP. CLASS A COMMON STOCK |
0xfC20A57b0F7cE6C560DE06a2b174a46efeAe0D01 |
500 |
ZGN |
ERMENEGILDO ZEGNA N.V. ORDINARY SHARES |
0x7D81E0C83eC82a2C2212785AEfBfA0567F8B2829 |
500 |
ZH |
ZHIHU INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING THREE (3) CLASS A ORDINARY SHARES |
0x3652366D14fc686D88923E92c9A98515B523C341 |
500 |
ZIM |
ZIM INTEGRATED SHIPPING SERVICES LTD. ORDINARY SHARES |
0xF5B4bF7e0239021df05aa6f8bCb83C6Adc11fC44 |
500 |
ZIP |
ZIPRECRUITER, INC. CLASS A COMMON STOCK |
0x5137114223D70e4761b6A38Ca1cd2C4bDcbDc1a9 |
500 |
ZK |
ZEEKR INTELLIGENT TECHNOLOGY HOLDING LIMITED AMERICAN DEPOSITARY SHARES (EACH REPRESENTING TEN (10) ORDINARY SHARES) |
0xc946b100270bd21870dFbC3757Aa979B1bb1d90c |
500 |
ZKH |
ZKH GROUP LIMITED AMERICAN DEPOSITARY SHARES, EACH REPRESENTING THIRTY |
0x20cBb55bD99cE8dD3f4974700400f546f373cF12 |
500 |
ZTO |
ZTO EXPRESS (CAYMAN) INC. AMERICAN DEPOSITARY SHARES, EACH REPRESENTING ONE CLASS A ORDINARY SHARE. |
0xC703332a1Bf1821cEcE32BfB24dcc1C907683557 |
500 |
ZTR |
VIRTUS TOTAL RETURN FUND INC. |
0x40e14EF893A536CeAd9c4CD076fe29ce4DF6a522 |
500 |
ZTS |
ZOETIS INC. CLASS A COMMON STOCK |
0x5Bd6A722C910870414838d60610922c0D8F7A82e |
500 |
ZVIA |
ZEVIA PBC CLASS A COMMON STOCK |
0xA694ee55F8e0f8B0489B61375cac5A5f02Ee6660 |
500 |
ZWS |
ZURN ELKAY WATER SOLUTIONS CORPORATION COMMON STOCK |
0x4b71DDC8461e6Ced57aD81E3aa4CFF80FDB5117e |
500 |