Marginaltaxrate.xlsx

MTR

Company Name MTR Ticker Industry CUSIP
AAC HOLDINGS INC 22.8% AAC Health Care 00030710
AAON INC 35.0% AAON Industrials 00036020
AAR CORP 36.0% AIR Industrials 00036110
ACCO BRANDS CORP 34.7% ACCO Industrials 00081T10
ACNB CORP 35.0% ACNB Financials 00086810
ADMA BIOLOGICS INC 1.6% ADMA Health Care 00089910
ABM INDUSTRIES INC 35.0% ABM Industrials 00095710
ADM TRONICS UNLIMITED INC/DE 3.5% ADMTC Materials 00100410
AEP INDUSTRIES INC AEPI Materials 00103110
AFLAC INC 36.0% AFL Financials 00105510
AF OCEAN INVESTMENT MGMT CO 4.6% AFAN Financials 00107N10
AGCO CORP 35.7% AGCO Industrials 00108410
AG&E HOLDINGS INC 0.1% WGA Consumer Discretionary 00108M10
AEP TEXAS NORTH CO 37.6% AEP14 Utilities 0010ER00
AG MORTGAGE INVESTMENT TRUST 35.6% MITT Financials 00122810
AGNC INVESTMENT CORP 34.9% AGNC Financials 00123Q10
A. H. BELO CORP 12.5% AHC Consumer Discretionary 00128210
AES CORP 35.0% AES Utilities 00130H10
AJS BANCORP INC 9.8% AJSB Financials 00150310
AK STEEL HOLDING CORP 25.8% AKS Materials 00154710
ALJ REGIONAL HOLDINGS INC 5.5% ALJJ Information Technology 00162710
ALR TECHNOLOGIES INC 0.0% ALRT Health Care 00163010
AMAG PHARMACEUTICALS INC 12.8% AMAG Health Care 00163U10
AMC NETWORKS INC 35.0% AMCX Consumer Discretionary 00164V10
AMC ENTERTAINMENT HOLDINGS 10.5% AMC Consumer Discretionary 00165C10
AMN HEALTHCARE SERVICES INC 35.0% AMN Health Care 00174410
A-MARK PRECIOUS METALS INC 26.3% AMRK Financials 00181T10
ANI PHARMACEUTICALS INC 21.4% ANIP Health Care 00182C10
ARC DOCUMENT SOLUTIONS INC 9.2% ARC Industrials 00191G10
ARI NETWORK SERVICES INC 14.7% ARIS Information Technology 00193020
AMB FINANCIAL CORP 34.0% AMFC Financials 00198410
AEP GENERATING CO 4.7% AEP10 Utilities 00199Y00
AT&T INC 38.1% T Telecommunication Services 00206R10
12.4% 00209020
ARCA BIOPHARMA INC 0.0% ABIO Health Care 00211Y40
ATYR PHARMA INC 23.0% LIFE Health Care 00212010
A10 NETWORKS INC 1.0% ATEN Information Technology 00212110
ARC GROUP WORLDWIDE INC 13.8% ARCW Industrials 00213H10
ASB BANCORP INC 22.8% ASBB Financials 00213T10
ATN INTERNATIONAL INC 35.8% ATNI Telecommunication Services 00215F10
A V HOMES INC 35.0% AVHI Consumer Discretionary 00234P10
AVX CORP 17.1% AVX Information Technology 00244410
AXT INC 34.8% AXTI Information Technology 00246W10
AZZ INC 35.0% AZZ Industrials 00247410
AARON'S INC 35.0% AAN Consumer Discretionary 00253530
ABAXIS INC 35.0% ABAX Health Care 00256710
ABAKAN INC 1.0% ABKI Materials 00258J10
ABBOTT LABORATORIES 37.8% ABT Health Care 00282410
ABBVIE INC 32.8% ABBV Health Care 00287Y10
ABERCROMBIE & FITCH -CL A 18.0% ANF Consumer Discretionary 00289620
ABEONA THERAPEUTICS INC 0.0% ABEO Health Care 00289Y10
ABIOMED INC 6.3% ABMD Health Care 00365410
ABRAXAS PETROLEUM CORP/NV 7.1% AXAS Energy 00383010
ACACIA RESEARCH CORP 20.3% ACTG Industrials 00388130
ACACIA DIVERSIFIED HLDGS INC 2.0% ACCA Health Care 00389L10
ABTECH HOLDINGS INC 0.0% ABHD Industrials 00400H10
ACACIA COMMUNICATIONS INC 35.0% ACIA Information Technology 00401C10
ACADIA HEALTHCARE CO INC 35.0% ACHC Health Care 00404A10
ACADIA PHARMACEUTICALS INC 1.0% ACAD Health Care 00422510
ACADIA REALTY TRUST 35.0% AKR 00423910
ACCELERATE DIAGNOSTICS INC 0.0% AXDX Health Care 00430H10
ACASTI PHARMA INC 1.3% ACST Health Care 00430K40
ACCESS NATIONAL CORP 35.0% ANCX Financials 00433710
ACCELERON PHARMA INC 27.4% XLRN Health Care 00434H10
ACCELERIZE INC 0.6% 3ACLZ Information Technology 00435A10
ACCURAY INC 20.4% ARAY Health Care 00439710
ACE AVIATION HOLDINGS INC 15.5% ACAVF Industrials 00440P40
ACETO CORP 35.0% ACET Health Care 00444610
ACHAOGEN INC 0.0% AKAO Health Care 00444910
ACELRX PHARMACEUTICALS INC 11.9% ACRX Health Care 00444T10
ACHILLION PHARMACEUTICALS 0.7% ACHN Health Care 00448Q20
ACI WORLDWIDE INC 15.1% ACIW Information Technology 00449810
ACMAT CORP -CL A 34.8% ACMTA Financials 00461620
ACLARIS THERAPEUTICS INC 2.4% ACRS Health Care 00461U10
ACME UNITED CORP 33.8% ACU Industrials 00481610
ACORN ENERGY INC 11.7% ACFN Information Technology 00484810
ACORDA THERAPEUTICS INC 19.7% ACOR Health Care 00484M10
ACOLOGY INC ACOL Materials 00485J10
ACRE REALTY INVESTORS INC 2.6% AIII 00489F10
ACTIVE HEALTH FOODS INC 9.2% AHFD Consumer Staples 00505130
ACTIVECARE INC 5.9% ACAR Health Care 00505730
ACTIVISION BLIZZARD INC 35.0% ATVI Information Technology 00507V10
ACTINIUM PHARMACEUTICALS INC 1.7% ATNM Health Care 00507W10
ACTUANT CORP -CL A 35.0% ATU Industrials 00508X20
ACUITY BRANDS INC 35.0% AYI Industrials 00508Y10
ACTUA CORP 3.7% ACTA Information Technology 00509410
ACUSHNET HOLDINGS CORP 8.6% GOLF Consumer Discretionary 00509810
ACURA PHARMACEUTICALS INC 13.2% ACUR Health Care 00509L80
ACXIOM CORP 35.6% ACXM Information Technology 00512510
ADAMIS PHARMACEUTICALS CORP 2.5% ADMP Health Care 00547W20
ADAMAS PHARMACEUTICALS INC 0.7% ADMS Health Care 00548A10
BRE SELECT HOTELS CORP 35.0% 0175A 00599Q00
ADAMS RESOURCES & ENERGY INC 37.8% AE Energy 00635130
28.3% 00650W30
ADDUS HOMECARE CORP 38.1% ADUS Health Care 00673910
ADDVANTAGE TECHNOLOGIES GP 30.0% AEY Information Technology 00674330
ADEPTUS HEALTH INC 35.0% ADPT Health Care 00685510
ADESTO TECHNOLOGIES CORP 31.5% IOTS Information Technology 00687D10
ADEX MINING INC 19.5% ADXDF Materials 00690320
ADIRONDACK TRUST CO 34.0% ADKT Financials 00701410
ADOBE SYSTEMS INC 35.0% ADBE Information Technology 00724F10
ADTALEM GLOBAL EDUCATION INC ATGE Consumer Discretionary 00737L10
ADTRAN INC 7.0% ADTN Information Technology 00738A10
ADURO BIOTECH INC 7.7% ADRO Health Care 00739L10
ADVANCE AUTO PARTS INC 35.0% AAP Consumer Discretionary 00751Y10
ADVANCED BIOMEDICAL TECH INC 0.9% ABMT Health Care 00752M10
ADVANCED OXYGEN TECHNOLOGY 2.0% AOXY 00754B30
AEHR TEST SYSTEMS 12.6% AEHR Information Technology 00760J10
ADVAXIS INC 0.0% ADXS Health Care 00762420
ADVISORY BOARD CO 35.0% ABCO Industrials 00762W10
ADVANTAGE OIL & GAS LTD 8.8% AAV Energy 00765F10
AEOLUS PHARMACEUTICALS INC 4.7% AOLS Health Care 00765G10
AECOM 35.0% ACM Industrials 00766T10
ADVANCED VOICE RECOGNITION 1.8% AVOI Information Technology 00767C10
ADVANSOURCE BIOMATERIALS CP 2.6% ASB Health Care 00767T10
AEROGROW INTERNATIONAL INC 14.9% AERO Consumer Discretionary 00768M20
ADVANCED EMISSIONS SOLUTIONS 1.4% ADES Materials 00770C10
AEGION CORP 35.2% AEGN Industrials 00770F10
AEMETIS INC 22.8% AMTX Energy 00770K20
AERIE PHARMACEUTICALS INC 0.0% AERI Health Care 00771V10
AEROCENTURY CORP 33.7% ACY Industrials 00773710
AEGLEA BIOTHERAPEUTICS INC AGLE Health Care 00773J10
ADVANSIX INC 23.8% ASIX Materials 00773T10
ADVERUM BIOTECHNOLOGIES 1.4% ADVM Health Care 00773U10
AEROHIVE NETWORKS INC 0.5% HIVE Information Technology 00778610
AEROJET ROCKETDYNE HOLDINGS 36.6% AJRD Industrials 00780010
ADVANCEPIERRE FOODS HOLDINGS 35.0% APFH Consumer Staples 00782L10
AEROPOSTALE INC 2.6% ARO 00786510
ADVANCED MICRO DEVICES 16.6% AMD Information Technology 00790310
ADVANCED DRAINAGE SYSTEMS 35.0% WMS Industrials 00790R10
ADVANCED DISPOSAL SERVICES 37.1% ADSW Industrials 00790X10
ADVANCED ENVIR RECYCL -CL A 24.7% AERT Industrials 00794710
ADVANCED ENERGY INDS INC 34.3% AEIS Information Technology 00797310
AETERNA ZENTARIS INC 11.8% AEZS Health Care 00797540
TRANSAMERICA ADVISORS LIFE 13.7% AEG1 Financials 00799X00
AEROVIRONMENT INC 35.0% AVAV Industrials 00807310
AETHLON MEDICAL INC 4.1% AEMD Health Care 00808Y20
AETNA INC 35.0% AET Health Care 00817Y10
AFFILIATED MANAGERS GRP INC 35.0% AMG Financials 00825210
AFFYMAX INC 3.1% AFFY Health Care 00826A10
AFFIRMATIVE INS HOLDINGS INC 12.4% AFFM Financials 00827210
AFFINION GROUP INC 10.3% 0167A Consumer Discretionary 00828D00
AFRICAN GOLD GROUP INC 33.2% AGGFF Materials 00829A10
AFRICA OIL CORP 3.0% AOIFF Energy 00829Q10
AFRICA ENERGY CORP 23.2% HPMCF Energy 00830W10
AFTERMASTER INC 6.6% AFTM Consumer Discretionary 00831X10
AEVI GENOMIC MEDICINE INC 0.0% GNMX Health Care 00835P10
AGILENT TECHNOLOGIES INC 35.6% A Health Care 00846U10
AGNICO EAGLE MINES LTD 35.0% AEM Materials 00847410
AGENUS INC 0.6% AGEN Health Care 00847G70
AGILYSYS INC 34.4% AGYS Information Technology 00847J10
AGILE THERAPEUTICS INC 0.9% AGRX Health Care 00847L10
AGIOS PHARMACEUTICALS 0.0% AGIO Health Care 00847X10
AGREE REALTY CORP 35.0% ADC 00849210
AGROFRESH SOLUTIONS INC AGFS Materials 00856G10
AGRITEK HOLDINGS INC 7.0% AGTK Consumer Discretionary 00856J10
AGRITECH WORLDWIDE INC 4.8% FBER Consumer Staples 00856P10
AGRIUM INC 35.1% AGU Materials 00891610
AFFINION GROUP HOLDINGS INC 9.3% 6590B Consumer Discretionary 00899A93
AFFINIA GROUP INTRMDT HLDGS 23.2% 0156A Consumer Discretionary 00899T00
AIMMUNE THERAPEUTICS INC 0.4% AIMT Health Care 00900T10
AIR METHODS CORP 35.0% AIRM Health Care 00912830
AIR INDUSTRIES GROUP INC 11.8% AIRI Industrials 00912N20
AIR LEASE CORP 35.0% AL Industrials 00912X30
AIR PRODUCTS & CHEMICALS INC 35.0% APD Materials 00915810
AIR T INC 34.0% AIRT Industrials 00920710
AIR TRANSPORT SERVICES GROUP 7.7% ATSG Industrials 00922R10
AIRGAIN INC 30.0% AIRG Information Technology 00938A10
AIRWARE LABS CORP 0.1% AIRW Consumer Staples 00951F10
AKAMAI TECHNOLOGIES INC 34.7% AKAM Information Technology 00971T10
AKORN INC 36.7% AKRX Health Care 00972810
AKEBIA THERAPEUTICS INC 1.2% AKBA Health Care 00972D10
AKERS BIOSCIENCES INC AKER Health Care 00973E10
AKOUSTIS TECHNOLOGIES INC AKTS Information Technology 00973N10
ALABAMA GAS CORP 20.5% EGN1 Utilities 01028400
ALABAMA POWER CO 33.0% SO1 Utilities 01039200
ALAMO GROUP INC 35.0% ALG Industrials 01131110
ALAMOS GOLD INC 7.0% AGI Materials 01153210
ALANCO TECHNOLOGIES INC 1.6% ALAN Utilities 01161270
ALARM.COM HOLDINGS INC 35.0% ALRM Information Technology 01164210
ALASKA AIR GROUP INC 35.0% ALK Industrials 01165910
ALASKA COMMUNICATIONS SYS GP 5.9% ALSK Telecommunication Services 01167P10
AMC ENTERTAINMENT INC 22.0% 0071A Consumer Discretionary 01199Y00
ALBANY INTL CORP -CL A 35.0% AIN Industrials 01234810
ALBANY MOLECULAR RESH INC 36.2% AMRI Health Care 01242310
ALBEMARLE CORP 35.8% ALB Materials 01265310
ALCENTRA CAPITAL CORP 11.3% ABDC Financials 01374T10
ALCOA CORP 35.0% AA Materials 01387210
ALDER BIOPHARMACEUTICALS INC 2.6% ALDR Health Care 01433910
ALDERON IRON ORE CORP 5.9% AXX Materials 01434T10
ALDEYRA THERAPEUTICS INC 16.1% ALDX Health Care 01438T10
ALERUS FINANCIAL CORP 36.0% ALRS Financials 01446U10
ALERIS CORP 36.7% 6685B Materials 01447510
ALEXANDER & BALDWIN INC 35.0% ALEX 01449110
ALERE INC 35.6% ALR Health Care 01449J10
ALEXANDER'S INC 35.3% ALX 01475210
ALEXANDRIA R E EQUITIES INC 35.4% ARE 01527110
ALEXION PHARMACEUTICALS INC 13.2% ALXN Health Care 01535110
ALEXCO RESOURCE CORP 7.4% AXU Materials 01535P10
ALGONQUIN POWER & UTIL CORP 34.2% AQN Utilities 01585710
ALICO INC 27.9% ALCO Consumer Staples 01623010
ALIGN TECHNOLOGY INC 35.0% ALGN Health Care 01625510
ALIMERA SCIENCES INC 19.1% ALIM Health Care 01625910
8.6% 01626K10
ALION SCIENCE AND TECHNOLOGY 23.2% 0712B Industrials 01627510
ALKALINE WATER COMPANY INC 0.0% WTER Consumer Staples 01643A20
ALL AMERICAN SPORTPARK INC 4.9% AASP Consumer Discretionary 01643P10
ALL MARKETING SOLUTIONS INC 2.4% PTPF Financials 01663C10
ALLDIGITAL HOLDINGS INC 2.5% ADGL Information Technology 01677T10
ALLBRITTON COMMUNICATIONS CO 35.0% 0069A Consumer Discretionary 01699W00
ALLEGHANY CORP 35.7% Y Financials 01717510
ALLEGHENY ENRG SUPPLY CO LLC 34.6% AYE5 Utilities 01736300
ALLEGHENY TECHNOLOGIES INC 35.8% ATI Materials 01741R10
ALLEGHENY VALLEY BANCORP INC 34.0% AVLY Financials 01742710
ALLEGIANCE BANCSHARES INC 35.0% ABTX Financials 01748H10
ALLEGIANT TRAVEL CO 35.0% ALGT Industrials 01748X10
ALLETE INC 38.7% ALE Utilities 01852230
ALLIANCE DATA SYSTEMS CORP 35.0% ADS Information Technology 01858110
ALLIANCE HEALTHCARE SVCS INC 19.3% AIQ Health Care 01860630
ALLIANCE HOLDINGS GP LP 35.0% AHGP Energy 01861G10
ALLIANCE MEDIA HOLDINGS INC 29.2% ADTR Consumer Discretionary 01863R10
ALLIANCE ONE INTL INC 30.8% AOI Consumer Staples 01877230
ALLIANCE RESOURCE PTNRS -LP 35.3% ARLP Energy 01877R10
ALLIANT ENERGY CORP 12.8% LNT Utilities 01880210
ALLIANCEBERNSTEIN HOLDING LP 35.0% AB Financials 01881G10
ALLIANCE BIOENERGY PLUS INC 1.0% ALLM Energy 01890B10
ALLIANCEBERNSTEIN LP 35.0% 8622B Financials 01899V93
ALLIANCE LAUNDRY SYSTEMS LLC 35.0% 0070A Industrials 01899Z00
ALLIED HEALTHCARE PRODS INC 28.4% AHPI Health Care 01922220
ALLIED MOTION TECHNOLOGIES 36.3% AMOT Industrials 01933010
2.3% 01962120
ALLISON TRANSMISSION HLDGS 20.9% ALSN Industrials 01973R10
ALLOY STEEL INTL INC 35.6% AYSI Materials 01986010
ALLSCRIPTS HEALTHCARE SOLTNS 35.0% MDRX Health Care 01988P10
ALLSTATE CORP 34.2% ALL Financials 02000210
ALLY FINANCIAL INC 8.2% ALLY Financials 02005N10
ALMADEN MINERALS LTD 2.1% AAU Materials 02028330
ALMOST FAMILY INC 35.1% AFAM Health Care 02040910
ALNYLAM PHARMACEUTICALS INC 0.0% ALNY Health Care 02043Q10
ALON USA ENERGY INC 35.0% ALJ Energy 02052010
ALON USA PARTNERS LP 35.5% ALDW Energy 02052T10
ALPHA-EN CORP 8.0% ALPE Industrials 02072E10
ALPHA PRO TECH LTD 33.6% APT Industrials 02077210
ALPHA NETWORK ALLIANCE VNTRS 1.8% ANAV Information Technology 02077H10
ALPHAPOINT TECHNOLOGY INC 0.7% APPO Information Technology 02079510
ALPHABET INC 35.0% GOOGL Information Technology 02079K30
ALPHATEC HOLDINGS INC 1.7% ATEC Health Care 02081G20
ALLSTATE LIFE INSURANCE CO 19.5% 0184A Financials 02099B00
ALSERES PHARMACEUTICALS INC 9.8% ALSE Health Care 02115220
ALTABA INC AABA Information Technology 02134610
ALTAN RIO MINERALS LTD 11.7% ATANF Materials 02143B10
ALTEX INDUSTRIES INC 19.4% ALTX Energy 02145410
ALTIGEN COMMUNICATIONS INC 4.0% ATGN Information Technology 02148910
ALTEROLA BIOTECH INC 12.7% ALTA Consumer Staples 02152V10
ALTISOURCE RESIDENTIAL CORP 35.0% RESI 02153W10
ALTISOURCE ASSET MGMT CORP 35.0% AAMC 02153X10
17.2% 02155W10
ALTICE USA INC ATUS Consumer Discretionary 02156K10
ALTRA INDUSTRIAL MOTION CORP 35.0% AIMC Industrials 02208R10
ALTRIA GROUP INC 27.3% MO Consumer Staples 02209S10
ALVOPETRO ENERGY LTD 2.5% ALVOF Energy 02255Q10
ALY ENERGY SERVICES INC 34.0% ALYE Energy 02260T20
AMARANTUS BIOSCIENCE HLDGS 2.0% AMBS Health Care 02300U20
AMARILLO BIOSCIENCES INC 4.2% AMAR Health Care 02301P20
AMAZON.COM INC 35.0% AMZN Consumer Discretionary 02313510
AMBAC FINANCIAL GROUP INC 13.2% AMBC Financials 02313988
35.0% 02314M10
AMBASE CORP 23.0% ABCP 02316410
AMBIENT CORP 9.6% AMBT Information Technology 02318N20
AMBER ROAD INC 4.6% AMBR Information Technology 02318Y10
AMBIENT WATER CORP 11.4% AWGI Consumer Discretionary 02319A10
AMCON DISTRIBUTING CO 35.0% DIT Consumer Discretionary 02341Q20
1.1% 02343520
AMEDISYS INC 31.4% AMED Health Care 02343610
AMEN PROPERTIES INC 29.8% AMEN Energy 02347730
AMERCO 35.0% UHAL Industrials 02358610
AMERENENERGY GENERATING CO 35.0% AEE2 Utilities 02360800
AMEREN CORP 15.5% AEE Utilities 02360810
AMERESCO INC 36.0% AMRC Industrials 02361E10
AMERICA FIRST MULTIFAMILY-LP 35.0% ATAX Financials 02364V10
AMERICA MOVIL SA DE CV 36.4% AMX Telecommunication Services 02364W10
AMERICAN AIRLINES GROUP INC 33.7% AAL Industrials 02376R10
AMERICAN AIRLINES INC 31.8% AMR1 Industrials 02377100
AMERICAN ASSETS TRUST INC 35.0% AAT 02401310
AMERICAN AXLE & MFG HOLDINGS 17.2% AXL Consumer Discretionary 02406110
AMERICAN BILTRITE INC 34.2% ABLT Materials 02459140
AMERICAN BIO MEDICA CORP 8.7% ABMC Health Care 02460010
AMERICAN BUSINESS BANK/CA 38.7% AMBZ Financials 02475L10
AMERICAN CAMPUS COMMUNITIES 35.0% ACC 02483510
AMERICAN CAPITAL LTD 1.5% ACAS Financials 02503Y10
AMERICAN CAPITAL SR FLTG LTD ACSF Financials 02504D10
AMERICAN CARESOURCE HLDGS 0.6% GNOW Health Care 02505A20
AMERICAN COMMERCE SOLUTION 21.5% AACS Industrials 02519910
AMERICAN CRYOSTEM CORP 6.3% CRYO Health Care 02530010
AMERICAN DG ENERGY INC 0.0% ADGE Utilities 02539810
AEP TEXAS CENTRAL CO 23.5% AEP11 Utilities 02553700
AMERICAN ELECTRIC POWER CO 35.0% AEP Utilities 02553710
AMERN EAGLE OUTFITTERS INC 36.1% AEO Consumer Discretionary 02553E10
AMERICAN EAGLE ENERGY CORP 13.9% AMZG Energy 02554F30
AMERICAN ELECTRIC TECH INC 2.6% AETI Industrials 02557610
AMERICAN ENERGY GROUP LTD 0.2% AEGG Energy 02563620
AMERICAN ENERGY DEV CORP 9.4% AEDC Energy 02563A10
AMERICAN EQTY INVT LIFE HLDG 3.8% AEL Financials 02567620
AMERICAN EXPRESS CO 35.0% AXP Financials 02581610
AMERICAN EXPRESS CREDIT CORP 37.7% AXP1 Financials 02581800
AMERICAN FINANCIAL GROUP INC 35.0% AFG Financials 02593210
AMERICAN FAMILY INS GROUP 35.1% 9769B Financials 02599X93
SPRINGLEAF FINANCE CORP 35.8% AGC1 Financials 02635K00
AMERN GRAPHITE TECHNOLOGIES 8.6% AGIN Materials 02640K10
AMERICAN HOMES 4 RENT 35.0% AMH 02665T30
AMERICAN INTERNATIONAL INDS 1.5% AMIN Industrials 02686Y30
AMERICAN INTERNATIONAL GROUP 10.6% AIG Financials 02687478
AMERICAN INTL VENTURES INC 23.3% AIVN Materials 02687C10
AMERICAN LIFE HOLDING CO 12.3% ALFE 02722410
AMERICAN LOCKER GROUP INC 0.0% ALGI Industrials 02728410
AMERICAN LORAIN CORP 34.0% ALN Consumer Staples 02729710
AMERICAN MIDSTREAM PRTNRS LP 35.0% AMID Energy 02752P10
AMERICAN NATL BANKSHARES 35.0% AMNB Financials 02774510
AMERICAN NATIONAL INSURANCE 3.7% ANAT Financials 02859110
AMERICAN OUTDOOR BRANDS CORP 35.0% AOBC Consumer Discretionary 02874P10
AMERICAN POWER GROUP CORP 1.2% APGI Industrials 02906V10
AMERICAN PUBLIC EDUCATION 35.0% APEI Consumer Discretionary 02913V10
AMERICAN RAILCAR INDS INC 3.7% ARII Industrials 02916P10
AMERICAN REALTY INVESTORS 34.7% ARL 02917410
AMERICAN RENAL ASSOCS HLDGS 35.0% ARA Health Care 02922710
AMERICAN RIVER BANKSHARES 34.0% AMRB Financials 02932610
AMERICAN RIVIERA BANK 34.0% ARBV Financials 02932A10
AMERICAN SHARED HSPTL SERV 35.4% AMS Health Care 02959510
AMERICAN SOFTWARE -CL A 38.0% AMSWA Information Technology 02968310
AMERICAN SOIL TECHNOLOGIES 0.6% SOYL Materials 02968P10
AMERICAN SPECTRUM REALTY INC 6.8% AQQ 02970Q20
AMERICAN STATES WATER CO 31.6% AWR Utilities 02989910
AMERICAN SUPERCONDUCTOR CP 1.4% AMSC Industrials 03011120
AMERICAN TOWER CORP 35.0% AMT 03027X10
AMERICAN VANGUARD CORP 5.5% AVD Materials 03037110
AMERICAN WATER WORKS CO INC 35.0% AWK Utilities 03042010
AMERICAN WOODMARK CORP 35.5% AMWD Industrials 03050610
AMERICANN INC 7.3% ACAN Industrials 03058810
AMERICA'S CAR-MART INC 35.8% CRMT Consumer Discretionary 03062T10
AMERISAFE INC 35.0% AMSF Financials 03071H10
AMERISOURCEBERGEN CORP 38.0% ABC Health Care 03073E10
AMERITYRE CORP 4.8% AMTY Consumer Discretionary 03073V10
AMERISERV FINANCIAL INC/PA 24.4% ASRV Financials 03074A10
AMERIPRISE FINANCIAL INC 37.5% AMP Financials 03076C10
AMERIS BANCORP 35.0% ABCB Financials 03076K10
AMERIGAS PARTNERS -LP 35.0% APU Utilities 03097510
AMERICAN TIRE DISTRBTR HLDGS 35.0% 0079A Consumer Discretionary 03099S00
AMES NATIONAL CORP 35.0% ATLO Financials 03100110
AMETEK INC 35.0% AME Industrials 03110010
AMEX EXPLORATION INC 5.4% AMXEF Materials 03114B10
AMGEN INC 35.0% AMGN Health Care 03116210
AMICUS THERAPEUTICS INC 0.3% FOLD Health Care 03152W10
AMKOR TECHNOLOGY INC 35.9% AMKR Information Technology 03165210
AMPCO-PITTSBURGH CORP 10.6% AP Materials 03203710
AMPHENOL CORP 35.0% APH Information Technology 03209510
AMPHASTAR PHARMACEUTICLS INC 35.0% AMPH Health Care 03209R10
AMPIO PHARMACEUTICALS INC 0.3% AMPE Health Care 03209T10
AMPLIFY SNACK BRANDS 8.6% BETR Consumer Staples 03211L10
22.7% 03211P20
AMPLIPHI BIOSCIENCES CORP APHB Health Care 03211P30
AMREP CORP 11.2% AXR Industrials 03215910
AMTECH SYSTEMS INC 4.1% ASYS Information Technology 03233250
AMTRUST FINANCIAL SERVICES 35.0% AFSI Financials 03235930
11.4% 03236M10
AMYRIS INC AMRS Energy 03236M20
ANADARKO PETROLEUM CORP 8.1% APC Energy 03251110
ANALOG DEVICES 35.0% ADI Information Technology 03265410
ANALOGIC CORP 35.9% ALOG Health Care 03265720
ANAPTYSBIO INC ANAB Health Care 03272410
ANAVEX LIFE SCIENCES CORP 7.4% AVXL Health Care 03279730
ANCHOR BANCORP/WA 24.2% ANCB Financials 03283810
ANCHORAGE INTL HLDGS CORP 11.7% AHCP Information Technology 03331010
ANDALAY SOLAR INC 0.6% WEST Industrials 03335510
ANDEAVOR ANDV Energy 03349M10
ANDEAVOR LOGISTICS LP ANDX Energy 03350F10
ANDERSONS INC 12.5% ANDE Consumer Staples 03416410
ANDREA ELECTRONICS CORP 5.7% AND Information Technology 03439310
0.1% 03463J10
ANGIE'S LIST INC 6.9% ANGI Information Technology 03475410
ANGIODYNAMICS INC 10.8% ANGO Health Care 03475V10
ANIKA THERAPEUTICS INC 35.0% ANIK Health Care 03525510
ANIXTER INTL INC 35.5% AXE Information Technology 03529010
ANNALY CAPITAL MANAGEMENT 35.0% NLY Financials 03571040
ANNEC GREEN REFRACTORIES CP 37.9% ANNC Materials 03600C10
ANSYS INC 35.0% ANSS Information Technology 03662Q10
ANTARES PHARMA INC 0.1% ATRS Health Care 03664210
ANTERO MIDSTREAM PARTNERS LP 35.0% AM Energy 03673L10
3.1% 03674U20
ANTHERA PHARMACEUTCLS INC ANTH Health Care 03674U30
ANTERO RESOURCES CORP 34.8% AR Energy 03674X10
ANTHEM INC 35.0% ANTM Health Care 03675210
0.2% 03723020
ANWORTH MTG ASSET CORP 35.4% ANH Financials 03734710
AOXING PHARMACEUTICAL CO INC 20.6% AXN Health Care 03740A10
A-1 GROUP INC 0.1% AWON Information Technology 03740J10
APACHE CORP 31.8% APA Energy 03741110
APARTMENT INVST & MGMT CO 35.9% AIV 03748R10
APOGEE ENTERPRISES INC 35.0% APOG Industrials 03759810
03760401
APOLLO GLOBAL MANAGEMENT LLC 34.9% APO Financials 03761230
APOLLO INVESTMENT CORP 4.8% AINV Financials 03761U10
APOLLO COMMERCIAL RE FIN INC 35.0% ARI Financials 03762U10
APOLLO SOLAR ENERGY INC 10.2% ASOE Materials 03763710
APOLLO MEDICAL HOLDINGS INC 2.7% AMEH 03763A20
APIGEE CORP APIC Information Technology 03765N10
APPLE INC 35.0% AAPL Information Technology 03783310
APPFOLIO INC 2.6% APPF Information Technology 03783C10
APPLE HOSPITALITY REIT INC 35.0% APLE 03784Y20
APPALACHIAN POWER 30.7% AEP1 Utilities 03799Y00
APPLIANCE RECYCLING CTR AMER 34.7% ARCI Consumer Discretionary 03814F20
APPLIED DNA SCIENCES INC 2.0% APDN Information Technology 03815U20
APPLIED ENERGETICS INC 13.1% AERG Industrials 03819M10
APPLIED INDUSTRIAL TECH INC 35.0% AIT Industrials 03820C10
APPLIED GENETIC TECHNOLOGIES 29.3% AGTC Health Care 03820J10
APPLIED MATERIALS INC 35.4% AMAT Information Technology 03822210
APPLIED MINERALS INC 0.8% AMNL Materials 03823M10
APPLIED OPTOELECTRONICS INC 35.0% AAOI Information Technology 03823U10
APPLIED VISUAL SCIENCES INC 2.0% APVS Information Technology 03828710
APRICUS BIOSCIENCES INC 6.8% APRI Health Care 03832V30
APTARGROUP INC 35.0% ATR Materials 03833610
APPROACH RESOURCES INC 9.8% AREX Energy 03834A10
APPTIGO INTERNATIONAL INC 2.2% APPG Information Technology 03834Q10
APT SYSTEMS INC APTY Information Technology 03834Y10
APPTIO INC 0.8% APTI Information Technology 03835C10
APTEVO THERAPEUTICS INC APVO Health Care 03835L10
APTOSE BIOSCIENCES INC 6.3% APTO Health Care 03835T20
AQUA AMERICA INC 35.0% WTR Utilities 03836W10
AQUINOX PHARMACEUTICALS INC 1.6% AQXP Health Care 03842B10
AQUABOUNTY TECHNOLOGIES INC AQB Health Care 03842K20
ARADIGM CORP 1.2% ARDM Health Care 03850540
ARAMARK 36.6% ARMK Consumer Discretionary 03852U10
ARALEZ PHARMACEUTICALS INC 1.4% ARLZ Health Care 03852X10
ARATANA THERAPEUTICS 11.4% PETX Health Care 03874P10
ARBUTUS BIOPHARMA CORP 1.1% ABUS Health Care 03879J10
ARC LOGISTICS PARTNERS LP 35.0% ARCX Energy 03879N10
ARBOR REALTY TRUST INC 18.8% ABR Financials 03892310
APPLETON PAPERS INC 35.0% 0082A Materials 03899Q00
ARCADIA BIOSCIENCES INC 0.1% RKDA 03901410
ARCBEST CORP 5.6% ARCB Industrials 03937C10
ARCH COAL INC 3.2% ARCH Energy 03938040
ARCH THERAPEUTICS INC 8.7% ARTH Health Care 03939W10
ARCHER-DANIELS-MIDLAND CO 35.2% ADM Consumer Staples 03948310
ARCHROCK PARTNERS LP 34.5% APLP Energy 03957U10
ARCHROCK INC 32.5% AROC Energy 03957W10
ARCTIC CAT INC 37.8% ACAT Consumer Discretionary 03967010
ARDELYX INC 8.7% ARDX Health Care 03969710
ARENA PHARMACEUTICALS INC 2.1% ARNA 04004710
ARENA PHARMACEUTICALS INC ARNA Health Care 04004760
ARETE INDUSTRIES INC 0.7% ARET Energy 04009830
ARGAN INC AGX Industrials 04010E10
ARES CAPITAL CORP 35.0% ARCC Financials 04010L10
ARES COMMERCIAL REAL ESTATE 35.0% ACRE Financials 04013V10
ARES MANAGEMENT LP 3.9% ARES Financials 04014Y10
ARGOS THERAPEUTICS INC 10.8% ARGS 04022110
ARISTA NETWORKS INC 35.0% ANET Information Technology 04041310
ARISTA POWER INC 26.4% ASPW Industrials 04041420
ARIZONA PUBLIC SERVICE CO 5.8% PNW1 Utilities 04055500
ARK RESTAURANTS CORP 35.4% ARKR Consumer Discretionary 04071210
ARLINGTON ASSET INVESTMENT 8.2% AI Financials 04135620
ARMADA HOFFLER PROPERTIES 35.0% AHH 04208T10
ARMANINO FOODS DISTINCTION 34.0% AMNF Consumer Staples 04216680
ARMCO METALS HOLDINGS INC 14.4% AMCO Industrials 04218220
ARMORED AUTOGROUP INC 36.1% 8552B Consumer Staples 04226Q99
ARMOUR RESIDENTIAL REIT INC 30.0% ARR Financials 04231550
ARMSTRONG FLOORING INC AFI Industrials 04238R10
ARMSTRONG WORLD INDUSTRIES 8.1% AWI Industrials 04247X10
ARNO THERAPEUTICS INC 9.2% ARNI Health Care 04256420
AROTECH CORP 9.8% ARTX Industrials 04268220
ARQULE INC 3.3% ARQL Health Care 04269E10
ARRAY BIOPHARMA INC 8.9% ARRY Health Care 04269X10
ARROW ELECTRONICS INC 36.1% ARW Information Technology 04273510
ARROW FINANCIAL CORP 35.0% AROW Financials 04274410
ARROWHEAD PHARMACEUTICALS 0.3% ARWR Health Care 04280A10
ARTEC GLOBAL MEDIA INC 10.9% ACTL Consumer Discretionary 04300F10
ARTESIAN RESOURCES -CL A 35.1% ARTNA Utilities 04311320
ARTS WAY MFG INC 34.1% ARTW Industrials 04316810
ARTISAN PARTNERS ASSET MGMT 36.1% APAM Financials 04316A10
ARTVENTIVE MEDICAL GROUP INC 2.4% AVTD Health Care 04317X10
ASANKO GOLD INC 3.8% AKG Materials 04341Y10
ASBURY AUTOMOTIVE GROUP INC 37.4% ABG Consumer Discretionary 04343610
ASCENDANT SOLUTIONS INC 5.9% ASDS 04349Y10
ASCENA RETAIL GROUP INC 35.0% ASNA Consumer Discretionary 04351G10
ASCENT CAPITAL GROUP INC 37.8% ASCMA Consumer Discretionary 04363210
ASCENT SOLAR TECHNOLOGIES 7.2% ASTI Information Technology 04363540
ALP LIQUIDATING TRUST 4.8% 5293B Consumer Discretionary 04399Z93
ASHFORD HOSPITALITY PRME INC 35.0% AHP 04410210
ASHFORD HOSPITALITY TRUST 26.2% AHT 04410310
ASHFORD INC 22.0% AINC Financials 04410410
ASHLAND GLOBAL HOLDINGS INC 34.6% ASH Materials 04418610
ASIA PACIFIC BOILER CORP 7.5% PADR 04521K10
ASIA TRAVEL CORP 0.3% ATSR Consumer Discretionary 04521U10
ASPEN AEROGELS INC 25.7% ASPN Energy 04523Y10
ASPEN GROUP INC 24.1% ASPU Consumer Discretionary 04530L20
ASPEN TECHNOLOGY INC 35.0% AZPN Information Technology 04532710
ASSEMBLY BIOSCIENCES INC 0.6% ASMB Health Care 04539610
ASSOCIATED BANC-CORP 35.6% ASB Financials 04548710
ASSOCIATED CAPITAL GROUP INC 4.4% AC Financials 04552810
ASSOCIATED MATERIALS LLC 36.3% 0084A Industrials 04599S00
ASSURANT INC 35.0% AIZ Financials 04621X10
ASTA FUNDING INC 29.5% ASFI Financials 04622010
ASTEC INDUSTRIES INC 35.1% ASTE Industrials 04622410
ASTEA INTERNATIONAL INC 30.7% ATEA Information Technology 04622E20
ASTERIAS BIOTHERAPEUTICS INC 8.5% AST Health Care 04624N10
ASTORIA FINANCIAL CORP 35.0% AF Financials 04626510
ASTRONOVA INC 34.1% ALOT Information Technology 04638F10
ASTRONICS CORP 35.0% ATRO Industrials 04643310
1.1% 04648410
ASURE SOFTWARE INC 4.9% ASUR Information Technology 04649U10
AT HOME GROUP INC 35.0% HOME Consumer Discretionary 04650Y10
ATARA BIOTHERAPEUTICS INC 0.1% ATRA Health Care 04651310
ATHENAHEALTH INC 35.0% ATHN Health Care 04685W10
ATHENS BANCSHARES CORP 34.0% AFCB Financials 04704210
ATHERSYS INC 10.3% ATHX Health Care 04744L10
ATKORE INTERNATIONAL HLDGS 36.1% ATKR1 Industrials 04764900
ATKORE INTL GROUP INC 35.7% ATKR Industrials 04764910
ATLANTIC AMERICAN CORP 34.1% AAME Financials 04820910
ATLANTIC CAP BANCSHARES INC 35.0% ACBI Financials 04826920
ATLANTIC CITY ELECTRIC CO 24.1% ATE1 Utilities 04830300
ATLANTIC COAST FINANCIAL CP 30.6% ACFC Financials 04842610
ATLANTIC POWER CORP 6.9% AT Utilities 04878Q86
ATLANTICUS HOLDINGS CORP 10.9% ATLC Financials 04914Y10
ATLAS AIR WORLDWIDE HLDG INC 3.7% AAWW Industrials 04916420
ATLAS ENERGY GROUP LLC 24.7% ATLS Energy 04929Q10
ATLAS RESOURCE PARTNERS L P 1.2% ARP 04941A10
ATLATSA RESOURCES CORP 9.0% ATL Materials 04947710
ATMOS ENERGY CORP 29.8% ATO Utilities 04956010
ATOSSA GENETICS INC 0.1% ATOS Health Care 04962H20
ATRICURE INC 0.0% ATRC Health Care 04963C20
ATRM HOLDINGS INC 14.5% ATRM Industrials 04964A10
ATOMERA INC 0.0% ATOM Information Technology 04965B10
ATRION CORP 35.0% ATRI Health Care 04990410
ATWOOD OCEANICS 35.0% ATW Energy 05009510
AUBURN BANCORP INC 33.0% ABBB Financials 05025410
AUBURN NATIONAL BANCORP 35.1% AUBN Financials 05047310
AUDENTES THERAPEUTICS INC BOLD Health Care 05070R10
AUDIOEYE INC 1.5% AEYE Information Technology 05073410
4.6% 05152620
AURASOURCE INC 11.5% ARAO Industrials 05153V10
AURINIA PHARMACEUTICALS INC 0.1% AUPH Health Care 05156V10
AURICO METALS INC 28.2% ARCTF Materials 05157J10
AURORA GOLD CORP 17.9% ARXG Materials 05164220
AURCANA CORP 22.8% AUNFF Materials 05191850
AURORA SPINE CORP 15.2% AROSF Health Care 05206X10
AURUM INC 1.9% AURM Materials 05209310
21.5% 05275N20
AUTODESK INC 0.5% ADSK Information Technology 05276910
AUTOLIV INC 35.0% ALV Consumer Discretionary 05280010
AUTOMATIC DATA PROCESSING 35.0% ADP Information Technology 05301510
AUTONATION INC 34.9% AN Consumer Discretionary 05329W10
AUTOZONE INC 35.0% AZO Consumer Discretionary 05333210
AUXILIO INC 38.0% AUXO 05334N20
AVALON ADVANCED MATERIALS 1.0% AVLNF Materials 05337L10
AVALON HOLDINGS CORP 27.1% AWX Industrials 05343P10
AVALON OIL AND GAS INC 14.9% AOGN Energy 05346730
AVALONBAY COMMUNITIES INC 35.0% AVB 05348410
AVANGRID INC 33.5% AGR Utilities 05351W10
AVEO PHARMACEUTICALS INC 3.5% AVEO Health Care 05358810
AVERY DENNISON CORP 37.0% AVY Materials 05361110
AVEXIS INC 0.1% AVXS Health Care 05366U10
AVIAT NETWORKS INC 12.4% AVNW Information Technology 05366Y20
AVID TECHNOLOGY INC 2.6% AVID Information Technology 05367P10
AVIDBANK HOLDINGS INC 34.0% AVBH Financials 05368J10
AVINGER INC 2.1% AVGR 05373410
AVIRAGEN THERAPEUTICS INC 2.7% AVIR Health Care 05376110
AVIS BUDGET GROUP INC 35.1% CAR Industrials 05377410
AVISTA CORP 3.5% AVA Utilities 05379B10
AVNET INC 35.9% AVT Information Technology 05380710
AVINO SILVER&GOLD MINES LTD 29.1% ASM Materials 05390610
AVAYA INC 20.2% 5933B Information Technology 05399R94
AVON PRODUCTS 19.3% AVP Consumer Staples 05430310
AWARE INC 36.9% AWRE Information Technology 05453N10
AXCELIS TECHNOLOGIES INC 26.9% ACLS Information Technology 05454020
AXION POWER INTL INC 10.0% AXPW Industrials 05460X40
AXMIN INC 8.5% AXMIF Materials 05461V20
AXIM BIOTECHNOLOGIES INC 1.0% AXIM Health Care 05463V10
AXIOM HOLDINGS INC AIOM Consumer Discretionary 05463W10
AXOGEN INC 0.0% AXGN Health Care 05463X10
AXON ENTERPRISE INC AAXN Industrials 05464C10
AXSOME THERAPEUTICS INC 0.1% AXSM Health Care 05464T10
1.0% 05475420
BBX CAPITAL CORPORATION 5.6% BBX Consumer Discretionary 05491N10
BB&T CORP 35.0% BBT Financials 05493710
BREF HR LLC 11.8% 9574B Consumer Discretionary 05499M93
AZURE MIDSTREAM PARTNERS LP 10.7% AZUR Energy 05501X10
AZZURRA HOLDING CORP 4.3% WVWCQ 05506310
B&G FOODS INC 35.0% BGS Consumer Staples 05508R10
BCB BANCORP INC 35.0% BCBP Financials 05529810
BCE INC 35.1% BCE Telecommunication Services 05534B76
BGC PARTNERS INC 35.0% BGCP Financials 05541T10
BG STAFFING INC 21.0% BGSF Industrials 05544A10
BKF CAPITAL GROUP INC 5.8% BKFG Financials 05548G20
BOK FINANCIAL CORP 35.0% BOKF Financials 05561Q20
BP PRUDHOE BAY ROYALTY TRUST 30.2% BPT Energy 05563010
BRT APARTMENTS CORP 38.4% BRT 05564530
BNC BANCORP 35.0% BNCN Financials 05566T10
BOFI HOLDING INC 35.0% BOFI Financials 05566U10
BSM TECHNOLOGIES INC 35.0% BSMZF Information Technology 05571440
BSB BANCORP INC 35.0% BLMT Financials 05573H10
B-SCADA INC 4.1% SCDA Information Technology 05575Y20
B. RILEY FINANCIAL INC 35.4% RILY Financials 05580M10
BMC STOCK HOLDINGS INC 25.8% BMCH Industrials 05591B10
BNCCORP INC 21.2% BNCC Financials 05593610
BWX TECHNOLOGIES INC 34.8% BWXT Industrials 05605H10
BABCOCK & WILCOX ENTERPRISES 35.0% BW Industrials 05614L10
BACKSTAGEPLAY INC 1.8% PRYNF Information Technology 05636210
BADGER METER INC 35.0% BMI Information Technology 05652510
BAKER BOYER BANCORP 34.0% BBBK Financials 05712410
BAKER HUGHES INC 35.0% BHGE Energy 05722410
BAKKEN RESOURCES INC 35.0% BKKN Energy 05758P10
BALCHEM CORP -CL B 35.0% BCPC Materials 05766520
BALDWIN & LYONS -CL B 35.9% BWINB Financials 05775520
BALL CORP 35.0% BLL Materials 05849810
BALLANTYNE STRONG INC 2.0% BTN Consumer Discretionary 05851610
BALLARD POWER SYSTEMS INC 11.6% BLDP Industrials 05858610
BALQON CORP 18.5% BLQN Industrials 05878510
BALTIA AIR LINES INC 3.2% BLTA Industrials 05882310
BALTIMORE GAS & ELECTRIC CO 39.2% CEG1 Utilities 05916500
BANCFIRST CORP/OK 35.0% BANF Financials 05945F10
BBVA COMPASS BANCSHARES INC 35.0% BBVA1 Financials 05946K00
SANTANDER UK PLC 36.3% STD1 Financials 05964H00
BANCORPSOUTH BANK 35.0% BXS 05969210
BANCORP INC TBBK Financials 05969A10
BANC OF CALIFORNIA INC 35.0% BANC Financials 05990K10
BANCORP OF NEW JERSEY INC 34.0% BKJ Financials 05991510
BANK OF AMERICA CORP 35.6% BAC Financials 06050510
BANK FIRST NATIONAL CORP 35.0% BFNC Financials 06211J10
BANK OF HAWAII CORP 35.0% BOH Financials 06254010
BANK OF MARIN BANCORP 35.0% BMRC Financials 06342510
34.2% 06355420
BANK MUTUAL CORP 35.2% BKMU Financials 06375010
BANK OF THE OZARKS 35.0% OZRK Financials 06390410
BANK OF NEW YORK MELLON CORP 35.6% BK Financials 06405810
BANK OF COMMERCE HOLDINGS 35.1% BOCH Financials 06424J10
BANK SOUTH CAROLINA CORP 34.0% BKSC Financials 06506610
BANKFINANCIAL CORP 23.3% BFIN Financials 06643P10
BANKRATE INC 9.6% RATE Information Technology 06647F10
BANKS ISLAND GOLD LTD 2.0% BKSLF Materials 06648310
BANKUNITED INC 35.0% BKU Financials 06652K10
BANNER CORP 35.0% BANR Financials 06652V20
BANKWELL FINANCIAL GROUP INC 38.0% BWFG Financials 06654A10
2.4% 06680010
BAR HARBOR BANKSHARES 35.0% BHB Financials 06684910
18.8% 06684A30
BARD (C.R.) INC 35.0% BCR Health Care 06738310
BARFRESH FOOD GROUP INC 1.4% BRFH Consumer Staples 06753210
BARNES & NOBLE INC 35.9% BKS Consumer Discretionary 06777410
BARNES & NOBLE EDUCATION INC 35.0% BNED Consumer Discretionary 06777U10
BARNES GROUP INC 35.0% B Industrials 06780610
BARRICK GOLD CORP 14.3% ABX Materials 06790110
BARNWELL INDUSTRIES 22.1% BRN Energy 06822110
BARRACUDA NETWORKS INC 19.1% CUDA Information Technology 06832310
BARRETT BUSINESS SVCS INC 35.4% BBSI Industrials 06846310
BILL BARRETT CORP 0.9% BBG Energy 06846N10
BASIC ENERGY SERVICES INC 35.5% BAS Energy 06985P20
BASSETT FURNITURE INDS 34.6% BSET Consumer Discretionary 07020310
BAXTER INTERNATIONAL INC 38.2% BAX Health Care 07181310
BAY BANKS OF VIRGINIA INC BAYK Financials 07203510
BAY BANCORP INC 34.0% BYBK Financials 07203T10
BAYCOM CORP 34.0% BCML Financials 07272M10
BAYTEX ENERGY CORP 23.3% BTE Energy 07317Q10
BAZAARVOICE INC 1.5% BV Information Technology 07327110
B/E AEROSPACE INC 35.1% BEAV Industrials 07330210
BEACON ROOFING SUPPLY INC 35.0% BECN Industrials 07368510
BEAR STATE FINANCIAL INC 19.6% BSF Financials 07384410
BEASLEY BROADCAST GROUP INC 10.5% BBGI Consumer Discretionary 07401410
33.6% 07453100
BEAZER HOMES USA INC 23.3% BZH Consumer Discretionary 07556Q88
BEBE STORES INC 0.1% BEBE Consumer Discretionary 07557120
BECTON DICKINSON & CO 35.0% BDX Health Care 07588710
BED BATH & BEYOND INC 35.0% BBBY Consumer Discretionary 07589610
BEHRINGER HARVARD OPP REIT I 5.2% BHOR 07724Q10
BEL FUSE INC 36.8% BELFB Information Technology 07734730
BELDEN INC 35.0% BDC Information Technology 07745410
1.7% 07831410
BELLEROPHON THERAPEUTICS INC 4.5% BLPH Health Care 07877110
BELLICUM PHARMACEUTICALS INC 1.0% BLCM Health Care 07948110
BELLUS HEALTH INC 4.4% BLUSF Health Care 07987C10
BEMIS CO INC 35.0% BMS Materials 08143710
BENCHMARK BANKSHARES INC BMBN Financials 08160E20
BENCHMARK ELECTRONICS INC 36.2% BHE Information Technology 08160H10
BENEFICIAL BANCORP INC 35.1% BNCL Financials 08171T10
BENEFITFOCUS INC 25.4% BNFT Information Technology 08180D10
BERGIO INTERNATIONAL INC 0.9% BRGO Consumer Discretionary 08408030
BERKLEY (W R) CORP 35.0% WRB Financials 08442310
BERKSHIRE BANCORP INC 19.3% BERK Financials 08459720
BERKSHIRE HATHAWAY 35.0% BRKB Financials 08467070
BERKSHIRE HILLS BANCORP INC 35.0% BHLB Financials 08468010
BERKSHIRE HOMES INC 29.5% BKSH 08468P20
MIDAMERICAN FUNDING LLC 2.3% BRK2 Utilities 08499W00
BERKSHIRE HATHAWAY ENERGY CO 11.0% BRK1 Utilities 08499X00
BURLINGTON NORTHERN SANTA FE 35.0% BRK3 Industrials 08499Z00
BERRY GLOBAL GROUP INC 35.0% BERY Materials 08579W10
BESPOKE EXTRACTS INC 0.1% BSPK Information Technology 08634Q10
BEST BUY CO INC 35.0% BBY Consumer Discretionary 08651610
BEXIL CORP 28.5% BXL Financials 08857710
BG MEDICINE INC 2.6% BGMD Health Care 08861T20
BIG 5 SPORTING GOODS CORP 35.0% BGFV Consumer Discretionary 08915P10
BIG LOTS INC 35.2% BIG Consumer Discretionary 08930210
BIG ROCK BREWERY INC 2.8% BRBMF Consumer Staples 08947P10
BIGLARI HOLDINGS INC 35.9% BH Consumer Discretionary 08986R10
BIG HEART PET BRANDS 35.0% 0161A Consumer Staples 08999X00
BIMINI CAPITAL MANAGEMENT 34.2% BMNM Financials 09031940
BIO-RAD LABORATORIES INC 35.0% BIO Health Care 09057220
BIO PATH HOLDINGS INC 0.0% BPTH 09057N10
BIOANALYTICAL SYSTEMS INC 29.5% BASI Health Care 09058M10
BIOCRYST PHARMACEUTICALS INC 0.3% BCRX Health Care 09058V10
BIOETHICS LTD 0.5% BOTH 09059E10
BIO-KEY INTERNATIONAL INC 13.0% BKYI Information Technology 09060C30
BIODELIVERY SCIENCES INTL 3.8% BDSI Health Care 09060J10
09060U10
BIOMARIN PHARMACEUTICAL INC 7.2% BMRN Health Care 09061G10
BIOMERICA INC 11.1% BMRA Health Care 09061H30
BION ENVIRONMENTAL TECH INC 1.8% BNET Industrials 09061Q30
BIONEUTRAL GROUP INC 13.2% BONU Materials 09062110
BIOLIFE SOLUTIONS INC 0.4% BLFS Health Care 09062W20
BIOGEN INC 35.0% BIIB Health Care 09062X10
BIORESTORATIVE THERAPIES INC 0.0% BRTX Health Care 09065540
BIOLARGO INC 0.5% BLGO Materials 09065A10
BIOTIME INC 0.0% BTX Health Care 09066L10
BIOTELEMETRY INC 35.0% BEAT Health Care 09067210
BIOSTAR PHARMACEUTICALS INC 34.2% BSPM Health Care 09067830
BIOSCRIP INC 15.8% BIOS Health Care 09069N10
BIOSHAFT WATER TECHNOLOGY 15.3% BSHF Industrials 09070W10
BIOPOWER OPERATIONS CORP 0.5% BOPO Energy 09072L20
BIOAMBER INC 0.5% BIOA Materials 09072Q10
BIOCEPT INC 8.3% BIOC Health Care 09072V20
BIOPHARMX CORP 0.0% BPMX Health Care 09072X10
BIOCORRX INC 23.0% BICX Health Care 09073C10
BIO-TECHNE CORP 35.0% TECH Health Care 09073M10
BIOTECH PRODS SRVCS RESEARCH BPSR Health Care 09074L10
BIOSTAGE INC 0.1% BSTG 09074M10
3.1% 09074N10
BIOVERATIV INC 35.0% BIVV Health Care 09075E10
BIRKS GROUP INC 20.6% BGI Consumer Discretionary 09088U10
BIOLASE INC 7.2% BIOL Health Care 09091110
BIOSPECIFICS TECHNOLOGIES CP 35.0% BSTC Health Care 09093110
BIOMET INC 38.0% 5938B Health Care 09099P94
BIRNER DENTAL MGMT SVCS INC 30.9% BDMS Health Care 09128320
BJ'S RESTAURANTS INC 35.0% BJRI Consumer Discretionary 09180C10
BLACK BOX CORP 35.8% BBOX Information Technology 09182610
0.8% 09202G10
BLACK HILLS POWER INC 34.9% BKH1 Utilities 09211300
BLACK HILLS CORP 35.2% BKH Utilities 09211310
BLACK KNIGHT FINANCIAL SRVCS INC 35.0% BKFS 09214X10
BLACK RIDGE OIL & GAS INC 1.9% ANFC Energy 09216Q10
BLACK STONE MINERALS LP 12.0% BSM Energy 09225M10
BLACKBAUD INC 35.0% BLKB Information Technology 09227Q10
BLACKBIRD ENERGY INC 13.0% BKBEF Energy 09228A10
BLACKBERRY LTD 12.8% BB Information Technology 09228F10
BLACKHAWK BANCORP INC BHWB Financials 09237E20
BLACKHAWK NETWORK HLDGS INC 11.7% HAWK Information Technology 09238E10
BLACKLINE INC 4.5% BL Information Technology 09239B10
BLACKROCK INC 35.0% BLK Financials 09247X10
BLACKSANDS PETROLEUM INC 0.9% BSPE Energy 09250Y20
BLACKROCK CAPITAL INVT CORP 25.2% BKCC Financials 09253310
BLACKSTONE GROUP LP 3.8% BX Financials 09253U10
BLACKSTONE MORTGAGE TR INC 36.2% BXMT Financials 09257W10
BLOCK H & R INC 36.2% HRB Consumer Discretionary 09367110
BLONDER TONGUE LABS INC 3.1% BDR Information Technology 09369810
BLOOMIN' BRANDS INC 35.1% BLMN Consumer Discretionary 09423510
BLUCORA INC 0.2% BCOR Information Technology 09522910
BLUE BIRD CORP 34.6% BLBD Industrials 09530610
BLUE CALYPSO INC 9.8% BCYP Information Technology 09531B30
BLUE BUFFALO PET PRODUCTS 35.0% BUFF Consumer Staples 09531U10
BLUE DOLPHIN ENERGY CO 21.3% BDCO Energy 09539530
BLUE HILLS BANCORP INC 35.1% BHBK Financials 09557310
BLUE LINE PROTECTION GROUP BLPG Industrials 09568Q10
BLUE RIDGE REAL ESTATE CO 3.5% BRRE 09600530
BLUE SPHERE CORP 3.1% BLSP Industrials 09605C30
BLUEBIRD BIO INC 0.1% BLUE Health Care 09609G10
6.3% 09609H10
BLUEFIRE RENEWABLES INC 19.0% BFRE Energy 09623J10
BLUELINX HOLDINGS INC 23.0% BXC Industrials 09624H20
BLUEKNIGHT ENERGY PRTNRS LP 26.6% BKEP Energy 09625U10
BLUEROCK RESIDENTIAL GROWTH 35.0% BRG 09627J10
BLUEPRINT MEDICINES CORP 0.0% BPMC Health Care 09627Y10
B M B MUNAI INC KAZ 09656A10
BOARDWALK PIPELINE PRTNRS-LP 35.0% BWP Energy 09662710
BOARDWALK REAL ESTATE TRUST 28.0% BOWFF 09663110
BOB EVANS FARMS 35.0% BOBE Consumer Staples 09676110
BOEING CO 35.4% BA Industrials 09702310
BOHAI PHARMACEUTICALS GROUP 35.0% BOPH Health Care 09731610
BOINGO WIRELESS INC 10.8% WIFI Telecommunication Services 09739C10
BOISE CASCADE CO 34.8% BCC Materials 09739D10
BOJANGLES' INC 35.0% BOJA Consumer Discretionary 09748810
BOLLENTE COS INC 2.4% BOLC Industrials 09767T10
BOMBARDIER INC -CL B 31.1% BDRBF Industrials 09775120
BON-TON STORES INC 3.2% BONT Consumer Discretionary 09776J10
0.5% 09779310
BONANZA CREEK ENERGY INC BCEI Energy 09779340
BONSO ELECTRONICS INTL INC 26.6% BNSO Information Technology 09852930
BOOT BARN HOLDINGS INC 35.0% BOOT Consumer Discretionary 09940610
BOOZ ALLEN HAMILTON HLDG CP 35.0% BAH Information Technology 09950210
BOREALIS EXPLORATION LTD 3.8% BOREF Industrials 09972010
BORGWARNER INC 35.0% BWA Consumer Discretionary 09972410
BORNEO RESOURCE INVESTMENTS 0.9% BRNE Materials 09987610
BOSS HOLDINGS INC 32.1% BSHI Consumer Discretionary 10011B20
BOSTON BEER INC -CL A 35.0% SAM Consumer Staples 10055710
BOSTON PRIVATE FINL HOLDINGS 35.0% BPFH Financials 10111910
BOSTON PROPERTIES INC 35.0% BXP 10112110
BOSTON SCIENTIFIC CORP 35.0% BSX Health Care 10113710
BOSTON THERAPEUTICS INC 3.2% BTHE Health Care 10115010
BOTTOMLINE TECHNOLOGIES INC 20.6% EPAY Information Technology 10138810
BOVIE MEDICAL CORP 2.2% BVX Health Care 10211F10
BOWL AMERICA INC -CL A 33.8% BWLA Consumer Discretionary 10256510
BOWLIN TRAVEL CENTERS INC 15.4% BWTL Consumer Discretionary 10259P10
BOX INC 1.1% BOX Information Technology 10316T10
BOYD GAMING CORP 35.0% BYD Consumer Discretionary 10330410
BRADY CORP 35.1% BRC Industrials 10467410
BRAINSTORM CELL THERAPEUTICS 2.0% BCLI Health Care 10501E20
BRAND MARVEL WRLDWD CONS PRO 7.6% BRMWF Consumer Staples 10525410
BRANDYWINE REALTY TRUST 36.3% BDN 10536820
BRAVO BRIO RESTAURANT GP INC 34.6% BBRG Consumer Discretionary 10567B10
BRAVADA GOLD CORP 0.1% BGAVF Materials 10567D20
BRAVO ENTERPRISES LTD 9.8% OGNG Utilities 10567L10
BRAVATEK SOLUTIONS INC 21.4% BVTK Information Technology 10568D20
BRAZIL FAST FOOD CORP 38.0% BOBS Consumer Discretionary 10575520
BRAZIL MINERALS INC 4.6% BMIX Materials 10586120
BREITBURN ENERGY PARTNERS LP 3.3% BBEP Energy 10677610
BRIDGE BANCORP INC 35.0% BDGE Financials 10803510
BRIDGEPOINT EDUCATION INC 35.3% BPI Consumer Discretionary 10807M10
0.0% 10807Q30
BRIDGELINE DIGITAL INC BLIN Information Technology 10807Q40
BRIDGFORD FOODS CORP 35.3% BRID Consumer Staples 10876310
BRIGGS & STRATTON 35.0% BGG Industrials 10904310
BRIGHT HORIZONS FAMILY SOLTN 35.0% BFAM Consumer Discretionary 10919410
BRIGHTCOVE INC 16.7% BCOV Information Technology 10921T10
BRINKER INTL INC 37.8% EAT Consumer Discretionary 10964110
BRINKS CO 35.8% BCO Industrials 10969610
BRISTOL-MYERS SQUIBB CO 35.0% BMY Health Care 11012210
BRISTOW GROUP INC 35.0% BRS Energy 11039410
BRIXMOR OPERATING PRTNRS LP 35.0% BRX1 11120U00
BRIXMOR PROPERTY GROUP INC 35.0% BRX 11120U10
BROADSOFT INC 35.0% BSFT Information Technology 11133B40
BROADRIDGE FINANCIAL SOLUTNS 35.0% BR Information Technology 11133T10
BROADVIEW NETWORKS HLDG INC 36.7% BVWN Telecommunication Services 11138T10
BROADVISION INC 15.9% BVSN Information Technology 11141270
BROADWAY FINANCIAL CORP/DE 26.0% BYFC Financials 11144410
BROADWIND ENERGY INC 2.4% BWEN Industrials 11161T20
BROCADE COMMUNICATIONS SYS 35.0% BRCD Information Technology 11162130
BROOKDALE SENIOR LIVING INC 11.3% BKD Health Care 11246310
GRAFTECH INTERNATIONAL LTD 36.8% BAM2 Industrials 11258500
BROOKFIELD ASSET MANAGEMENT 35.3% BAM Financials 11258510
BROOKFLD DTLA OFFICE TR INV 35.0% DTLA.P 11271420
BROOKFIELD CDA OFFICE PPTYS 3.9% BOXC 11282310
BROOKLINE BANCORP INC 35.0% BRKL Financials 11373M10
BROOKS AUTOMATION INC 9.1% BRKS Information Technology 11434010
BROWN & BROWN INC 35.0% BRO Financials 11523610
BROWN FORMAN CORP 35.0% BFB Consumer Staples 11563720
BROWNIE'S MARINE GROUP INC 2.5% BWMG Consumer Discretionary 11586720
BRUKER CORP 35.0% BRKR Health Care 11679410
BRUNSWICK CORP 30.9% BC Consumer Discretionary 11704310
BRYN MAWR BANK CORP 35.0% BMTC Financials 11766510
BSQUARE CORP 4.1% BSQR Information Technology 11776U30
B2GOLD CORP 17.5% BTG Materials 11777Q20
BUCKEYE PARTNERS LP 35.0% BPL Energy 11823010
BUCKLE INC 35.0% BKE Consumer Discretionary 11844010
BUFFALO WILD WINGS INC 35.0% BWLD Consumer Discretionary 11984810
BUILD-A-BEAR WORKSHOP INC 35.1% BBW Consumer Discretionary 12007610
BUILDERS FIRSTSOURCE 35.0% BLDR Industrials 12008R10
BULOVA TECHNOLOGIES GP INC 24.6% BTGI Industrials 12045820
BURCON NUTRASCIENCE CORP 0.8% BUR Materials 12083110
BURLINGTON COAT FACTORY INVS 35.0% 0015B Consumer Discretionary 12157993
BNSF RAILWAY CO 35.0% BNI1 Industrials 12189900
BURLINGTON STORES INC 35.0% BURL Consumer Discretionary 12201710
BURNHAM HOLDINGS INC 11.4% BURCA Industrials 12229510
BURZYNSKI RESEARCH INSTITUTE 21.7% BZYR Health Care 12315910
BUSCAR CO 0.8% CGLD Consumer Discretionary 12316W20
BUTLER NATIONAL CORP 12.0% BUKSC Industrials 12372010
C&F FINANCIAL CORP 38.0% CFFI Financials 12466Q10
CAE INC 36.0% CAE Industrials 12476510
CAS MEDICAL SYSTEMS INC 0.0% CASM Health Care 12476920
CAI INTERNATIONAL INC 35.0% CAI Industrials 12477X10
CB FINANCIAL SERVICES INC 35.0% CBFV Financials 12479G10
CBIZ INC 35.0% CBZ Industrials 12480510
CBL & ASSOCIATES PPTYS INC 35.0% CBL 12483010
CBS CORP 7.0% CBS Consumer Discretionary 12485720
CCA INDUSTRIES INC 34.7% CAW Consumer Staples 12486710
CCFNB BANCORP INC 34.0% CCFN Financials 12488010
CBT FINANCIAL CORP 34.7% CBTC Financials 12495U10
BWAY INTERMEDIATE CO INC 35.0% 0044A Materials 12499P00
CBOE GLOBAL MARKETS INC 35.0% CBOE Financials 12503M10
CBRE GROUP INC 35.0% CBG 12504L10
CCOM GROUP INC 29.6% CCOM Industrials 12504V10
CDI CORP 35.8% CDI Industrials 12507110
CD INTERNATIONAL ENTERPRISES 1.8% CDIIQ Industrials 12508A30
CDK GLOBAL INC 35.0% CDK Information Technology 12508E10
CEB INC 34.8% CEB Industrials 12513410
CECO ENVIRONMENTAL CORP 35.0% CECE Industrials 12514110
CDW CORP 35.0% CDW Information Technology 12514G10
CES SYNERGIES INC 7.3% CESX Industrials 12517U10
CF INDUSTRIES HOLDINGS INC 37.3% CF Materials 12526910
CGX ENERGY INC 18.2% CGXEF Energy 12540550
C H ROBINSON WORLDWIDE INC 35.0% CHRW Industrials 12541W20
12542Q10
CHS INC 36.2% 9919B Consumer Staples 12542R99
CIBL INC 28.0% CIBY Telecommunication Services 12543Y10
CIGNA CORP 37.1% CI Health Care 12550910
CIM COMMERICAL TRUST CMCT 12552510
CIT GROUP INC 38.9% CIT Financials 12558180
CKX LANDS INC 30.5% CKX 12562N10
CME GROUP INC 35.0% CME Financials 12572Q10
CMG HOLDINGS GROUP INC 16.3% CMGO Consumer Discretionary 12574910
CM FINANCE INC 38.4% CMFN Financials 12574Q10
CMS ENERGY CORP 35.2% CMS Utilities 12589610
CSS INDUSTRIES INC 35.0% CSS Consumer Discretionary 12590610
CPI AEROSTRUCTURES INC 16.7% CVU Industrials 12591930
34.3% 12592V10
CTI INDUSTRIES CORP 31.8% CTIB Consumer Discretionary 12596130
CEC ENTERTAINMENT INC 35.0% 9614B Consumer Discretionary 12599M93
CH2M HILL COS LTD 35.0% 0521B Industrials 12599T91
CLECO POWER LLC 35.0% CNL1 Utilities 12599X00
CNA FINANCIAL CORP 35.9% CNA Financials 12611710
CNB FINANCIAL CORP/PA 35.0% CCNE Financials 12612810
CRA INTERNATIONAL INC 37.4% CRAI Industrials 12618T10
CPS TECHNOLOGIES CORP 11.1% CPSH Information Technology 12619F10
CNO FINANCIAL GROUP INC 17.9% CNO Financials 12621E10
CRH MEDICAL CORP 35.0% CRHM Health Care 12626F10
CSB BANCORP INC/OH 34.0% 3CSBB Financials 12628R10
CSG SYSTEMS INTL INC 35.0% CSGS Information Technology 12634910
35.0% 12634H10
CSI COMPRESSCO LP 35.0% CCLP Energy 12637A10
CSP INC 29.9% CSPI Information Technology 12638910
CSW INDUSTRIALS INC 22.9% CSWI Industrials 12640210
CSX CORP 35.0% CSX Industrials 12640810
CTD HOLDINGS INC 0.6% CTDH Health Care 12642Q10
CST BRANDS INC 35.0% CST Consumer Discretionary 12646R10
CTI BIOPHARMA CORP 12.6% CTIC Health Care 12648L60
CTS CORP 3.9% CTS Information Technology 12650110
CSRA INC 35.0% CSRA Information Technology 12650T10
CU BANCORP/CA 35.0% CUNB Financials 12653410
CUI GLOBAL INC 6.5% CUI Information Technology 12657620
CVB FINANCIAL CORP 35.0% CVBF Financials 12660010
CVD EQUIPMENT CORP 34.5% CVV Information Technology 12660110
CV HOLDINGS INC 18.3% CVHL Financials 12661F10
CVR ENERGY INC 18.5% CVI Energy 12662P10
CVR PARTNERS LP 35.1% UAN Materials 12663310
CVR REFINING LP 6.5% CVRR Energy 12663P10
CVS HEALTH CORP 35.0% CVS Consumer Staples 12665010
CV SCIENCES INC 1.2% CVSI Consumer Staples 12665410
CYS INVESTMENTS INC 34.6% CYS Financials 12673A10
CA INC 34.8% CA Information Technology 12673P10
CYTTA CORP 0.2% CYCA Information Technology 12673W40
C&J ENERGY SERVICES INC 37.6% CJ Energy 12674R10
CABELAS INC 35.0% CAB Consumer Discretionary 12680430
CABLE ONE INC 35.0% CABO Consumer Discretionary 12685J10
CSC HOLDINGS LLC 35.0% CVC1 Consumer Discretionary 12699Z00
CPI INTERNATIONAL HLDG CORP 36.7% 5929B Information Technology 12699Z91
CABOT CORP 35.0% CBT Materials 12705510
CABOT OIL & GAS CORP 18.9% COG Energy 12709710
CABOT MICROELECTRONICS CORP 35.3% CCMP Information Technology 12709P10
CACHE INC 33.2% CACH Consumer Discretionary 12715030
CACI INTL INC -CL A 35.0% CACI Information Technology 12719030
CADENCE DESIGN SYSTEMS INC 34.6% CDNS Information Technology 12738710
CADIZ INC 0.4% CDZI Utilities 12753720
CADUS CORPORATION 5.1% KDUS Consumer Discretionary 12763910
CAESARS ENTERTAINMENT CORP 36.2% CZR Consumer Discretionary 12768610
CAESARS ACQUISITION CO 35.0% CACQ Consumer Discretionary 12768T10
CAFEPRESS INC 17.3% PRSS Consumer Discretionary 12769A10
CAL DIVE INTERNATIONAL INC 10.8% DVR Energy 12802T10
CAL-MAINE FOODS INC 35.0% CALM Consumer Staples 12803020
CALA CORP 23.8% CCAA Consumer Discretionary 12804A10
CALADRIUS BIOSCIENCES INC 6.9% CLBS Health Care 12805820
CALAMOS ASSET MANAGEMENT INC 17.0% CLMS Financials 12811R10
CALAMP CORP 34.9% CAMP Information Technology 12812610
CALATLANTIC GROUP INC 35.2% CAA Consumer Discretionary 12819510
CALAVO GROWERS INC 36.1% CVGW Consumer Staples 12824610
CALERES INC 35.0% CAL Consumer Discretionary 12950010
CALGON CARBON CORP 35.0% CCC Materials 12960310
CALIF FIRST NATIONAL BANCORP 12.3% CFNB Financials 13022210
CALIFORNIA RESOURCES CORP 37.2% CRC Energy 13057Q20
CALIFORNIA WATER SERVICE GP 17.3% CWT Utilities 13078810
CALITHERA BIOSCIENCES INC 0.0% CALA Health Care 13089P10
CALIF PETROLEUM TRANSPORT CP 33.7% 2151B Energy 13099W93
CALIX INC 5.8% CALX Information Technology 13100M50
CALLAWAY GOLF CO 35.0% ELY Consumer Discretionary 13119310
CALLIDUS SOFTWARE INC 4.3% CALD Information Technology 13123E50
CALLON PETROLEUM CO/DE 2.3% CPE Energy 13123X10
CALLOWAY'S NURSERY INC 34.0% CLWY Consumer Discretionary 13125510
CALMARE THERAPEUTICS INC 12.4% CTTC Health Care 13126R10
CALPINE CORP 11.5% CPN Utilities 13134730
CALUMET SPECIALTY PRODS -LP 35.0% CLMT Energy 13147610
CAM GROUP INC 34.3% CAMG Consumer Discretionary 13173Q10
CAMBER ENERGY INC 8.4% CEI Energy 13200M10
CAMBREX CORP 35.0% CBM Health Care 13201110
CAMBIUM LEARNING GROUP INC 24.9% ABCD Consumer Discretionary 13201A10
CAMBRIDGE BANCORP 35.0% CATC Financials 13215210
CAMDEN NATIONAL CORP 35.0% CAC Financials 13303410
CAMDEN PROPERTY TRUST 35.0% CPT 13313110
CAMECO CORP 21.3% CCJ Energy 13321L10
CAMPBELL SOUP CO 35.0% CPB Consumer Staples 13442910
CAMPING WORLD HOLDINGS INC 35.0% CWH Consumer Discretionary 13462K10
9.8% 13526P10
CANADIAN NATIONAL RAILWAY CO 35.3% CNI Industrials 13637510
CANADIAN NATURAL RESOURCES 17.5% CNQ Energy 13638510
CANADIAN PACIFIC RAILWAY LTD 35.8% CP Industrials 13645T10
CANADIAN SOLAR INC 35.0% CSIQ Information Technology 13663510
CANALASKA URANIUM LTD 2.1% CVVUF Energy 13708P20
CANANDAIGUA NATIONAL CORP 35.0% CNND Financials 13714310
CANARC RESOURCE CORP 2.1% CRCUF Materials 13722D10
CANCER GENETICS INC 2.7% CGIX Health Care 13739U10
CANNABIS SCIENCE INC 3.1% CBIS Health Care 13764810
CANNABICS PHARMACEUTICALS 7.9% CNBX Health Care 13764M10
CANNABIS SATIVA INC 20.1% CBDS Consumer Staples 13764T10
CANTEL MEDICAL CORP 35.0% CMD Health Care 13809810
CANTERBURY PARK HOLDING CORP 3.6% CPHC Consumer Discretionary 13811E10
CAPELLA EDUCATION CO 35.5% CPLA Consumer Discretionary 13959410
CAPITAL CITY BK GROUP INC 38.0% CCBG Financials 13967410
CAPITAL BANK FINANCIAL CORP 35.0% CBF Financials 13979410
CAPITAL FINANCIAL HLDGS INC 16.7% CPFH Financials 14014420
CAPITAL ONE FINANCIAL CORP 35.0% COF Financials 14040H10
CAPITAL POWER CORP 36.4% CPXWF Utilities 14042M10
CAPITAL PROPERTIES INC 32.7% CPI 14043010
CAPITAL SENIOR LIVING CORP 16.2% CSU Health Care 14047510
CAPITAL SOUTHWEST CORP 7.1% CSWC Financials 14050110
CAPITALA FINANCE CORP 17.3% CPTA Financials 14054R10
CAPITOL FEDERAL FINL INC 35.1% CFFN Financials 14057J10
0.9% 14066L10
CAPSTONE TURBINE CORP 2.3% CPST Industrials 14067D40
CAPSTEAD MORTGAGE CORP 36.3% CMO Financials 14067E50
CAPSTONE THERAPEUTICS CORP 0.1% CAPS Health Care 14068E10
CAPSTONE FINANCIAL GROUP INC 18.6% CAPP Financials 14069V10
CAPRICOR THERAPEUTICS INC 1.2% CAPR Health Care 14070B10
CAPSTONE COS INC 31.8% CAPC Industrials 14070F20
CAPSTAR FINANCIAL HLDGS INC CSTR Financials 14070T10
1.6% 14074Y20
CARA THERAPEUTICS INC 0.8% CARA Health Care 14075510
CARBO CERAMICS INC 34.1% CRR Energy 14078110
CARBON NATURAL GAS CO 6.5% CRBO Energy 14115T20
CARBONITE INC 17.8% CARB Information Technology 14133710
CARDERO RESOURCE CORP 1.8% CDYCF Materials 14140U20
CARDAX INC 25.8% CDXI Health Care 14141D10
CARDINAL FINANCIAL CORP 35.0% CFNL Financials 14149F10
CARDINAL HEALTH INC 35.0% CAH Health Care 14149Y10
CARDINAL ETHANOL LLC 13.6% CRDE Energy 14150E10
CARDINAL ENERGY GROUP INC 19.9% CEGX Energy 14150H10
CARDIOME PHARMA CORP 7.1% CRME Health Care 14159U30
CARDIOGENICS HOLDINGS INC 6.1% CGNH Health Care 14160X20
CARDIOVASCULAR SYSTEMS INC 0.1% CSII Health Care 14161910
CARE CAPITAL PPTYS INC 35.0% CCP 14162410
CARE.COM INC 1.2% CRCM Information Technology 14163310
CAREER EDUCATION CORP 34.6% CECO Consumer Discretionary 14166510
CAREDX INC 8.2% CDNA Health Care 14167L10
CAREVIEW COMMUNICATIONS INC 3.8% CRVW Health Care 14174310
CARETRUST REIT INC 35.0% CTRE 14174T10
CAREY WATERMARK INVESTORS CRYW 14179A10
CARLISLE COS INC 35.0% CSL Industrials 14233910
CARLYLE GROUP LP 25.3% CG Financials 14309L10
CARMAX INC 35.0% KMX Consumer Discretionary 14313010
CARNIVAL CORP/PLC (USA) 35.0% CCL Consumer Discretionary 14365830
CAROLINA BANK HOLDINGS INC 34.0% CLBH Financials 14378510
CAROLINA FINANCIAL CORP 37.8% CARO Financials 14387310
CARRIAGE SERVICES INC 35.2% CSV Consumer Discretionary 14390510
DUKE ENERGY PROGRESS INC 20.4% PGN2 Utilities 14414100
CAROLINA TRUST BANCSHARES 0.9% CART Financials 14422P10
CARPENTER TECHNOLOGY CORP 34.7% CRS Materials 14428510
CARRIZO OIL & GAS INC 2.8% CRZO Energy 14457710
CARROLS RESTAURANT GROUP INC 34.7% TAST Consumer Discretionary 14574X10
16.1% 14575B30
CARS.COM INC CARS Information Technology 14575E10
CARTER BANK & TRUST 35.0% CARE Financials 14610210
CARTER'S INC 35.0% CRI Consumer Discretionary 14622910
CARTESIAN INC 3.3% CRTN Information Technology 14653410
CARVER BANCORP INC 16.9% CARV Financials 14687560
CASCADE BANCORP 38.2% CACB Financials 14715420
CASCADIAN THERAPEUTICS INC 10.2% CASC Health Care 14740B60
CASELLA WASTE SYS INC -CL A 31.5% CWST Industrials 14744810
CASEYS GENERAL STORES INC 35.1% CASY Consumer Staples 14752810
CASH STORE FINANCIAL SVCS 17.1% CSFS Financials 14756F10
CASI PHARMACEUTICALS INC 24.6% CASI Health Care 14757U10
CASPIAN SERVICES INC 2.0% CSSV Energy 14766Q10
CASS INFORMATION SYSTEMS INC 35.0% CASS Information Technology 14808P10
CASTLE A M & CO 33.9% CAS 14841110
CASTLE BRANDS INC 3.6% ROX Consumer Staples 14843510
CASTLIGHT HEALTH INC 0.9% CSLT Health Care 14862Q10
CATABASIS PHARMACEUTICALS 0.1% CATB Health Care 14875P10
CATALENT INC 30.8% CTLT Health Care 14880610
CATALYST PHARMACEUTICALS INC 19.1% CPRX Health Care 14888U10
2.1% 14904940
CATASYS INC CATS Health Care 14904950
CATERPILLAR INC 35.1% CAT Industrials 14912310
CATERPILLAR FINANCIAL SVCS 32.7% CAT1 Financials 14912L00
CATCHMARK TIMBER TRUST 1.8% CTT 14912Y20
CATHAY GENERAL BANCORP 35.1% CATY Financials 14915010
CATO CORP -CL A 35.1% CATO Consumer Discretionary 14920510
CAVCO INDUSTRIES INC 35.3% CVCO Consumer Discretionary 14956810
CAVIUM INC CAVM Information Technology 14964U10
CAVITATION TECHNOLOGIES INC 14.2% CVAT Information Technology 14964W10
CBAK ENERGY TECHNOLOGY INC 14.6% CBAK Information Technology 14986C10
CATERPILLAR INC-PRE FASB 35.0% CAT.F Industrials 14999Z93
CEDAR FAIR -LP 35.3% FUN Consumer Discretionary 15018510
CEDAR REALTY TRUST INC 34.6% CDR 15060220
CEETOP INC 4.0% CTOP Information Technology 15081810
1.4% 15083750
CEL-SCI CORP CVM Health Care 15083760
CELADON GROUP INC 22.5% CGI Industrials 15083810
CELANESE CORP 4.7% CE Materials 15087010
CELESTICA INC 8.2% CLS Information Technology 15101Q10
CELGENE CORP 35.0% CELG Health Care 15102010
3.1% 15115V10
CELLDEX THERAPEUTICS INC 0.0% CLDX Health Care 15117B10
CELLECTAR BIOSCIENCES INC 9.8% CLRB Health Care 15117F30
0.0% 15117N40
CELSION CORP CLSN Health Care 15117N50
CELLULAR BIOMEDICINE GROUP 0.7% CBMG Health Care 15117P10
CELSIUS HOLDINGS INC 2.0% CELH Consumer Staples 15118V20
CEMTREX INC 34.0% CETX Industrials 15130G30
CEMPRA INC 0.0% CEMP Health Care 15130J10
CENTENE CORP 35.0% CNC Health Care 15135B10
CENOVUS ENERGY INC 18.5% CVE Energy 15135U10
CENGAGE LEARNING HLDGS II 29.4% CNGO Consumer Discretionary 15136X10
CENTERPOINT ENERGY INC 3.9% CNP Utilities 15189T10
CENTERPOINT ENERGY RES CORP 34.6% CNP3 Utilities 15189W00
CENTERPOINT ENRG HOUSTON ELE 35.9% CNP6 Utilities 15189X00
CENTERSTATE BANK CORP 35.0% CSFL Financials 15201P10
CENTRAL ENERGY PARTNERS LP 3.3% ENGY Energy 15342310
CENTRAL FEDERAL CORP 11.8% CFBK Financials 15346Q20
CENTRAL GARDEN & PET CO 35.0% CENTA Consumer Staples 15352720
CENTRAL HUDSON GAS & ELECTR 29.9% CHG1 Utilities 15360900
AMEREN ILLINOIS CO 15.6% AES3 Utilities 15366300
CENTRAL MAINE POWER CO 33.7% EAS3 Utilities 15405100
CENTRAL NATURAL RES INC 0.3% CTNR Energy 15459P10
CENTRAL PACIFIC FINANCIAL CP 30.6% CPF Financials 15476040
CENTRAL STEEL & WIRE CO 10.1% CSTW Industrials 15541110
CENTRAL VALLEY CMNTY BANCORP 35.0% CVCY Financials 15568510
CENTURY ALUMINUM CO 0.1% CENX Materials 15643110
CENTURY BANCORP INC/MA 35.0% CNBKA Financials 15643210
CENTRUE FINANCIAL CORP 4.6% CFCB Financials 15643B20
CENTRUS ENERGY CORP 11.5% LEU Energy 15643U10
CENTURY CASINOS INC 35.5% CNTY Consumer Discretionary 15649210
CENTURY COMMUNITIES INC 35.0% CCS Consumer Discretionary 15650430
CENTURYLINK INC 35.0% CTL Telecommunication Services 15670010
CENVEO INC 34.9% CVO Industrials 15670S40
CERECOR INC 8.1% CERC Health Care 15671L10
CEREBAIN BIOTECH CORP 2.3% CBBT Health Care 15672M10
CERNER CORP 35.0% CERN Health Care 15678210
CERUS CORP 0.2% CERS Health Care 15708510
CERULEAN PHARMA INC 0.7% CERU Health Care 15708Q10
CESCA THERAPEUTICS INC 2.1% KOOL Health Care 15713120
CEVA INC 4.8% CEVA Information Technology 15721010
CHAMPION INDUSTRIES INC 3.2% CHMP Industrials 15852020
CHAMPIONS ONCOLOGY INC 1.3% CSBR Health Care 15870P30
CHANG-ON INTERNATIONAL INC 11.5% CAON Industrials 15910910
CHANNELADVISOR CORP 3.2% ECOM Information Technology 15917910
8.4% 15930P40
CHANTICLEER HOLDINGS INC BURG Consumer Discretionary 15930P80
CHAPARRAL ENERGY INC 1.8% 0957B Energy 15941R99
CHARLES & COLVARD LTD 4.2% CTHR Consumer Discretionary 15976510
CHARLES RIVER LABS INTL INC 35.0% CRL Health Care 15986410
CHART INDUSTRIES INC 35.2% GTLS Industrials 16115Q30
CHARTER COMMUNICATIONS INC 35.4% CHTR Consumer Discretionary 16119P10
CHARTER FINANCIAL CORP/MD 12.5% CHFN Financials 16122W10
CHASE CORP 35.0% CCF Materials 16150R10
CHASE GENERAL CORP 36.8% 5168B Consumer Staples 16199X93
CHATHAM LODGING TRUST 9.2% CLDT 16208T10
CHEESECAKE FACTORY INC 35.0% CAKE Consumer Discretionary 16307210
CHEFS' WAREHOUSE INC 35.0% CHEF Consumer Staples 16308610
CHEGG INC 2.5% CHGG Consumer Discretionary 16309210
CHELSEA OIL AND GAS LTD 1.8% COGLF Energy 16338410
CHEMBIO DIAGNOSTICS INC 3.3% CEMI Health Care 16357220
CHEMED CORP 35.0% CHE Health Care 16359R10
CHEMICAL FINANCIAL CORP 35.0% CHFC Financials 16373110
CHEMOCENTRYX INC 1.7% CCXI Health Care 16383L10
CHEMOURS CO 35.1% CC Materials 16385110
CHEMTURA CORP 12.9% CHMT Materials 16389320
CHEMUNG FINANCIAL CORP 35.1% CHMG Financials 16402410
CHENIERE ENERGY PARTNERS LP 35.0% CQP Energy 16411Q10
CHENIERE ENERGY INC 35.2% LNG Energy 16411R20
CHENIERE ENERGY PTNRS LP LLC 16.0% CQH Energy 16411W10
CHEROKEE INC/DE 36.5% CHKE Consumer Discretionary 16444H10
CHERRY HILL MTG INVST 33.1% CHMI Financials 16465110
10.0% 16486520
CHERUBIM INTERESTS INC CHIT 16486530
CHESAPEAKE ENERGY CORP 0.0% CHK Energy 16516710
CHESAPEAKE FINL SHARES INC 34.0% CPKF Financials 16517A10
CHESAPEAKE LODGING TRUST 35.0% CHSP 16524010
CHESAPEAKE UTILITIES CORP 36.4% CPK Utilities 16530310
CHEVRON CORP 36.4% CVX Energy 16676410
CHIASMA INC 34.1% CHMA Health Care 16706W10
CHICAGO BRIDGE & IRON CO 35.0% CBI Industrials 16725010
CHICAGO RIVET & MACHINE CO 34.2% CVR Industrials 16808810
CHICOS FAS INC 35.0% CHS Consumer Discretionary 16861510
CHILDRENS PLACE INC 35.0% PLCE Consumer Discretionary 16890510
CHINA CHANGJIANG MINING & NE 0.4% CHJI 16890B10
CHINA RECYCLING ENERGY CORP 35.4% CREG Industrials 16891320
CHINA COMMERCIAL CREDIT 7.8% CCCR Financials 16891K10
CHIMERA INVESTMENT CORP 34.4% CIM Financials 16934Q20
CHIMERIX INC 0.1% CMRX Health Care 16934W10
CHINA ADVANCED CONSTR MATLS 10.8% CADC Materials 16936520
CHINA AUTO LOGISTICS INC 1.2% CALI Consumer Discretionary 16936J20
CHINA AUTOMOTIVE SYSTEMS INC 35.0% CAAS Consumer Discretionary 16936R10
35.0% 16938C10
CHINA GINSENG HOLDINGS INC 2.1% CSNG Consumer Staples 16938K10
CHINA FRUITS CORP 30.3% CHFR Consumer Staples 16938V20
CHINA EDUCATION ALLIANCE INC 0.4% CEU Consumer Discretionary 16938Y30
CHINA HEALTH INDUSTRIES HLDG 10.7% CHHE Consumer Staples 16939810
CHINA PRECISION STEEL INC 2.5% CPSL Materials 16941J20
CHINA PHARMA HOLDINGS INC 4.2% CPHI Health Care 16941T10
CHINA SHOUGUAN MINING CORP 0.0% CHSO Materials 16942020
CHINA GENGSHENG MINERALS INC 0.0% CHGS Materials 16942P10
CHINA MEDIA INC 8.6% CHND Consumer Discretionary 16943110
CHINA MARINE FOOD GROUP LTD 10.9% CMFO Consumer Staples 16943R10
CHINA GREEN AGRICULTURE INC 35.2% CGA Materials 16943W10
CHINAWE.COM INC 6.3% CHWE Financials 16946410
CHINA XD PLASTICS CO LTD 35.0% CXDC Consumer Discretionary 16948F10
CHINA HGS REAL ESTATE INC 28.3% HGSH 16948W10
CHINA JO-JO DRUGSTORES INC 0.9% CJJD Consumer Staples 16949A20
CHINANET ONLINE HOLDINGS 34.7% CNET Consumer Discretionary 16949H20
CHINA MODERN AGRL INFO INC 35.0% CMCI Consumer Staples 16951R10
CHINA XINGBANG IND GROUP INC 2.0% CXGP Information Technology 16951W10
CHINA UNITED INSURANCE SVC 6.5% CUII Financials 16952A10
CHINAMERICA ANDY MOVIE ENTMT 16.5% CAME Consumer Discretionary 16952K10
CHINA XUEFENG ENVIRON ENGR 34.0% CXEE Industrials 16952R10
CHIPOTLE MEXICAN GRILL INC 20.3% CMG Consumer Discretionary 16965610
CHOICE HOTELS INTL INC 35.0% CHH Consumer Discretionary 16990510
CHOICEONE FINANCIAL SERVICES 34.0% COFS Financials 17038610
CHRISTOPHER & BANKS CORP 35.1% CBK Consumer Discretionary 17104610
CHROMADEX CORP 10.7% CDXC Health Care 17107740
CHUMA HOLDINGS INC 1.2% CHUM Industrials 17132610
CHURCH & DWIGHT INC 35.0% CHD Consumer Staples 17134010
CHURCHILL DOWNS INC 35.0% CHDN Consumer Discretionary 17148410
CHUY'S HOLDINGS INC 35.0% CHUY Consumer Discretionary 17160410
CIBER INC 34.6% CBR 17163B10
CIBT EDUCATION GROUP INC 35.0% MBA Consumer Discretionary 17163Y10
CICERO INC 21.3% CICN Information Technology 17170810
CIDARA THERAPEUTICS INC 7.5% CDTX Health Care 17175710
CIENA CORP 3.2% CIEN Information Technology 17177930
CIMAREX ENERGY CO 25.2% XEC Energy 17179810
CIMETRIX INC 34.0% CMXX Information Technology 17185E30
CINCINNATI BELL INC 4.7% CBB Telecommunication Services 17187150
CHRYSLER GROUP LLC 35.0% FIATY1 Consumer Discretionary 17193Z00
CINCINNATI FINANCIAL CORP 35.0% CINF Financials 17206210
DUKE ENERGY OHIO INC 10.5% CIN1 Utilities 17207000
CINEDIGM CORP 1.1% CIDM Consumer Discretionary 17240620
CINEMARK HOLDINGS INC 35.2% CNK Consumer Discretionary 17243V10
CINER RESOURCES LP 35.5% CINR Materials 17246410
CIPHERLOC CORP 4.4% CLOK Information Technology 17253H10
CIPHER PHARMACEUTICALS INC 35.3% CPHR Health Care 17253X10
CIRCLE ENTERTAINMENT INC 10.0% CEXE Consumer Discretionary 17256R10
CIRCLE STAR ENERGY CORP 5.9% CRCL Energy 17268110
CIRCOR INTL INC 36.3% CIR Industrials 17273K10
CIRRUS LOGIC INC 33.6% CRUS Information Technology 17275510
CISCO SYSTEMS INC 35.0% CSCO Information Technology 17275R10
CIRTRAN CORP 0.5% CIRC Consumer Staples 17276F20
CITADEL EFT INC 29.9% CDFT Information Technology 17286C20
CINTAS CORP 35.0% CTAS Industrials 17290810
CITIZENS & NORTHERN CORP 34.8% CZNC Financials 17292210
CITIZENS BANCORP/OR CZBC Financials 17295010
CITIGROUP INC 35.8% C Financials 17296742
CINEMARK USA INC 35.0% CNK1 Consumer Discretionary 17299Z00
CITI TRENDS INC 35.0% CTRN Consumer Discretionary 17306X10
CITIZENS BANCSHARES CORP 34.0% CZBS Financials 17316810
CITIZENS BANCORP VA INC 34.0% CZBT Financials 17316V10
CITIZENS FINANCIAL GROUP INC 35.0% CFG Financials 17461010
CITIZENS FINANCIAL SVCS INC 38.0% 3CZFS Financials 17461510
CITIZENS FIRST CORP 34.0% CZFC Financials 17462Q10
CITIZENS HOLDING CO 34.1% CIZN Financials 17471510
CITIZENS INC 34.9% CIA Financials 17474010
CITIZENS COMMUNITY BANCORP 33.9% CZWI Financials 17490310
CITRIX SYSTEMS INC 35.0% CTXS Information Technology 17737610
CITY HOLDING CO 35.0% CHCO Financials 17783510
CITY OFFICE REIT INC 35.0% CIO 17858710
CIVEO CORP 5.9% CVEO Industrials 17878Y10
CIVISTA BANCSHARES INC 38.0% CIVB Financials 17886710
CIVITAS SOLUTIONS INC 35.8% CIVI Health Care 17887R10
CLARCOR INC CLC Industrials 17989510
CLEAN HARBORS INC 34.9% CLH Industrials 18449610
CLEAN ENERGY FUELS CORP 9.0% CLNE Energy 18449910
CLEAN DIESEL TECHNOLOGIES 0.0% CDTI Consumer Discretionary 18449C50
CLEAN COAL TECHNOLOGIES INC 27.9% CCTC Industrials 18450P20
CLEAR CHANNEL OUTDOOR HLDGS 35.0% CCO Consumer Discretionary 18451C10
CLEANTECH SOLUTIONS INTL INC 36.4% CLNT 18451N30
CLEAN ENERGY TECHNOLOGIES 0.9% CETY Industrials 18452H10
CLEARFIELD INC 34.2% CLFD Information Technology 18482P10
CLEARSIDE BIOMEDICAL INC CLSD Health Care 18506310
CLEARSIGN COMBUSTION CORP 0.0% CLIR Information Technology 18506410
CLEARTRONIC INC 14.5% CLRI Information Technology 18506P20
CLEARONE INC 37.8% CLRO Information Technology 18506U10
CLEARWATER PAPER CORP 36.7% CLW Materials 18538R10
CLEVELAND BIOLABS INC 2.5% CBLI Health Care 18586020
CLEVELAND ELECTRIC ILLUM 31.0% CX2 Utilities 18610800
17.8% 18683K10
CLIFTON BANCORP INC 34.0% CSBK Financials 18687310
CLIPPER REALTY INC CLPR 18885T30
CLOROX CO/DE 35.0% CLX Consumer Staples 18905410
CLOUD PEAK ENERGY INC 18.4% CLD Energy 18911Q10
2.0% 18911V20
CLOVIS ONCOLOGY INC 2.7% CLVS Health Care 18946410
CLUBCORP HOLDINGS INC 35.2% MYCC Consumer Discretionary 18948M10
TAPESTRY INC 35.0% TPR 18975410
1.7% 18975F10
CLUBCORP CLUB OPERATIONS INC 28.6% 5553B Consumer Discretionary 18999R93
COASTAL CARIBBEAN OILS&MINL 18.0% COCBF Energy 19043220
COASTWAY BANCORP INC 34.0% CWAY Financials 19063210
4.7% 19064310
0.2% 19075F10
COBALT INTL ENERGY INC CIE Energy 19075F30
COBIZ FINANCIAL INC 35.4% COBZ Financials 19089710
COCA-COLA BTLNG CONS 22.7% COKE Consumer Staples 19109810
COCA-COLA CO 35.0% KO Consumer Staples 19121610
19188J10
CODA OCTOPUS GROUP INC 34.0% CODA Information Technology 19188U20
CODEXIS INC 16.2% CDXS Health Care 19200510
CODE REBEL CORP 4.5% CDRB Information Technology 19200J10
CODORUS VALLEY BANCORP 38.0% CVLY Financials 19202510
COEUR MINING INC 33.5% CDE Materials 19210850
COFFEE HOLDING CO INC 30.6% JVA Consumer Staples 19217610
COGENT COMMUNICATIONS HLDGS 20.1% CCOI Telecommunication Services 19239V30
COGINT INC 21.5% COGT Consumer Discretionary 19241Q10
COGNEX CORP 35.0% CGNX Information Technology 19242210
COGENTIX MEDICAL INC 17.2% CGNT Health Care 19243A10
COGNIZANT TECH SOLUTIONS 35.0% CTSH Information Technology 19244610
COHERENT INC 35.1% COHR Information Technology 19247910
COHEN & STEERS INC 35.1% CNS Financials 19247A10
COHERUS BIOSCIENCES INC 7.9% CHRS Health Care 19249H10
COHU INC 34.9% COHU Information Technology 19257610
COLE CREDIT PROPERTY TR IV 35.1% CCPT 19326U10
COLE CREDIT PROPERTY TR INC 34.0% 9075B Financials 19399D93
COLE CORPORATE INCM TR INC 0.1% 6284B Financials 19399X91
COLE REAL ESTATE INCM STRTGY 34.0% 6283B Financials 19399Z91
COLFAX CORP 35.6% CFX Industrials 19401410
COLGATE-PALMOLIVE CO 35.0% CL Consumer Staples 19416210
COLLECTORS UNIVERSE INC 29.5% CLCT Consumer Discretionary 19421R20
COLLEGIUM PHARMACEUTICAL INC 0.3% COLL Health Care 19459J10
COLLIERS INTL GROUP INC 35.8% CIGI 19469310
COLONY BANKCORP INC 33.9% CBAN Financials 19623P10
COLONY NORTHSTAR INC 35.0% CLNS 19625W10
COLORADO INTERSTATE GAS CO 32.4% CGP1 Energy 19652200
COLORADO RESOURCES LTD 0.1% CLASF Materials 19654L10
COLUCID PHARMACEUTICALS INC 28.2% CLCD Health Care 19716T10
COLUMBIA BANKING SYSTEM INC 35.0% COLB Financials 19723610
COLUMBIA PROPERTY TRUST INC 35.0% CXP 19828720
COLUMBIA SPORTSWEAR CO 35.0% COLM Consumer Discretionary 19851610
COLUMBUS MCKINNON CORP 8.0% CMCO Industrials 19933310
COM GUARD.COM INC 11.9% CGUD Information Technology 19975110
COMFORT SYSTEMS USA INC 35.1% FIX Industrials 19990810
COMARCO INC 4.7% CMRO Industrials 20008010
COMBIMATRIX CORP 2.2% CBMX Health Care 20009T50
COMCAST CORP 35.0% CMCSA Consumer Discretionary 20030N10
COMERICA INC 35.1% CMA Financials 20034010
9.1% 20049710
COMMAND SECURITY CORP 34.8% MOC Industrials 20050L10
COMMERCE BANCSHARES INC 35.0% CBSH Financials 20052510
COMMERCEHUB INC 33.3% CHUBA 20084V10
COMMERCIAL BANCSHARES INC/OH 34.0% CMOH Financials 20114L10
COMMERCIAL METALS 30.3% CMC Materials 20172310
COMMERCIAL NATIONAL FINL CP CEFC Financials 20221610
COMMERCIAL NATL FINL CP/PA 34.0% CNAF Financials 20221710
COMMERCIAL VEHICLE GROUP INC 4.9% CVGI Industrials 20260810
COMMONWEALTH EDISON CO 18.0% UCM1 Utilities 20279500
COMMSCOPE HOLDING CO INC 35.0% COMM Information Technology 20337X10
COMMUNITY BANCORP INC/VT 34.0% CMTV Financials 20343A10
COMMUNITY BANK SYSTEM INC 35.0% CBU Financials 20360710
COMMUNITY BANKERS TRUST CORP 37.6% ESXB Financials 20361210
COMMUNITY HEALTH SYSTEMS INC 35.0% CYH Health Care 20366810
COMMUNITY FINANCIAL CORP 35.9% TCFC Financials 20368X10
COMMUNICATIONS SYSTEMS INC 7.4% JCS Information Technology 20390010
COMMUNITY CHOICE FINANCIAL 35.1% 6840B Financials 20399A93
COMMUNITY SHORES BANK CORP 2.3% CSHB Financials 20404610
COMMUNITY TRUST BANCORP INC 35.0% CTBI Financials 20414910
COMMUNITY WEST BANCSHARES 33.2% CWBC Financials 20415710
COMMVAULT SYSTEMS INC 20.5% CVLT Information Technology 20416610
COMPASS MINERALS INTL INC 35.0% CMP Materials 20451N10
COMPASS DIVERSIFIED HOLDINGS 35.0% CODI Financials 20451Q10
24.9% 20451T30
COMPUTER PROGRAMS & SYSTEMS 9.0% CPSI Health Care 20530610
D X C TECHNOLOGY CO 37.9% DXC 20536310
COMPUTER SERVICES INC 35.0% CSVI Information Technology 20539A10
COMPUTER TASK GROUP INC 3.8% CTG Information Technology 20547710
COMPX INTERNATIONAL INC 34.6% CIX Industrials 20563P10
COMSCORE INC 32.9% SCOR Information Technology 20564W10
COMSTOCK HOLDING COS INC 5.4% CHCI Consumer Discretionary 20568420
COMSTOCK METALS LTD 13.6% CMMMF Materials 20571920
2.5% 20575010
COMSTOCK RESOURCES INC 0.0% CRK Energy 20576830
COMTECH TELECOMMUN 35.1% CMTL Information Technology 20582620
CONAGRA BRANDS INC 35.0% CAG Consumer Staples 20588710
CONATUS PHARMACEUTICALS INC 0.0% CNAT Health Care 20600T10
CONCERT PHARMACEUTICLS INC 7.5% CNCE Health Care 20602210
CONCHO RESOURCES INC 35.0% CXO Energy 20605P10
CONCORDIA INTERNATIONAL CORP 35.0% CXRX Health Care 20653P10
CONCURRENT COMPUTER CORP NEW 3.9% CCUR 20671040
CONDOR HOSPITALITY TR INC 20.9% CDOR 20676Y40
CONDUENT INC 11.3% CNDT Information Technology 20678710
CONE MIDSTREAM PARTNERS LP 35.0% CNNX 20681210
CONFORMIS INC 1.6% CFMS Health Care 20717E10
CONIFER HOLDINGS INC 0.1% CNFR Financials 20731J10
CONMED CORP 35.0% CNMD Health Care 20741010
CONNECTICUT LIGHT & POWER CO 35.0% NU1 Utilities 20759700
CONNECTICUT WATER SVC INC 35.0% CTWS Utilities 20779710
CONNECTURE INC 3.9% CNXR Health Care 20786J10
CONNECTONE BANCORP INC 36.5% CNOB Financials 20786W10
CONN'S INC 35.0% CONN Consumer Discretionary 20824210
CONOCOPHILLIPS 23.2% COP Energy 20825C10
CONRAD INDUSTRIES INC 23.0% CNRD Industrials 20830510
C N X RESOURCES CORP 1.4% CNX 20854P10
CONSOLIDATED COMM HLDGS INC 35.0% CNSL Telecommunication Services 20903410
CONSOLIDATED EDISON INC 19.6% ED Utilities 20911510
CONSOLIDATED GEMS INC 2.7% CGEM 20926310
CONSOLIDATED EDISON CO OF NY 26.0% ED1 Utilities 20999X00
CONSOLIDATED TOMOKA LAND CO 24.9% CTO 21022610
CONSTELLATION BRANDS 35.0% STZ Consumer Staples 21036P10
CONSUMER PORTFOLIO SVCS INC 36.3% CPSS Financials 21050210
CONSUMERS BANCORP INC 34.0% CBKM Financials 21050910
CONSUMER CAPITAL GROUP INC 34.0% CCGN Financials 21050C10
CONSUMERS ENERGY CO 29.4% CMS1 Utilities 21051800
CONTAINER STORE GROUP 8.0% TCS Consumer Discretionary 21075110
CONTANGO OIL & GAS CO 16.4% MCF Energy 21075N20
CONTANGO ORE INC 6.7% CTGO Materials 21077F10
CONTINENTAL BUILDING PRODS 23.6% CBPX Industrials 21117110
CONTINENTAL MATERIALS CORP 7.7% CUO Industrials 21161530
CONTINENTAL RESOURCES INC 19.0% CLR Energy 21201510
CONTRAFECT CORP 0.1% CFRX Health Care 21232610
CONTRAVIR PHARMACEUTICALS 21.8% CTRV Health Care 21234W10
CONTROL4 CORP 35.5% CTRL Information Technology 21240D10
CONVERGYS CORP 36.9% CVG Information Technology 21248510
COOL TECHNOLOGIES INC 16.0% WARM Consumer Discretionary 21639Y10
COOPER COMPANIES INC 35.0% COO Health Care 21664840
COOPER-STANDARD HOLDINGS INC 35.1% CPS Consumer Discretionary 21676P10
COOPER TIRE & RUBBER CO 35.0% CTB Consumer Discretionary 21683110
COPART INC 35.0% CPRT Industrials 21720410
COPSYNC INC 0.0% COYN Information Technology 21771220
CORAL GOLD RESOURCES LTD 17.5% CLHRF Materials 21800220
CORBUS PHARMACEUTICALS HLDGS 1.1% CRBP Health Care 21833P10
CORCEPT THERAPEUTICS INC 24.4% CORT Health Care 21835210
CORE MARK HOLDING CO INC 35.0% CORE Consumer Discretionary 21868110
CORE MOLDING TECHNOLOGIES 31.4% CMT Materials 21868310
CORESITE REALTY CORP 35.0% COR 21870Q10
CORENERGY INFRASTRUCTURE TR 35.1% CORR 21870U50
CORELOGIC INC 33.2% CLGX Information Technology 21871D10
CORECIVIC INC 23.8% CXW 21871N10
CORINDUS VASCULAR ROBOTICS 0.0% CVRS Health Care 21873010
CORIUM INTERNATIONAL INC 0.4% CORI Health Care 21887L10
CORMEDIX INC 4.6% CRMD Health Care 21900C10
CORNERSTONE ONDEMAND INC 0.5% CSOD Information Technology 21925Y10
CORNING INC 36.7% GLW Information Technology 21935010
CORNING NATURAL GAS HLDG CP 21.7% CNIG Utilities 21938710
COROWARE INC 0.1% COWI Information Technology 21985840
CORPORATE OFFICE PROPERT 35.6% OFC 22002T10
CORPORATE RESOURCE SVCS INC 35.0% CRRS Industrials 22004Y10
CORSA COAL CORP 8.7% CRSXF Materials 22041E60
CORTLAND BANCORP 33.8% CLDB Financials 22058710
CORUS ENTERTAINMENT INC 35.6% CJR Consumer Discretionary 22087410
CORVEL CORP 35.0% CRVL Health Care 22100610
CORVUS PHARMACEUTICALS INC CRVS Health Care 22101510
COSI INC 4.4% COSI Consumer Discretionary 22122P20
33.9% 22141310
COSTCO WHOLESALE CORP 35.0% PCLB Consumer Staples 22160K10
COSTAR GROUP INC 35.5% CSGP Industrials 22160N10
COSTAR TECHNOLOGIES INC 7.5% CSTI Information Technology 22161J20
COTT CORP QUE 17.4% COT Consumer Staples 22163N10
COTIVITI HOLDINGS INC 35.8% COTV Health Care 22164K10
COUNTY BANCORP INC 38.0% ICBK Financials 22190710
COTY INC 35.0% COTY Consumer Staples 22207020
COUNTERPATH CORP 16.6% CPAH Information Technology 22228P30
COUNTY FIRST BK LA PLATA MD 34.4% CUMD Financials 22235A10
COUPA SOFTWARE INC 26.0% COUP Information Technology 22266L10
COUSINS PROPERTIES INC 35.8% CUZ 22279510
COVANTA HOLDING CORP 28.3% CVA Industrials 22282E10
COVENANT TRANSPORTATION GRP 14.3% CVTI Industrials 22284P10
COVISINT CORP 1.9% COVS Information Technology 22357R10
COWEN INC 19.9% COWN Financials 22362260
CRACKER BARREL OLD CTRY STOR 35.0% CBRL Consumer Discretionary 22410J10
CRAFT BREW ALLIANCE INC 37.4% BREW Consumer Staples 22412210
CRAILAR TECHNOLOGIES INC 0.0% CRLRQ Materials 22424810
CRANE CO 35.7% CR Industrials 22439910
CRAWFORD & CO 35.0% CRDB 22463310
CRAY INC 10.4% CRAY Information Technology 22522330
CREATIVE LEARNING CORP 3.7% CLCN Consumer Discretionary 22529R10
CREATIVE REALITIES INC CREX Consumer Discretionary 22530J10
CREDIT ACCEPTANCE CORP 35.0% CACC Financials 22531010
CREDIT ONE FINANCIAL INC 26.8% COFI Consumer Discretionary 22539320
CREDITRISKMONITOR.COM INC 37.5% CRMZ Financials 22542610
CREE INC 28.8% CREE Information Technology 22544710
CRESCENT POINT ENERGY CORP 35.1% CPG Energy 22576C10
CRESTWOOD EQUITY PARTNERS LP 3.8% CEQP Energy 22634420
CREXENDO INC 16.8% EXE Information Technology 22655210
CRIMSON WINE GROUP LTD 25.6% CWGL Consumer Staples 22662X10
CROCS INC 19.9% CROX Consumer Discretionary 22704610
CROGHAN BANCSHARES INC 35.0% CHBH Financials 22707210
CROSS CLICK MEDIA INC 1.5% XCLK Consumer Discretionary 22746210
CROSS COUNTRY HEALTHCARE INC 8.8% CCRN Health Care 22748310
CROSS TIMBERS ROYALTY TRUST 34.5% CRT Energy 22757R10
CROSSAMERICA PARTNERS LP 35.0% CAPL Energy 22758A10
CROSSROADS CAPITAL INC 0.0% XRDC Financials 22765610
CROSSROADS SYSTEMS INC 28.2% CRDS Information Technology 22765D40
CROWDGATHER INC 9.4% CRWG Information Technology 22787P10
CROWN CASTLE INTL CORP 35.0% CCI 22822V10
CROWN CRAFTS INC 6.7% CRWS Consumer Discretionary 22830910
CROWN EQUITY HOLDINGS INC 10.4% CRWE Consumer Discretionary 22834M30
CROWN HOLDINGS INC 35.0% CCK Materials 22836810
CRUMBS BAKE SHOP INC 0.3% CRMB Consumer Staples 22880310
CRYO-CELL INTERNATIONAL INC 37.9% CCCEC Health Care 22889510
CRYOLIFE INC 35.7% CRY Health Care 22890310
CRYOPORT INC 6.5% CYRX Health Care 22905030
CRYSTAL PEAK MINERALS INC 0.0% CPMMF Materials 22938T10
CRYSTAL ROCK HOLDINGS INC 34.7% CRVP Consumer Staples 22940F10
CUB ENERGY INC 13.6% TPNEF Energy 22944T10
CUBESMART 35.0% CUBE 22966310
CUBIC CORP 35.0% CUB Industrials 22966910
CULLEN/FROST BANKERS INC 35.0% CFR Financials 22989910
CULP INC 30.2% CULP Consumer Discretionary 23021510
CUMBERLAND PHARMACEUTICALS 34.2% CPIX Health Care 23077010
CUMMINS INC 35.0% CMI Industrials 23102110
CUMULUS MEDIA INC 35.4% CMLS Consumer Discretionary 23108260
CURIS INC 2.8% CRIS Health Care 23126910
CUR MEDIA INC 1.4% CURM Information Technology 23126J20
CURAEGIS TECHNOLOGIES INC 5.1% CRGS Consumer Discretionary 23127Q10
CURRENCY EXCHANGE INTL CORP CURN Financials 23131B30
CURTISS-WRIGHT CORP 35.0% CW Industrials 23156110
CUSTOMERS BANCORP INC 35.0% CUBI Financials 23204G10
CUTERA INC 20.8% CUTR Health Care 23210910
CYALUME TECHNOLOGIES HLDGS 27.1% CYLU Industrials 23242910
CYANOTECH CORP 0.0% CYAN Consumer Staples 23243730
CYBERFORT SOFTWARE INC 28.4% CYBF Information Technology 23249C10
CYBEROPTICS CORP 27.6% CYBE Information Technology 23251710
CYBRDI INC 8.6% CYDI Health Care 23254K10
CYCLACEL PHARMACEUTICALS 6.5% CYCC Health Care 23254L40
CYCLONE URANIUM CORP 2.1% CYUR Energy 23254T10
CYNOSURE INC 35.5% CYNO Health Care 23257720
CYMABAY THERAPEUTICS INC 4.0% CBAY Health Care 23257D10
CYPRESS ENERGY PARTNERS LP 16.0% CELP Industrials 23275110
CYPRESS SEMICONDUCTOR CORP 0.6% CY Information Technology 23280610
0.1% 23282850
CYTOKINETICS INC 12.4% CYTK Health Care 23282W60
CYTORI THERAPEUTICS INC 6.5% CYTX Health Care 23283K20
CYTODYN INC 0.1% CYDY Health Care 23283M10
CYRUSONE INC 35.0% CONE 23283R10
CYTOSORBENTS CORP 0.3% CTSO Health Care 23283X20
CYTOMX THERAPEUTICS INC 2.5% CTMX Health Care 23284F10
DXI ENERGY INC 18.7% DXI Energy 23286A10
DMC GLOBAL INC 6.8% BOOM Industrials 23291C10
DCB FINANCIAL CORP 0.5% 3DCBF Financials 23307510
DCP MIDSTREAM LP 35.0% DCP Energy 23311P10
DCT INDUSTRIAL TRUST INC 35.8% DCT 23315320
DDR CORP 34.9% DDR 23317H10
DNB FINANCIAL CORP 34.5% DNBF Financials 23323710
DGSE COMPANIES INC 0.6% DGSE Consumer Discretionary 23323G10
DNA BRANDS INC 12.5% DNAX Consumer Staples 23328Q10
D R HORTON INC 4.0% DHI Consumer Discretionary 23331A10
DHI GROUP INC 35.0% DHX Information Technology 23331S10
DST SYSTEMS INC 35.2% DST Information Technology 23332610
DSP GROUP INC 24.5% DSPG Information Technology 23332B10
DTE ENERGY CO 38.2% DTE Utilities 23333110
DVL INC 6.1% DVLN Financials 23334720
DSW INC 35.2% DSW Consumer Discretionary 23334L10
DLH HOLDINGS CORP 23.7% DLHC Industrials 23335Q10
DXP ENTERPRISES INC 35.5% DXPE Industrials 23337740
DXC TECHNOLOGY COMPANY DXC Information Technology 23355L10
DAILY JOURNAL CORP 37.1% DJCO Consumer Discretionary 23391210
DPL INC 35.0% AES5 Utilities 23399M00
DAKOTA PLAINS HOLDINGS INC 12.1% DAKP Energy 23425510
DAKTRONICS INC 8.2% DAKT Information Technology 23426410
DALECO RESOURCES CORP 1.9% DLOV Energy 23437P20
DANA INC 35.9% DAN Consumer Discretionary 23582520
DANAHER CORP 35.0% DHR Health Care 23585110
DARDEN RESTAURANTS INC 36.3% DRI Consumer Discretionary 23719410
DARIOHEALTH CORP 24.6% DRIO Health Care 23725P10
DARLING INGREDIENTS INC 35.0% DAR Consumer Staples 23726610
DATA I/O CORP 4.4% DAIO Information Technology 23769010
DATAWATCH CORP 0.5% DWCH Information Technology 23791720
DATALINK CORP 36.2% DTLK Information Technology 23793410
0.1% 23810840
DATATRAK INTERNATIONAL INC 28.0% DTRK Health Care 23813420
DAVE & BUSTER'S ENTMT INC 35.0% PLAY Consumer Discretionary 23833710
DAVEY TREE EXPERT CO 35.0% 7183B Industrials 23853210
JEFF DAVIS BANCSHARES INC 34.8% JDVB Financials 23879510
DAVITA INC 35.0% DVA Health Care 23918K10
DAWSON GEOPHYSICAL CO 12.6% DWSN Energy 23936010
DAYBREAK OIL & GAS INC 13.6% DBRM Energy 23955910
DAYTON POWER & LIGHT INC 35.3% DPL1 Utilities 24001900
DEAN FOODS CO 17.3% DF Consumer Staples 24237020
DEBT RESOLVE INC 0.1% DRV Information Technology 24276R20
DECISIONPOINT SYSTEMS INC 30.4% DPSI Information Technology 24345A40
DECKERS OUTDOOR CORP 36.4% DECK Consumer Discretionary 24353710
DEEP DOWN INC 8.1% DPDW Energy 24372A30
DEEP WELL OIL & GAS INC 9.5% DWOG Energy 24379810
DEER VALLEY CORP 6.7% DVLY Consumer Discretionary 24419620
DEERE & CO 35.0% DE Industrials 24419910
DEERE (JOHN) CAPITAL CORP 25.6% DE1 Financials 24421700
DEERE & CO-PRE FASB 35.0% DE.F Industrials 24499Z93
DEL FRISCOS RESTURNT GRP INC 38.6% DFRG Consumer Discretionary 24507710
DEL TACO RESTAURANTS INC 32.0% TACO Consumer Discretionary 24549610
DELANCO BANCORP INC 14.4% DLNO Financials 24553510
DELCATH SYSTEMS INC 0.0% DCTH 24661P50
35.0% 24664710
DELEK LOGISTICS PARTNERS LP 35.0% DKL Energy 24664T10
DELEK US HOLDINGS INC DK Energy 24665A10
DELIAS INC 1.1% DLIA Consumer Discretionary 24691110
DELL TECHNOLOGIES INC 35.4% DVMT 24703L10
DELMAR PHARMACEUTICALS INC 2.0% DMPI Health Care 24707820
DELMARVA POWER & LIGHT CO 12.5% POM4 Utilities 24710900
DELTA AIR LINES INC 26.4% DAL Industrials 24736170
DELTA APPAREL INC 20.4% DLA Consumer Discretionary 24736810
DELTA NATURAL GAS CO INC 34.5% DGAS Utilities 24774810
DELTIC TIMBER CORP 35.8% DEL Materials 24785010
DENBURY RESOURCES INC 35.0% DNR Energy 24791620
DELTA TUCKER HOLDINGS INC 29.3% 8550B Industrials 24799V93
DELUXE CORP 35.1% DLX Industrials 24801910
DENISON MINES CORP 1.7% DNN Energy 24835610
DENMARK BANCSHARES INC 34.0% DMKBA Financials 24847N10
DENNYS CORP 23.8% DENN Consumer Discretionary 24869P10
DENTSPLY SIRONA INC 35.2% XRAY Health Care 24906P10
DERMIRA INC 0.4% DERM Health Care 24983L10
DESCARTES SYSTEMS GROUP INC 35.0% DSGX Information Technology 24990610
DEPOMED INC 22.5% DEPO Health Care 24990810
DESWELL INDUSTRIES INC 12.3% DSWL Information Technology 25063910
DESTINY MEDIA TECHNOLOGIES 0.8% DSNY Information Technology 25063G20
DESTINATION MATERNITY CORP 25.8% DEST Consumer Discretionary 25065D10
DESTINATION XL GROUP INC 27.5% DXLG Consumer Discretionary 25065K10
DETERMINE INC 3.1% DTRM Information Technology 25066010
DETREX CORP 2.2% DTRX Materials 25068510
DETROIT EDISON CO 10.6% DTE1 Utilities 25084700
DEVON ENERGY CORP 1.2% DVN Energy 25179M10
ADTALEM GLOBAL EDUCATION INC 35.0% ATGE 25189310
DEWEY ELECTRONICS CORP 20.1% DEWYE Industrials 25206310
DEXCOM INC 0.0% DXCM Health Care 25213110
DEXTERA SURGICAL INC 21.6% DXTR Health Care 25236610
DIADEXUS INC 23.9% DDXSQ Health Care 25245P20
DIAMANTE MINERALS INC 15.5% DIMN Materials 25253J10
DIAMOND HILL INVESTMENT GRP 35.0% DHIL Financials 25264R20
DIAMOND OFFSHRE DRILLING INC 36.8% DO Energy 25271C10
DIAMONDROCK HOSPITALITY CO 35.0% DRH 25278430
DIAMONDBACK ENERGY INC 2.5% FANG Energy 25278X10
DICERNA PHARMACEUTICALS INC 0.0% DRNA Health Care 25303110
DICKS SPORTING GOODS INC 35.0% DKS Consumer Discretionary 25339310
DIEBOLD NIXDORF INC 35.1% DBD Information Technology 25365110
DIGERATI TECHNOLOGIES INC 11.6% DTGI Telecommunication Services 25375L20
DIGI INTERNATIONAL INC 35.0% DGII Information Technology 25379810
DIGIMARC CORP 17.5% DMRC Information Technology 25381B10
DIGILITI MONEY GROUP INC DGLT Information Technology 25381F10
DIGIPATH INC 0.1% DIGP Health Care 25382520
DIGIRAD CORP 26.9% DRAD Health Care 25382710
DIGITAL ALLY INC 1.7% DGLY Information Technology 25382P20
DIGITAL POWER CORP 15.3% DPW 25386210
DIGITAL REALTY TRUST INC 35.0% DLR 25386810
DIGITALGLOBE INC 15.1% DGI Industrials 25389M87
DIME COMMUNITY BANCSHARES 34.8% DCOM Financials 25392210
DIGITAL TURBINE INC 2.4% APPS Information Technology 25400W10
DILLARDS INC -CL A 35.7% DDS Consumer Discretionary 25406710
DIMECO INC DIMC Financials 25432W10
DIMENSION THERAPEUTICS INC DMTX Health Care 25433V10
DINE BRANDS GLOBAL INC 36.2% DIN Consumer Discretionary 25442310
DIODES INC 35.0% DIOD Information Technology 25454310
DIPEXIUM PHARMACEUTICALS INC 0.9% DPRX Health Care 25456J10
DIPLOMAT PHARMACY INC 34.9% DPLO Health Care 25456K10
DISNEY (WALT) CO 35.0% DIS Consumer Discretionary 25468710
DISCOVER FINANCIAL SVCS 35.0% DFS Financials 25470910
DISCOVERY COMMUNICATIONS INC 35.0% DISCA Consumer Discretionary 25470F10
DISH NETWORK CORP 36.7% DISH Consumer Discretionary 25470M10
DISCOVERY ENERGY CORP 18.8% DENR Energy 25470P10
DISH DBS CORP 35.0% DISH1 Consumer Discretionary 25499Z00
DIVERSICARE HEALTHCARE SVCS 27.3% DVCR Health Care 25510410
DIVERSIFIED RESTAURANT HLDGS 35.0% SAUC Consumer Discretionary 25532M10
DIVERSIFIED ROYALTY CORP 27.4% BEVFF Consumer Discretionary 25533110
DIXIE GROUP INC 35.4% DXYN Consumer Discretionary 25551910
DOCUMENT SECURITY SYS INC 34.4% DSS Information Technology 25614T20
DOLBY LABORATORIES INC 35.0% DLB Information Technology 25659T10
DOLLAR GENERAL CORP 35.0% DG Consumer Discretionary 25667710
DOLLAR TREE INC 35.0% DLTR Consumer Discretionary 25674610
DOMARK INTERNATIONAL INC 8.7% DOMK Consumer Discretionary 25705520
DOMINION DIAMOND CORP 25.6% DDC Materials 25728710
DOMINION ENRG MIDSTRM PRT LP 35.0% DM Energy 25745410
DOMINION RES BLACK WARRIOR 34.2% DOM Energy 25746Q10
DOMINION ENERGY INC 34.4% D Utilities 25746U10
DOMINO'S PIZZA INC 35.0% DPZ Consumer Discretionary 25754A20
DOMTAR CORP 21.3% UFS Materials 25755920
DONALDSON CO INC 35.0% DCI Industrials 25765110
DONEGAL GROUP INC 35.0% DGICA Financials 25770120
DONNELLEY (R R) & SONS CO 35.1% RRD Industrials 25786720
DONNELLEY FINANCIAL SOLTNS 35.3% DFIN Financials 25787G10
DOMINION GAS HOLDINGS LLC 14.1% D3 Energy 25799A00
DORCHESTER MINERALS -LP 3.8% DMLP Energy 25820R10
DOREL INDUSTRIES INC 35.0% DIIB Consumer Discretionary 25822C20
DORMAN PRODUCTS INC 35.0% DORM Consumer Discretionary 25827810
DOUGHERTYS PHARMACY INC MYDP Consumer Staples 25871110
DOUGLAS EMMETT INC 35.0% DEI 25960P10
DOUGLAS DYNAMICS INC 35.0% PLOW Industrials 25960R10
DOVER CORP 35.0% DOV Industrials 26000310
DOVER DOWNS GAMING & ENTMT 27.6% DDE Consumer Discretionary 26009510
DOVER MOTORSPORTS INC 29.6% DVD Consumer Discretionary 26017410
DOW CHEMICAL CO 35.0% DOW 26054310
DR PEPPER SNAPPLE GROUP INC 36.4% DPS Consumer Staples 26138E10
DRAGONWAVE INC 7.6% DRWI Information Technology 26144M40
DRIL-QUIP INC 36.8% DRQ Energy 26203710
DRIVE SHACK INC 22.0% DS Consumer Discretionary 26207710
DRONE AVIATION HOLDING CORP 9.7% DRNE Industrials 26210020
DU PONT (E I) DE NEMOURS 35.0% DD Materials 26353410
DUKE ENERGY INDIANA INC 9.1% CIN3 Utilities 26390100
DUCOMMUN INC 35.0% DCO Industrials 26414710
DUKE REALTY CORP 35.1% DRE 26441150
DUKE ENERGY CORP 34.1% DUK Utilities 26441C20
DUKE ENERGY CAROLINAS LLC 35.0% DUK5 Utilities 26442900
DULUTH HOLDINGS INC 35.0% DLTH Consumer Discretionary 26443V10
DUN & BRADSTREET CORP 36.4% DNB Industrials 26483E10
PROGRESS ENERGY INC 18.3% DUK8 Utilities 26499B00
DUKE ENERGY FLORIDA INC 37.6% DUK9 Utilities 26499R00
DUNKIN' BRANDS GROUP INC 35.0% DNKN Consumer Discretionary 26550410
DUPONT FABROS TECHNOLOGY INC 35.4% DFT 26613Q10
DURECT CORP 0.9% DRRX Health Care 26660510
DYADIC INTERNATIONAL INC 1.1% DIL Health Care 26745T10
DYCOM INDUSTRIES INC 35.0% DY Industrials 26747510
DYNACQ HEALTHCARE INC 30.2% DYII Health Care 26779V10
DYNACAST INTERNATIONAL INC 35.0% 5445B Industrials 26799W93
DYNARESOURCE INC 1.6% DYNR Materials 26807310
DYNASIL CORP OF AMERICA 20.7% DYSL Information Technology 26810210
DYNATRONICS CORP 2.1% DYNT Health Care 26815740
DYNAVAX TECHNOLOGIES CORP 0.1% DVAX Health Care 26815820
DYNEX CAPITAL INC 35.1% DX Financials 26817Q50
DYNEGY INC 17.0% DYN Utilities 26817R10
EACO CORP 34.0% EACO Information Technology 26824A20
ECO BUILDING PRODUCTS INC 1.2% ECOB Materials 26827730
E-BUY HOME INC 23.5% EBYH Energy 26827D10
E DIGITAL CORP 14.9% EDIG Information Technology 26841Y10
EFLO ENERGY INC 27.8% EFLO Energy 26843K20
E.L.F. BEAUTY INC 35.0% ELF Consumer Staples 26856L10
EL POLLO LOCO HOLDINGS INC 27.7% LOCO Consumer Discretionary 26860310
EMAV HOLDINGS INC 17.0% EMAV Consumer Discretionary 26861X10
EMC INSURANCE GROUP INC 35.8% EMCI Financials 26866410
ENB FINANCIAL CORP 34.0% ENBP Financials 26874L10
EOG RESOURCES INC 20.5% EOG Energy 26875P10
EP ENERGY CORP 3.4% EPE Energy 26878510
ERHC ENERGY INC 0.4% ERHE Energy 26884J20
EQT CORP 35.8% EQT Energy 26884L10
EPR PROPERTIES 35.0% EPR 26884U10
EQT MIDSTREAM PARTNERS LP 35.0% EQM Energy 26885B10
ERA GROUP INC 13.9% ERA Energy 26885G10
EQT GP HOLDINGS LP 34.8% EQGP Energy 26885J10
EAGLE BANCORP INC/MD 35.0% EGBN Financials 26894810
E TRADE FINANCIAL CORP 23.0% ETFC Financials 26924640
EV ENERGY PARTNERS LP 5.9% EVEP Energy 26926V10
4.6% 26927940
EXCO RESOURCES INC XCO Energy 26927950
E-WASTE SYSTEMS INC 8.5% EWSI Industrials 26927B20
EAGLE BANCORP MONTANA INC 33.0% EBMT Financials 26942G10
EAGLE FORD OIL & GAS CORP 0.0% ECCE Energy 26951910
EAGLE FINANCIAL SERVICES INC 34.0% EFSI Financials 26951R10
EAGLE MATERIALS INC 35.0% EXP Materials 26969P10
EAGLE MOUNTAIN CORP 4.4% EMTC Industrials 26969W20
EAGLE PHARMACEUTICALS INC 35.5% EGRX Health Care 26979610
EARTH SEARCH SCIENCES INC 17.0% ESSE Industrials 27031320
0.6% 27032D20
EARTHSTONE ENERGY INC ESTE Energy 27032D30
EARTHLINK HOLDINGS CORP ELNK Information Technology 27033X10
EAST WEST BANCORP INC 35.6% EWBC Financials 27579R10
EASTERLY GOVERNMENT PPTYS 31.2% DEA 27616P10
EASTERN CO 35.6% EML Industrials 27631710
EASTERN VA BANKSHARES INC 4.0% EVBS Financials 27719610
EASTGROUP PROPERTIES 35.0% EGP 27727610
EASTMAN CHEMICAL CO 35.0% EMN Materials 27743210
EASTMAN KODAK CO 23.1% KODK Information Technology 27746140
EASTSIDE DISTILLING INC ESDI Consumer Staples 27780230
EATON VANCE CORP 35.0% EV Financials 27826510
EBAY INC 37.4% EBAY Information Technology 27864210
EBIX INC 35.0% EBIX Information Technology 27871520
ECHELON CORP 11.9% ELON Information Technology 27874N30
ECHO GLOBAL LOGISTICS INC 6.3% ECHO Industrials 27875T10
ECHOSTAR CORP 34.7% SATS Information Technology 27876810
ECHO THERAPEUTICS INC 4.6% ECTE Health Care 27876L20
ECOLAB INC 35.0% ECL Materials 27886510
ECOLOGY AND ENVIRONMENT INC 13.4% EEI Industrials 27887810
ECO (ATLANTIC) OIL & GAS LTD 1.8% ECAOF Energy 27887W10
ECO-STIM ENERGY SOLUTIONS 0.0% ESES Energy 27888D10
ECO-SHIFT POWER CORP 10.0% ECOP Industrials 27888E10
ECO SCIENCE SOLUTIONS INC 2.4% ESSI Health Care 27888G10
ECO ENERGY TECH ASIA LTD EYTH Industrials 27889B10
ECLIPSE RESOURCES CORP 1.6% ECR Energy 27890G10
ECOSPHERE TECHNOLOGIES INC 18.4% ESPH Utilities 27922X10
EDGE RESOURCES INC 10.8% EDGXF Energy 27986R10
EDGE THERAPEUTICS INC 0.0% EDGE Health Care 27987010
EDGEWATER BANCORP INC EGDW Financials 28027J10
EDGEWATER TECHNOLOGY INC 16.9% EDGW Information Technology 28035810
EDGEWELL PERSONAL CARE CO 35.0% EPC Consumer Staples 28035Q10
EDISON INTERNATIONAL 8.4% EIX Utilities 28102010
EDITAS MEDICINE INC EDIT Health Care 28106W10
EDUCATION REALTY TRUST INC 35.0% EDR 28140H20
EDUCATION MANAGEMENT CORP 2.5% EDMC Consumer Discretionary 28140M10
EDUCATIONAL DEVELOPMENT CORP 34.0% EDUC Consumer Discretionary 28147910
EDWARDS LIFESCIENCES CORP 35.0% EW Health Care 28176E10
EDISON MISSION ENERGY 21.6% EIX2 Utilities 28199A00
EGAIN CORP 13.1% EGAN Information Technology 28225C80
EGALET CORP 0.0% EGLT Health Care 28226B10
EHEALTH INC 8.8% EHTH Financials 28238P10
808 RENEWABLE ENERGY CORP 0.5% RNWR Utilities 28252A10
8POINT3 ENERGY PARTNERS LP 11.0% CAFD Utilities 28253910
EKSO BIONICS HOLDINGS INC 17.1% EKSO Health Care 28264420
EKSPORTFINANS ASA 23.8% 6120B Financials 28264593
EL CAPITAN PRECIOUS METALS 0.2% ECPN Materials 28281210
8X8 INC 9.9% EGHT Information Technology 28291410
EL PASO ELECTRIC CO 11.6% EE Utilities 28367785
EL PASO NATURAL GAS CO 36.3% EP1 Energy 28369500
ELDORADO RESORTS INC 2.4% ERI Consumer Discretionary 28470R10
ELDORADO GOLD CORP 30.4% EGO Materials 28490210
ELECTRO SCIENTIFIC INDS INC 10.1% ESIO Information Technology 28522910
ELECTRO-SENSORS INC 34.0% ELSE Information Technology 28523310
ELECTROMED INC 34.1% ELMD Health Care 28540910
ELECTRONIC ARTS INC 35.0% EA Information Technology 28551210
ELECTRONIC CIGS INTL GRP LTD 20.1% ECIGQ Consumer Staples 28556020
ELECTRONIC CONTROL SECURITY 16.4% EKCS Information Technology 28561710
ELECTRONIC SYSTEM TECH INC 38.7% ELST Information Technology 28584810
ELECTR TELE-COMMUNCTN 3.3% ETCIA Information Technology 28586110
ELECTRONICS FOR IMAGING INC 29.4% EFII Information Technology 28608210
ELEVATE CREDIT INC ELVT Financials 28621V10
ELEVEN BIOTHERAPEUTICS INC 0.5% EBIO Health Care 28622110
ELITE PHARMACEUTICALS INC 3.1% ELI Health Care 28659T20
ELIZABETH ARDEN INC RDEN Consumer Staples 28660G10
ELITE DATA SVCS INC 6.6% DEAC Information Technology 28660X10
ELLIE MAE INC 35.0% ELLI Information Technology 28849P10
ELLINGTON FINANCIAL LLC 24.5% EFC Financials 28852230
ELLINGTON RESIDENTIAL MTG 9.1% EARN Financials 28857810
ELLIS PERRY INTL INC 35.0% PERY Consumer Discretionary 28885310
ELMIRA SVGS BANK ELMIRA/NY 34.0% ESBK Financials 28966010
ELRON ELECTRONIC INDS LTD 11.8% ELRN Financials 29016010
EMAGIN CORP 1.7% EMAN Information Technology 29076N20
EMBASSY BANCORP INC 35.0% EMYB Financials 29079110
EMCLAIRE FINANCIAL CORP 34.0% EMCF Financials 29082810
EMCORE CORP 14.4% EMKR Information Technology 29084620
EMCOR GROUP INC 35.2% EME Industrials 29084Q10
EMERGENT BIOSOLUTIONS INC 35.1% EBS Health Care 29089Q10
EMERSON ELECTRIC CO 35.0% EMR Industrials 29101110
EMERALD OIL INC 12.1% EOX Energy 29101U40
EMERGE ENERGY SERVICES LP 21.3% EMES Energy 29102H10
EMERGENT CAPITAL INC 5.8% EMG Financials 29102N10
EMERSON RADIO CORP 35.2% MSN Consumer Discretionary 29108720
EMISPHERE TECHNOLOGIES INC 4.2% EMIS Health Care 29134510
EMMIS COMMUNICATIONS CP-CL A 8.8% EMMS Consumer Discretionary 29152540
EMPIRE BANCORP INC 34.0% EMPK Financials 29161710
EMPIRE DISTRICT ELECTRIC CO 17.6% EDE Utilities 29164110
EMPIRE PETROLEUM CORP 20.0% EMPR Energy 29203420
EMPIRE RESORTS INC 7.1% NYNY Consumer Discretionary 29205230
EMPIRE RESOURCES INC 35.5% ERS Industrials 29206E10
EMPIRE STATE REALTY OP LP 34.7% ESBA 29210210
EMPIRE STATE REALTY TR INC 35.0% ESRT 29210410
EMPLOYERS HOLDINGS INC 35.0% EIG Financials 29221810
EMPOWERED PRODUCTS INC 0.9% EMPO Consumer Staples 29246G10
ENABLE MIDSTREAM PARTNERS LP 29.0% ENBL Energy 29248010
ENCANA CORP 25.6% ECA Energy 29250510
ENBRIDGE INC 35.0% ENB Energy 29250N10
ENBRIDGE ENERGY PRTNRS -LP 34.7% EEP Energy 29250R10
ENBRIDGE ENERGY MGMT LLC 10.5% EEQ Energy 29250X10
ENANTA PHARMACEUTICALS INC 35.0% ENTA Health Care 29251M10
ENCISION INC 10.6% ECI Health Care 29254Q10
ENCORE CAPITAL GROUP INC 35.0% ECPG Financials 29255410
ENCORE WIRE CORP 35.4% WIRE Industrials 29256210
ENDEAVOUR SILVER CORP 2.2% EXK Materials 29258Y10
ENDEAVOR IP INC 0.2% ENIP Industrials 29260D10
ENERGEN CORP 35.0% EGN Energy 29265N10
ENDOLOGIX INC 0.0% ELGX Health Care 29266S10
ENERGY FUELS INC 12.2% UUUU Energy 29267170
ENERGY FUTURE COMPETITIVE 30.9% 0032A Utilities 29268000
ENERGY FOCUS INC 20.9% EFOI Industrials 29268T30
ENERGY & TECHNOLOGY CORP 4.5% ENGT Energy 29268X10
ENDOCYTE INC 0.4% ECYT Health Care 29269A10
11.9% 29269X10
ENERGY RECOVERY INC 1.2% ERII Industrials 29270J10
ENERGY SERVICES OF AMERICA 33.6% ESA Energy 29271Q10
ENER-CORE INC 0.0% ENCR Industrials 29272A20
ENDURANCE INTL GRP HLDGS INC 35.0% EIGI Information Technology 29272B10
ENERGOUS CORP 4.3% WATT Industrials 29272C10
ENDONOVO THERAPEUTICS INC ENDV Health Care 29272H20
ENERGIZER HOLDINGS INC 38.3% ENR Consumer Staples 29272W10
ENERGY TRANSFER PARTNERS L P 35.0% ETP 29273R10
ENERGY TRANSFER EQUITY LP 35.0% ETE Energy 29273V10
ENERJEX RESOURCES INC 0.8% ENRJ Energy 29275840
ENERSYS 35.5% ENS Industrials 29275Y10
ENERNOC INC 1.1% ENOC Information Technology 29276410
ENERPLUS CORP 11.5% ERF Energy 29276610
ENERTOPIA CORP 19.3% ENRT Consumer Staples 29277Q10
ENERGY TRANSFER PARTNERS -LP ETP Energy 29278N10
ENGAGE MOBILITY INC 28.1% ENGA Consumer Discretionary 29282Q10
ENGILITY HOLDINGS INC 26.6% EGL Industrials 29286C10
ENERGY FUTURE INTERMED HLDG 24.6% TXU1 Utilities 29299V00
ENERGY FUTURE HOLDINGS CORP 35.0% 0033A Utilities 29299Z00
ENGLOBAL CORP 7.6% ENG Energy 29330610
ENLINK MIDSTREAM LLC 28.0% ENLC Energy 29336T10
ENLINK MIDSTREAM PARTNERS LP 35.0% ENLK Energy 29336U10
ENNIS INC 35.9% EBF Industrials 29338910
ENPHASE ENERGY INC 25.7% ENPH Industrials 29355A10
ENOVA SYSTEMS INC 5.1% ENA Consumer Discretionary 29355M20
ENPRO INDUSTRIES INC 34.9% NPO Industrials 29355X10
ENOVA INTERNATIONAL INC 35.1% ENVA Financials 29357K10
ENSIGN GROUP INC 35.0% ENSG Health Care 29358P10
ENSERVCO CORP 10.3% ENSV Energy 29358Y10
ENSURGE INC 15.8% ESGI Materials 29359630
ENSYNC INC 0.0% ESNC Industrials 29359T10
ENTEGRIS INC 36.2% ENTG Information Technology 29362U10
ENTERCOM COMMUNICATIONS CORP 8.7% ETM Consumer Discretionary 29363910
ENTEGRA FINANCIAL CORP 35.0% ENFC Financials 29363J10
ENTELLUS MEDICAL INC 1.3% ENTL Health Care 29363K10
ENTERGY ARKANSAS 29.2% ETR1 Utilities 29364D00
ENTERGY CORP 36.0% ETR Utilities 29364G10
ENTERGY GULF STATES LA LLC 15.2% ETR7 Utilities 29364L00
ENTERGY LOUISIANA LLC 34.5% ETR2 Utilities 29364M00
ENTERGY MISSISSSIPPI 34.9% ETR4 Utilities 29364N00
3.2% 29365M50
ENTERPRISE BANCORP INC/MA 35.0% EBTC Financials 29366810
ENTERPRISE FINL SERVICES CP 35.0% EFSC Financials 29371210
ENTERPRISE PRODS PRTNRS -LP 35.0% EPD Energy 29379210
ENTRAVISION COMMUNICATIONS 10.1% EVC Consumer Discretionary 29382R10
1.5% 29383G10
ENTERTAINMENT GAMING ASIA 6.4% EGT Consumer Discretionary 29383V30
ENZON PHARMACEUTICALS INC 29.2% ENZN Health Care 29390410
ENTERGY TEXAS INC 35.0% ETR8 Utilities 29399W00
ENTERGY NEW ORLEANS 1.0% ETR3 Utilities 29399X00
ENUMERAL BIOMEDICAL HLDGS 29.8% ENUMQ Health Care 29401710
9.4% 29403V10
ENVESTNET INC 34.0% ENV Information Technology 29404K10
ENVIRONMENTAL TECTONICS CORP 0.2% ETC Industrials 29409210
ENZO BIOCHEM INC 13.0% ENZ Health Care 29410010
ENXNET INC 7.8% EXNT Energy 29411J10
EPAM SYSTEMS INC 35.0% EPAM Information Technology 29414B10
1.5% 29414C20
ENVISION HEALTHCARE CORP 35.0% EVHC Health Care 29414D10
EPCYLON TECHNOLOGIES 13.0% PRFC Information Technology 29414G10
ENVIVA PARTNERS LP 35.0% EVA Energy 29414J10
EOS PETRO INC 0.4% EOPT Energy 29414L10
ENVIROSTAR INC 34.7% EVI Industrials 29414M10
EPLUS INC 35.0% PLUS Information Technology 29426810
EPIZYME INC 0.0% EPZM Health Care 29428V10
EQUIFAX INC 35.0% EFX Industrials 29442910
EQUINIX INC 21.5% EQIX 29444U70
EQUITABLE FINANCIAL CORP 33.9% EQFN Financials 29448T10
EQUITY BANCSHARES INC 36.6% EQBK Financials 29460X10
EQUITY COMMONWEALTH 35.0% EQC 29462810
EQUITY LIFESTYLE PROPERTIES 35.0% ELS 29472R10
EQUITY ONE INC 35.0% EQY 29475210
EQUUS TOTAL RETURN INC 25.4% EQS Financials 29476610
EQUITY RESIDENTIAL 35.0% EQR 29476L10
ERICKSON INC 26.3% EAC Industrials 29482P10
ERBA DIAGNOSTICS INC 8.5% ERB Health Care 29490B10
ERIE INDEMNITY CO -CL A 35.0% ERIE Financials 29530P10
ERIN ENERGY CORP 4.4% ERN Energy 29562510
EPICOR SOFTWARE CORP 35.0% 9693B Information Technology 29599B93
EROOMSYSTEM TECHNOLOGIES INC 0.4% ERMS Information Technology 29601650
ESCALADE INC 38.0% ESCA Consumer Discretionary 29605610
ESCALERA RESOURCES CO 34.1% ESCR Energy 29606410
ESCALON MEDICAL CORP 5.5% ESMC Health Care 29607430
ESCO TECHNOLOGIES INC 35.5% ESE Industrials 29631510
ESPERION THERAPEUTICS INC 0.0% ESPR Health Care 29664W10
ESPEY MFG & ELECTRONICS CORP 34.2% ESP Industrials 29665010
ESSAR STEEL ALGOMA INC 5.3% 0065A Materials 29666M00
ESSA BANCORP INC 37.0% ESSA Financials 29667D10
ESSENDANT INC 36.6% ESND Industrials 29668910
ESSA PHARMA INC 0.3% EPIX Health Care 29668H10
ESSEX PROPERTY TRUST 35.0% ESS 29717810
ESSEX RENTAL CORP 31.1% ESSX Industrials 29718710
ESTERLINE TECHNOLOGIES CORP 35.2% ESL Industrials 29742510
ETHAN ALLEN INTERIORS INC 35.3% ETH Consumer Discretionary 29760210
ETERNITY HEALTHCARE INC 0.4% ETAH Health Care 29760J10
ETHEMA HEALTH CORPORATION GRST Health Care 29764P10
ETSY INC 24.5% ETSY Information Technology 29786A10
3.2% 29843R10
EURONET WORLDWIDE INC 35.0% EEFT Information Technology 29873610
EUROSITE POWER INC 0.0% EUSP Utilities 29881X10
EVANS & SUTHERLAND CMP CORP 30.3% ESCC Information Technology 29909610
EVANS BANCORP INC 36.2% EVBN Financials 29911Q20
EVENTURE INTERACTIVE INC 8.0% EVTI Information Technology 29976510
EVER-GLORY INTL GROUP INC 35.0% EVK Consumer Discretionary 29976620
EVERCORE INC 35.0% EVR Financials 29977A10
EVERBANK FINANCIAL CORP 35.0% EVER Financials 29977G10
EVERBRIDGE INC 10.0% EVBG Information Technology 29978A10
EVERI HOLDINGS INC 26.3% EVRI Information Technology 30034T10
EVERTEC INC 21.5% EVTC Information Technology 30040P10
EVERSOURCE ENERGY 35.2% ES Utilities 30040W10
EVERSPIN TECHNOLOGIES INC 1.4% MRAM Information Technology 30041T10
EVINE LIVE INC 12.2% EVLV Consumer Discretionary 30048710
EVOLUTION PETROLEUM CORP 29.4% EPM Energy 30049A10
EVOLUCIA INC 18.4% ILED Information Technology 30049B10
EVOKE PHARMA INC 4.2% EVOK Health Care 30049G10
EVOLVING SYSTEMS INC 34.0% EVOL Information Technology 30049R20
EVOLENT HEALTH INC 25.6% EVH Health Care 30050B10
EVOLVING GOLD CORP 6.9% EVOGF Materials 30050D40
EVRIM RESOURCES CORP 0.2% EMRRF Materials 30051B10
EXA CORP 5.8% EXA Information Technology 30061450
EXACT SCIENCES CORP 0.0% EXAS Health Care 30063P10
EXAR CORP 14.5% EXAR Information Technology 30064510
EXACTECH INC 35.1% EXAC Health Care 30064E10
EXCHANGE BK SANTA ROSA CALIF EXSR Financials 30122720
EXELON GENERATION CO LLC 35.6% EXC2 Utilities 30161M00
EXELON CORP 35.0% EXC Utilities 30161N10
EXELIXIS INC 12.1% EXEL Health Care 30161Q10
EXEO ENTERTAINMENT INC 0.0% EXEO Consumer Discretionary 30162T10
EXELED HOLDINGS INC 2.4% ELED Industrials 30162U10
EXETER RESOURCE CORP 12.3% XRA Materials 30183510
EXFO INC 26.8% EXFO Information Technology 30204610
EXLSERVICE HOLDINGS INC 35.0% EXLS Information Technology 30208110
EXONE CO 1.2% XONE Industrials 30210410
EXPEDIA INC 35.0% EXPE Consumer Discretionary 30212P30
EXPEDITORS INTL WASH INC 35.0% EXPD Industrials 30213010
EXPONENT INC 35.0% EXPO Industrials 30214U10
EXPERIENCE ART & DESIGN INC 4.2% EXAD Consumer Discretionary 30217D10
EXPRESS INC 36.5% EXPR Consumer Discretionary 30219E10
EXPRESS SCRIPTS HOLDING CO 35.0% ESRX Health Care 30219G10
EXTENDED STAY AMERICA INC 35.0% STAY Consumer Discretionary 30224P20
EXTENDICARE INC 34.6% EXETF Health Care 30224T86
EXTRA SPACE STORAGE INC 35.0% EXR 30225T10
EXTREME NETWORKS INC 22.5% EXTR Information Technology 30226D10
EXTERRAN CORP 20.5% EXTN Energy 30227H10
EXTRACTION OIL & GAS INC 0.1% XOG Energy 30227M10
EZCORP INC -CL A 26.0% EZPW Financials 30230110
EXXON MOBIL CORP 35.1% XOM Energy 30231G10
EYEGATE PHARMACEUTICALS INC 1.0% EYEG Health Care 30233M10
F & M BANK CORP 35.0% FMBM Financials 30237P10
FBL FINANCIAL GROUP INC-CL A 37.5% FFG Financials 30239F10
FFD FINANCIAL CORP 34.0% FFDF Financials 30243C10
FLIR SYSTEMS INC 35.0% FLIR Information Technology 30244510
FCCC INC 16.4% FCIC 30246C10
FEC RESOURCES INC 15.4% FECOF Energy 30246X10
FBR & CO 5.3% FBRC Financials 30247C40
FMC CORP 35.0% FMC Materials 30249130
FNB BANCORP CALIF 38.0% FNBG Financials 30251510
F N B CORP/FL 35.0% FNB Financials 30252010
FNBH BANCORP INC 28.0% 3FNHM Financials 30252820
FCB FINANCIAL HOLDINGS INC 35.0% FCB Financials 30255G10
FNCB BANCORP INC 22.2% FNCB Financials 30257810
FB FINANCIAL CORP 35.0% FBK Financials 30257X10
FS INVESTMENT CORP 4.8% FSIC Financials 30263510
FS BANCORP INC 38.0% FSBW Financials 30263Y10
FAB UNIVERSAL CORP 33.5% FU Consumer Discretionary 30277110
FTD COMPANIES INC 35.0% FTD Consumer Discretionary 30281V10
FSB BANCORP INC FSBC Financials 30289C10
FRP HOLDINGS INC 38.0% FRPH 30292L10
FTI CONSULTING INC 35.0% FCN Industrials 30294110
FACEBOOK INC 35.0% FB Information Technology 30303M10
FACTSET RESEARCH SYSTEMS INC 35.0% FDS Financials 30307510
FAIR ISAAC CORP 35.0% FICO Information Technology 30325010
FAIRFAX FINANCIAL HOLDINGS 32.2% FFH Financials 30390110
FAIRMOUNT SANTROL HOLDINGS 28.0% FMSA Energy 30555Q10
FAIRPOINT COMMUNICATIONS INC 1.1% FRP Telecommunication Services 30556030
FALCONSTOR SOFTWARE INC 9.8% FALC Information Technology 30613710
13.0% 30705R20
FAMOUS DAVES OF AMERICA INC 33.6% DAVE Consumer Discretionary 30706810
FANLOGIC INTERACTIVE INC 0.8% FNNGF Information Technology 30712Q10
FARMER BROS CO 35.0% FARM Consumer Staples 30767510
FARMERS & MERCHANTS BANCORP 35.0% FMCB Financials 30779510
FARMERS & MERCHANTS BCP/OH 38.0% FMAO Financials 30779N10
FARMERS CAPITAL BANK CORP 35.1% FFKT Financials 30956210
FARMERS NATL BANC CORP/OH 35.0% FMNB Financials 30962710
FARMLAND PARTNERS INC 35.0% FPI 31154R10
FARO TECHNOLOGIES INC 35.0% FARO Information Technology 31164210
FATE THERAPEUTICS INC 0.0% FATE Health Care 31189P10
FASTENAL CO 35.0% FAST Industrials 31190010
FAUQUIER BANKSHARES INC 34.0% FBSS Financials 31205910
FEDERAL AGRICULTURE MTG CP 35.1% AGM Financials 31314830
FEDERAL HOME LOAN MORTG CORP 35.0% FRE Financials 31340030
FANNIE MAE 35.0% FNM Financials 31358610
FEDERAL REALTY INVESTMENT TR 35.0% FRT 31374720
FEDERAL SCREW WORKS 6.9% FSCR Consumer Discretionary 31381910
FEDERAL SIGNAL CORP 36.6% FSS Industrials 31385510
FEDERAL EXPRESS CORP 36.7% FDX1 Industrials 31399X00
FEDERATED INVESTORS INC 35.0% FII Financials 31421110
FEDERATED NATIONAL HLDG CO 35.0% FNHC Financials 31422T10
FEDEX CORP 35.0% FDX Industrials 31428X10
FELCOR LODGING TRUST INC 30.2% FCH 31430F10
VERU INC 22.3% VERU 31446210
FENNEC PHARMACEUTICALS INC 3.6% FENC Health Care 31447P10
FENTURA FINANCIAL INC 3FETM Financials 31464510
FERRELLGAS PARTNERS -LP 35.0% FGP Utilities 31529310
FERRO CORP 34.6% FOE Materials 31540510
F5 NETWORKS INC 35.0% FFIV Information Technology 31561610
FIBROCELL SCIENCE INC 0.3% FCSC Health Care 31572130
FIBROGEN INC 2.5% FGEN Health Care 31572Q80
FIDELITY & GUARANTY LIFE 21.7% FGL Financials 31578510
FIDELITY D & D BANCORP INC 35.0% FDBC Financials 31609R10
FIDELITY NATIONAL INFO SVCS 35.0% FIS Information Technology 31620M10
FIDELITY NATL FINL FNF GROUP 35.0% FNF Financials 31620R30
FIDELITY SOUTHERN CORP 35.0% LION Financials 31639410
FIDUS INVESTMENT CORP 35.0% FDUS Financials 31650010
FIELDPOINT PETROLEUM CORP 7.9% FPP Energy 31657010
FIESTA RESTAURANT GROUP INC 35.0% FRGI Consumer Discretionary 31660B10
FIFTH THIRD BANCORP 35.6% FITB Financials 31677310
4.5% 31678A10
20.6% 31679F10
FIFTH STREET ASSET MGMT INC 35.1% FSAM Financials 31679P10
FINANCIAL ENGINES INC 31.6% FNGN Financials 31748510
FINANCIAL INSTITUTIONS INC 35.0% FISI Financials 31758540
FINISAR CORP 9.3% FNSR Information Technology 31787A50
FINJAN HOLDINGS INC 0.0% FNJN Information Technology 31788H30
FINISH LINE INC -CL A 35.0% FINL Consumer Discretionary 31792310
FIREEYE INC 1.2% FEYE Information Technology 31816Q10
FIRMA HOLDINGS CORP 4.0% FRMA Materials 31832R10
FIRST ACCEPTANCE CORP 4.7% FAC Financials 31845710
FIRST AMERICAN FINANCIAL CP 35.0% FAF Financials 31847R10
FIRST ADVANTAGE BANCORP 35.5% FABK Financials 31848L10
FIRST ASIA HOLDINGS LTD 32.3% FAHLF Financials 31861A20
FIRST BANCORP INC/ME 35.0% FNLC Financials 31866P10
FIRST BANCORP P R 7.8% FBP Financials 31867270
FIRST BANCORP INDIANA INC 34.0% 3FBPI Financials 31867T20
FIRST BANCSHARES INC/MO 3.5% FBSI Financials 31868710
FIRST BANCTRUST CORP 33.8% FIRT Financials 31868G10
FIRST BANCORP/NC 35.1% FBNC Financials 31891010
FIRST BANCSHARES INC/MS 35.0% FBMS Financials 31891610
FIRST BANKS INC 5.5% 0450B Financials 31928710
FIRST BANKERS TRUSTSHARES FBTT Financials 31929F10
FIRST BANK 34.0% FRBA Financials 31931U10
FIRST BUSEY CORP 6.8% BUSE Financials 31938320
FIRST BUSINESS FINL SRV INC 37.8% FBIZ Financials 31939010
FIRST CENTURY BANKSHARES INC 34.0% 3FCBS Financials 31942610
FIRST CAPITAL INC 34.1% FCAP Financials 31942S10
1ST CAPITAL BANK 34.0% FISB Financials 31944C10
FIRST CITIZENS BANCSHRS INC 35.0% FIZN Financials 31946210
FIRST CITIZENS BANCSH -CL A 35.0% FCNCA Financials 31946M10
FIRST CHOICE HEALTHCARE SLT 1.6% FCHS Health Care 31949B10
FIRST COMMONWLTH FINL CP/PA 35.2% FCF Financials 31982910
FIRST COMMUNITY CORP/SC 34.1% FCCO Financials 31983510
FIRST CMNTY BANCSHARES INC 20.5% FCBC Financials 31983A10
FIRST CONNECTICUT BANCORP 35.0% FBNK Financials 31985010
FIRST CMNTY FINL PARTNERS 35.0% FCFP Financials 31985Q10
1ST CONSTITUTION BANCORP 34.9% FCCY Financials 31986N10
FIRST DEFIANCE FINANCIAL CP 35.0% FDEF Financials 32006W10
FIRST DATA CORP 35.5% FDC Information Technology 32008D10
FIRST FINL BANCORP INC/OH 35.0% FFBC Financials 32020910
FIRST FINL BANKSHARES INC 35.0% FFIN Financials 32020R10
FIRST FINANCIAL CORP/IN 35.0% THFF Financials 32021810
FIRST FED NOR MICH BANCORP 11.2% FFNM Financials 32021X10
FIRST FINANCIAL NORTHWEST 30.9% FFNW Financials 32022K10
FIRST FOUNDATION INC 35.0% FFWM Financials 32026V10
FIRST GUARANTY BANCSHARES 35.0% FGBI Financials 32043P10
FIRST HARTFORD CORP 38.0% FHRT 32048810
FIRST HORIZON NATIONAL CORP 35.1% FHN Financials 32051710
FIRST HAWAIIAN INC 35.0% FHB Financials 32051X10
FIRST INDL REALTY TRUST INC 35.0% FR 32054K10
FIRST INTERNET BANCORP 38.0% INBK Financials 32055710
FIRST INTERSTATE BANCSYSTEM 35.0% FIBK Financials 32055Y20
FIRST KEYSTONE CORP 35.0% 3FKYS Financials 32065420
FIRST LIBERTY POWER CORP 0.1% FLPC Materials 32069710
FIRST LONG ISLAND CORP 35.0% FLIC Financials 32073410
FIRST MAJESTIC SILVER CORP 6.2% AG Materials 32076V10
FIRST MERCHANTS CORP 35.0% FRME Financials 32081710
FIRST MID ILL BANCSHARES INC 35.0% FMBH Financials 32086610
FIRST MIDWEST BANCORP INC 35.1% FMBI Financials 32086710
FIRSTENERGY SOLUTIONS CORP FE5 32093Y00
FIRST NATIONAL CORP/VA 34.3% FXNC Financials 32106V10
FIRST NATIONAL ENERGY CORP 14.7% FNEC Utilities 32112910
FIRST NATIONAL BANK ALASKA 35.0% FBAK Financials 32112J10
FIRST NBC BANK HOLDING CO 0.1% FNBC Financials 32115D10
FIRST NILES FINANCIAL INC FNFI Financials 33582N10
FIRST NORTHWEST BANCRP 34.0% FNWB Financials 33583410
FIRST OTTAWA BANCSHARES INC FOTB Financials 33587610
FIRST NORTHN CMNTY BANCORP 35.0% FNRN Financials 33592510
FIRST POTOMAC REALTY TRUST 32.5% FPO 33610F10
FIRST PHYSICIANS CAPITAL GRP 7.0% FPCG Health Care 33613R20
FIRST REAL ESTATE INV TR NJ 38.0% FREVS 33614210
FIRST REPUBLIC BANK 35.0% FRC Financials 33616C10
FIRST ROBINSON FINANCIAL CP 34.0% FRFC Financials 33618810
FIRST SAVINGS FINANCIAL GP 33.7% FSFG Financials 33621E10
FIRST SOLAR INC 7.5% FSLR Information Technology 33643310
FIRST SOUTH BANCORP INC/VA 13.3% FSBK Financials 33646W10
FIRST SOUND BANK FSWA Financials 33647C10
1ST SOURCE CORP 35.4% SRCE Financials 33690110
FIRST UNITED CORP 34.6% FUNC Financials 33741H10
FIRST US BANCSHARES INC 16.2% FUSB Financials 33744V10
FIRST WEST VIRGINIA BANCORP 34.5% FWV Financials 33749310
FIRSTHAND TECHNOLOGY VALU FD 35.9% SVVC Financials 33766Y10
FIRSTCASH INC 35.0% FCFS Financials 33767D10
FIRSTSERVICE CORP 35.0% FSV 33767E10
FISERV INC 35.0% FISV Information Technology 33773810
FLAGSTAR BANCORP INC 7.8% FBC Financials 33793070
FIRSTENERGY CORP 35.0% FE Utilities 33793210
FITBIT INC 34.8% FIT Information Technology 33812L10
FITLIFE BRANDS INC 0.1% FTLF Consumer Staples 33817P10
FIVE BELOW INC 35.0% FIVE Consumer Discretionary 33829M10
FIVE9 INC 4.6% FIVN Information Technology 33830710
FIVE OAKS INVESTMENT CORP 35.0% OAKS Financials 33830W10
FIVE PRIME THERAPEUTICS INC 27.2% FPRX Health Care 33830X10
FIVE STAR SENIOR LIVING INC 4.7% FVE Health Care 33832D10
5BARZ INTERNATIONAL INC 0.4% BARZ Information Technology 33833F10
FLANIGANS ENTERPRISES INC 35.0% BDL Consumer Discretionary 33851710
FLEETCOR TECHNOLOGIES INC 35.0% FLT Information Technology 33904110
FLEXSTEEL INDUSTRIES INC 35.0% FLXS Consumer Discretionary 33938210
FLEX PHARMA INC FLKS Health Care 33938A10
FLEXION THERAPEUTICS INC 0.6% FLXN Health Care 33938J10
FLEXIBLE SOLUTIONS INTL INC 29.4% FSI Materials 33938T10
FLEXPOINT SENSOR SYSTEMS INC 9.4% FLXT Information Technology 33938W20
FLEXSHOPPER INC 0.0% FPAY Financials 33939J30
FLORIDA POWER & LIGHT CO 25.8% FPL1 Utilities 34108100
FLOTEK INDUSTRIES INC 35.8% FTK Materials 34338910
FLUOR CORP 37.7% FLR Industrials 34341210
FLOWERS FOODS INC 35.0% FLO Consumer Staples 34349810
FLOWSERVE CORP 35.8% FLS Industrials 34354P10
FLUIDIGM CORP 0.1% FLDM Health Care 34385P10
FLUOROPHARMA MEDICAL 7.1% FPMI Health Care 34387010
FLUSHING FINANCIAL CORP 35.0% FFIC Financials 34387310
1.2% 34405710
FOGO DE CHAO INC 35.0% FOGO Consumer Discretionary 34417710
FONAR CORP 30.8% FONR Health Care 34443740
FOOT LOCKER INC 36.3% FL Consumer Discretionary 34484910
FORBES ENERGY SERVICES LTD 34.6% FES Energy 34514310
FORCEFIELD ENERGY INC 0.9% FNRG Industrials 34520U10
FORD MOTOR CO 25.1% F Consumer Discretionary 34537086
FORD MOTOR CREDIT CO LLC 35.2% F1 Financials 34539700
FORESIGHT FINANCIAL GROUP 38.1% FGFH Financials 34552610
FORESIGHT ENERGY LP 36.8% FELP Energy 34552U10
FOREST CITY REALTY TRUST INC 31.5% FCEA 34560510
FORD MOTOR CO-PRE FASB 21.5% F.F Consumer Discretionary 34599Z93
FORESTAR GROUP INC 20.3% FOR 34623310
FOREVERGREEN WORLDWIDE CORP 1.2% FVRG Consumer Staples 34630A10
FORM HOLDINGS CORP 4.9% FH 34634E10
FORMFACTOR INC 15.2% FORM Information Technology 34637510
FORMCAP CORP 1.5% FRMC Energy 34637U30
FORRESTER RESEARCH INC 35.5% FORR Industrials 34656310
CANUC RESOURCES CORP CDA-OLD 25.4% 7615B Energy 34899A93
FORTIS INC 36.4% FTS Utilities 34955310
FORTRESS INVESTMENT GRP LLC 4.9% FIG Financials 34958B10
FORTINET INC 35.0% FTNT Information Technology 34959E10
FORTIVE CORP 35.0% FTV Industrials 34959J10
FORTRESS TRANS INFRASTR INVS 5.6% FTAI Industrials 34960P10
FORTRESS BIOTECH INC 0.2% FBIO Health Care 34960Q10
FORTERRA INC FRTA Materials 34960W10
FORTEM RESOURCES INC 11.4% FTMR Energy 34961A10
FORTUNE BRANDS HOME & SECUR 35.0% FBHS Industrials 34964C10
FORUM ENERGY TECH INC 33.9% FET Energy 34984V10
FORWARD AIR CORP 35.0% FWRD Industrials 34985310
FORWARD INDUSTRIES INC 7.7% FORD Consumer Discretionary 34986230
FOSSIL GROUP INC 35.0% FOSL Consumer Discretionary 34988V10
FORTUNA SILVER MINES INC 25.1% FSM Materials 34991510
FOSTER (LB) CO 35.8% FSTR Industrials 35006010
FOUNDATION BLDG MRL INC 35.0% FBM Industrials 35039210
FOUNDATION HEALTHCARE INC 35.0% FDNHQ Health Care 35040520
FOUNDATION MEDICINE INC 0.2% FMI Health Care 35046510
FOUR CORNERS PROPERTY TR INC 35.0% FCPT 35086T10
FOUR OAKS FINCORP INC 32.4% FOFN Financials 35089120
FOX FACTORY HOLDING CP 35.0% FOXF Consumer Discretionary 35138V10
FRANCESCAS HOLDINGS CORP 35.0% FRAN Consumer Discretionary 35179310
FRANCO-NEVADA CORP 35.2% FNV Materials 35185810
FRANKLIN COVEY CO 34.6% FC Industrials 35346910
FRANKLIN ELECTRIC CO INC 35.0% FELE Industrials 35351410
FRANKLIN FINANCIAL SVCS CORP 34.1% FRAF Financials 35352510
FRANKLIN FINL NETWORK INC 35.0% FSB Financials 35352P10
FRANKLIN RESOURCES INC 35.0% BEN Financials 35461310
FRANKLIN STREET PROPERTIES 35.0% FSP 35471R10
FRANKLIN WIRELESS CORP 2.9% FKWL Information Technology 35518410
FREDS INC 8.1% FRED Consumer Discretionary 35610810
FREEDOM BANK OF VIRGINIA 34.0% FDVA Financials 35633M10
FREEPORT-MCMORAN INC 35.3% FCX Materials 35671D85
FREIGHTCAR AMERICA INC 31.5% RAIL Industrials 35702310
FREQUENCY ELECTRONICS INC 35.8% FEIM Information Technology 35801010
FRESHPET INC 25.6% FRPT Consumer Staples 35803910
FRIEDMAN INDUSTRIES INC 20.6% FRD Materials 35843510
FRIENDABLE INC 3.6% FDBL Information Technology 35845210
FRIENDFINDER NETWORKS INC 9.0% FFN Information Technology 35845330
35.0% 35906A10
FRONTIER COMMUNICATIONS CORP FTR Telecommunication Services 35906A30
FRONTIER OILFIELD SRVCS INC 11.1% FOSI Energy 35914T20
FUEL TECH INC 3.3% FTEK Industrials 35952310
FUELCELL ENERGY INC 0.8% FCEL Industrials 35952H50
FUELSTREAM INC 12.8% FLST Energy 35952M30
FUEL PERFORMANCE SOLUTIONS 0.1% IFUE Materials 35954A10
FULL CIRCLE CAPITAL CORP FULL Financials 35967110
FULL HOUSE RESORTS INC 14.5% FLL Consumer Discretionary 35967810
FULLCIRCLE REGISTRY INC 2.5% FLCR Consumer Discretionary 35968210
FULLER (H. B.) CO 35.0% FUL Materials 35969410
FULLNET COMMUNICATIONS INC 19.5% FULO Telecommunication Services 35985110
FULTON FINANCIAL CORP 35.0% FULT Financials 36027110
FUNCTION(X) INC 13.0% FNCX Information Technology 36077T20
FUSION TELECOMMUNICATIONS 3.5% FSNN Telecommunication Services 36113B40
36113U10
FUTUREFUEL CORP 35.0% FF Materials 36116M10
FUTURE FINTECH GROUP INC FTFT Consumer Staples 36117V10
FVCBANKCORP INC 34.0% FVCB Financials 36120Q10
G&K SERVICES INC -CL A 35.7% GK Industrials 36126810
GAMCO INVESTORS INC 35.0% GBL Financials 36143810
GATX CORP 35.0% GATX Industrials 36144810
GEO GROUP INC 36.4% GEO 36162J10
GCP APPLIED TECHNOLOGIES INC 35.0% GCP Materials 36164Y10
GEE GROUP INC 17.4% JOB Industrials 36165A10
0.0% 36168710
GGP INC 35.6% GGP 36174X10
GLG LIFE TECH CORP 10.1% GLGL Consumer Staples 36179320
GNC HOLDINGS INC 35.0% GNC Consumer Discretionary 36191G10
GSV CAPITAL CORP 20.4% GSVC Financials 36191J10
GT ADVANCED TECHNOLOGIES INC 4.8% GTAT Information Technology 36191U10
GSE HOLDING INC 35.2% GSE Materials 36191X10
GWG HOLDINGS INC 35.0% GWGH Financials 36192A10
GP STRATEGIES CORP 35.4% GPX Industrials 36225V10
GSE SYSTEMS INC 0.9% GVP Information Technology 36227K10
G-III APPAREL GROUP LTD 35.0% GIII Consumer Discretionary 36237H10
GTT COMMUNICATIONS INC 34.9% GTT Information Technology 36239310
GSI TECHNOLOGY INC 17.8% GSIT Information Technology 36241U10
GMS INC 35.0% GMS Industrials 36251C10
GAIN CAPITAL HOLDINGS INC 35.5% GCAP Financials 36268W10
GAIA INC 37.4% GAIA Consumer Discretionary 36269P10
GAINSCO INC 26.5% GAN Financials 36312730
GALECTIN THERAPEUTICS INC 0.1% GALT Health Care 36322520
GALENA BIOPHARMA INC 1.2% GALE Health Care 36325650
ARTHUR J GALLAGHER & CO 35.0% AJG Financials 36357610
GALWAY GOLD INC 14.5% GAYGF Materials 36458410
GAMING PARTNERS INTL CORP 34.7% GPIC Consumer Discretionary 36467A10
GAMING & LEISURE PPTYS 35.0% GLPI 36467J10
GAMESTOP CORP 35.0% GME Consumer Discretionary 36467W10
GANNETT CO INC 35.1% GCI Consumer Discretionary 36473H10
GAP INC 35.5% GPS Consumer Discretionary 36476010
GARDNER DENVER HOLDINGS INC GDI Industrials 36555P10
GARRISON CAPITAL INC 34.6% GARS Financials 36655410
GARTNER INC 35.0% IT Information Technology 36665110
GAS NATURAL INC 6.7% EGAS Utilities 36720410
GASTAR EXPLORATION INC 15.5% GST Energy 36729W20
GELTECH SOLUTIONS INC 1.0% GLTC Materials 36853710
GENCOR INDUSTRIES INC 21.6% GENC Industrials 36867810
GEMPHIRE THERAPEUTICS INC GEMP Health Care 36870A10
GENERAC HOLDINGS INC 34.6% GNRC Industrials 36873610
GENERAL CABLE CORP/DE 35.7% BGC Industrials 36930010
GENERAL CANNABIS CORP CANN 36930V10
GENERAL COMMUNICATION INC 35.0% GNCMA 36938510
GENERAL DYNAMICS CORP 35.0% GD Industrials 36955010
GENERAL ELECTRIC CO 35.7% GE Industrials 36960410
GENERAL ELECTRIC CAP CORP 35.1% GE1 Financials 36962200
GENERAL FINANCE CORP/DE 35.0% GFN Industrials 36982210
GENERAL ELECTRIC CO-PRE FASB 35.6% GE.F Industrials 36999Z93
GENERAL MILLS INC 35.0% GIS Consumer Staples 37033410
GENERAL MOLY INC 26.7% GMO Materials 37037310
GENERAL MOTORS FINL CO INC 37.9% GM2 Financials 37045V00
GENERAL MOTORS CO 34.0% GM Consumer Discretionary 37045V10
GENERAL STEEL HOLDINGS INC 13.1% GSI Industrials 37085320
GENEREX BIOTECHNOLOGY CORP 1.8% GNBT Health Care 37148530
GENERATION NXT FRNCHS BRANDS 0.1% VEND Industrials 37148W10
GENESCO INC 35.1% GCO Consumer Discretionary 37153210
GENESEE & WYOMING INC -CL A 35.0% GWR Industrials 37155910
GENTEX CORP 35.0% GNTX Consumer Discretionary 37190110
GENESIS ENERGY -LP 35.0% GEL Energy 37192710
GENIE ENERGY LTD 0.2% GNE Utilities 37228420
GENIUS BRANDS INTL INC 25.2% GNUS Consumer Discretionary 37229T30
GENMARK DIAGNOSTICS INC 1.1% GNMK Health Care 37230910
GENOCEA BIOSCIENCES INC 0.1% GNCA Health Care 37242710
GENOMIC HEALTH INC 12.4% GHDX Health Care 37244C10
GENUINE PARTS CO 35.0% GPC Consumer Discretionary 37246010
GENVEC INC 12.9% GNVC Health Care 37246C40
GENWORTH FINANCIAL INC 12.7% GNW Financials 37247D10
GEOPETRO RESOURCES CO 5.7% GPR Energy 37248H30
GEOMET INC 2.9% GMET Energy 37250U20
GENTHERM INC 35.0% THRM Consumer Discretionary 37253A10
GEORGETOWN BANCORP INC 34.0% GTWN Financials 37259110
GEORGIA POWER 36.8% SO2 Utilities 37333400
GEOSPACE TECHNOLOGIES CORP 2.9% GEOS Energy 37364X10
GEOVAX LABS INC 0.1% GOVX Health Care 37367820
GEOVIC MINING CORP 7.5% GVCM Materials 37368610
GERMAN AMERICAN BANCORP INC 35.0% GABC Financials 37386510
GERON CORP 6.7% GERN Health Care 37416310
GETTY REALTY CORP 34.3% GTY 37429710
GEVO INC 3.1% GEVO Energy 37439630
GIBRALTAR INDUSTRIES INC 35.0% ROCK Industrials 37468910
GIGA-TRONICS INC 18.2% GIGA Information Technology 37517510
GIGGLES N' HUGS INC 0.7% GIGL Consumer Discretionary 37518A10
GIGAMON INC 21.0% GIMO Information Technology 37518B10
GIGPEAK INC 27.5% GIG Information Technology 37518Q10
GILEAD SCIENCES INC 35.0% GILD Health Care 37555810
GILDAN ACTIVEWEAR INC 35.0% GIL Consumer Discretionary 37591610
GLACIER BANCORP INC 35.0% GBCI Financials 37637Q10
GLADSTONE CAPITAL CORP 3.9% GLAD Financials 37653510
GLADSTONE COMMERCIAL CORP 35.0% GOOD 37653610
GLADSTONE INVESTMENT CORP/DE 35.2% GAIN Financials 37654610
GLADSTONE LAND CORP 34.0% LAND 37654910
GLASSBRIDGE ENTERPRISES INC 18.6% GLA Information Technology 37718510
GLATFELTER 35.8% GLT Materials 37731610
GLAUKOS CORP 21.4% GKOS Health Care 37732210
GLEACHER & COMPANY INC 17.4% GLCH Financials 37734120
GLEN BURNIE BANCORP 21.4% GLBZ Financials 37740710
GLOBAL BLOOD THERAPEUTICS 5.1% GBT Health Care 37890U10
GLOBAL BROKERAGE INC 1.0% GLBR Financials 37891B10
GLOBALSTAR INC 24.1% GSAT Telecommunication Services 37897340
GLOBAL CLEAN ENERGY HOLDINGS 9.2% GCEH Consumer Staples 37898910
37933T20
GLOBAL NET LEASE INC 37.7% GNL 37937820
GLOBALMIN VENTURES INC 8.0% GMVI Materials 37938110
GLOBALSCAPE INC 34.6% GSB Information Technology 37940G10
GLOBAL PAYMENTS INC 35.0% GPN Information Technology 37940X10
GLOBAL POWER EQUIPMENT GROUP 9.2% GLPW Industrials 37941P30
GLOBAL WATER RESOURCES INC 24.0% GWRS Utilities 37946310
GLOBAL PARTNERS LP 35.0% GLP Energy 37946R10
GLOBAL GEOPHYSICAL SVCS INC 10.0% GGS Energy 37946S10
GLOBAL EAGLE ENTERTAINMENT 5.2% ENT Consumer Discretionary 37951D10
GLOBAL ARENA HOLDINGS INC 5.5% GAHC Industrials 37951M10
GLOBAL BRASS & COPPER HLDGS 36.7% BRSS Industrials 37953G10
GLOBAL HEALTHCARE REIT 33.7% GBCS 37953J10
GLOBAL MEDICAL REIT GMRE 37954A20
GLOBAL FUTURE CITY HLDG INC 1.2% FTCY Consumer Discretionary 37954L10
GLOBAL TECH INDS GROUP INC 19.4% GTII Industrials 37955R10
GLOBUS MEDICAL INC 35.0% GMED Health Care 37957720
GLOBEIMMUNE INC 7.9% GBIM Health Care 37957B10
GLORYWIN ENTERTAINMENT GRP 29.9% GWIN Consumer Discretionary 37961Q10
GLOWPOINT INC 13.9% GLOW Information Technology 37988720
GLU MOBILE INC 1.0% GLUU Information Technology 37989010
GLYECO INC 0.4% GLYE Industrials 38000P10
GLYCOMIMETICS INC 2.0% GLYC Health Care 38000Q10
GODADDY INC 32.2% GDDY Information Technology 38023710
GOGO INC 25.5% GOGO Information Technology 38046C10
6.9% 38062410
GOLD RESERVE INC 10.9% GRZ Materials 38068N10
GOLD RESOURCE CORP 20.2% GORO Materials 38068T10
GOLD STANDARD VENTURES CORP 1.7% GSV Materials 38073810
GOLDCORP INC 24.0% GG Materials 38095640
GOLDEN ENTERTAINMENT INC 15.1% GDEN Consumer Discretionary 38101310
GOLDEN GROWERS COOPERATIVE 34.1% GGROU Consumer Staples 38106110
GOLDEN MINERALS CO 1.7% AUMN Materials 38111910
GOLDEN PHOENIX MINERALS INC 2.7% GPXM Materials 38114910
GOLDEN RIVER RESOURCES CORP 2.3% GORV Materials 38116G20
GOLDEN STAR RESOURCES LTD 11.9% GSS Materials 38119T10
GOLDFIELD CORP 5.3% GV Industrials 38137010
GOLDMAN SACHS GROUP INC 34.7% GS Financials 38141G10
GOLDRICH MINING CO 18.8% GRMC Materials 38143110
GOLDMAN SACHS BDC INC 35.0% GSBD Financials 38147U10
GOLDMINING INC 12.6% GLDLF Materials 38149E10
GOLIATH FILM & MEDIA HLDGS 3.8% GFMH Consumer Discretionary 38171510
GOLUB CAPITAL BDC INC 35.0% GBDC Financials 38173M10
GOLDEN STATE WATER CO 33.7% AWR1 Utilities 38199U00
GOLDEN STATE PETROLEUM TRANS 1.2% FRO3 38199Z00
GOOD TIMES RESTAURANTS INC 37.4% GTIM Consumer Discretionary 38214087
GOODRICH PETROLEUM CORP 11.3% GDP Energy 38241084
GOODYEAR TIRE & RUBBER CO 35.6% GT Consumer Discretionary 38255010
GOPRO INC 9.4% GPRO Consumer Discretionary 38268T10
GORDMANS STORES INC 21.2% GMAN 38269P10
GORMAN-RUPP CO 35.0% GRC Industrials 38308210
GOVERNMENT PPTYS INCOME TR 35.0% GOV 38376A10
GRACE (W R) & CO 36.7% GRA Materials 38388F10
GRACO INC 35.0% GGG Industrials 38410910
GRAHAM CORP 35.3% GHM Industrials 38455610
GRAHAM HOLDINGS CO 35.0% GHC Consumer Discretionary 38463710
GRAINGER (W W) INC 35.0% GWW Industrials 38480210
GRAMERCY PROPERTY TRUST 17.1% GPT 38500230
GRAN TIERRA ENERGY INC 16.8% GTE Energy 38500T10
GRAND CANYON EDUCATION INC 35.0% LOPE Consumer Discretionary 38526M10
GRAND PEAK CAPITAL CORP 18.5% GPKUF Financials 38611W30
GRANDPARENTS.COM INC 0.1% GPCMQ Information Technology 38661710
GRANITE CITY FOOD & BREWERY 20.6% GCFB Consumer Discretionary 38724Q40
GRANITE CONSTRUCTION INC 35.1% GVA Industrials 38732810
GRANITE FALLS ENERGY LLC 11.9% GFGY Energy 38736610
GRANITE REAL ESTATE INVEST 35.6% GRPU 38743711
GRAPHIC PACKAGING HOLDING CO 8.1% GPK Materials 38868910
GRAPHITE ONE RESOURCES INC 21.9% GPHOF Materials 38870W10
GRAY TELEVISION INC 29.1% GTN Consumer Discretionary 38937510
GRAYBAR ELECTRIC CO INC 35.4% 1737B Industrials 38940610
GREAT AMERICAN BANCORP INC 34.0% GTPS Financials 38982K10
GREAT AJAX CORP 35.0% AJX Financials 38983D30
32.4% 39013L80
GREAT BASIN SCIENTIFIC INC GBSN Health Care 39013L88
GREAT ELM CAPITAL GROUP INC 3.2% GEC Financials 39036P20
GREAT LAKES AVIATION LTD 6.8% GLUX Industrials 39054K10
GREAT LAKES DREDGE & DOCK CP 34.9% GLDD Industrials 39060710
GREAT SOUTHERN BANCORP 35.1% GSBC Financials 39090510
GREAT PANTHER SILVER LTD 1.7% GPL Materials 39115V10
GREAT PLAINS ENERGY INC 38.1% GXP Utilities 39116410
GREAT-WEST LIFE & ANN INS CO 30.8% GWO1 Financials 39138C00
GREAT WESTERN BANCORP INC 35.0% GWB Financials 39141610
GREEN AUTOMOTIVE CO 2.5% GACR Consumer Discretionary 39260A10
GREEN BALLAST INC 26.4% GBLL Industrials 39260T10
GREEN BANCORP INC 35.0% GNBC Financials 39260X10
GREEN BRICK PARTNERS INC 2.5% GRBK Consumer Discretionary 39270910
GREEN EARTH TECHNOLOGIES INC 27.7% GETG Materials 39303R10
GREEN DOT CORP 35.3% GDOT Financials 39304D10
GREEN HYGIENICS HOLDINGS INC 20.6% GRYN Consumer Discretionary 39305720
GREEN PLAINS PARTNERS LP 35.0% GPP Energy 39322110
GREEN PLAINS INC 7.5% GPRE Energy 39322210
GREEN TECHNOLOGY SOLUTIONS 14.9% GTSO Industrials 39342230
GREENBRIER COMPANIES INC 35.0% GBX Industrials 39365710
GREENE COUNTY BANCORP INC 35.0% GCBC Financials 39435710
1.5% 39481110
GREENHILL & CO INC 36.1% GHL Financials 39525910
GREENHUNTER RESOURCES INC 7.1% GRH Energy 39530A10
GREENHOUSE SOLUTIONS INC 24.5% GRSU Consumer Staples 39530T20
GREENKRAFT INC 18.2% GKIT Industrials 39530U10
23.7% 39571U50
GREIF INC -CL A 35.7% GEF Materials 39762410
GREY FOX HOLDINGS CORP 4.2% GFOX Consumer Discretionary 39787Q10
GREYSTONE LOGISTICS INC 9.4% GLGI Materials 39807A10
GRIFFIN INDUSTRIAL REALTY 31.2% GRIF 39823110
GRIFFON CORP 35.0% GFF Industrials 39843310
GROUP 1 AUTOMOTIVE INC 35.0% GPI Consumer Discretionary 39890510
CGI GROUP INC -CL A 35.0% GIB Information Technology 39945C10
GROUPON INC 22.6% GRPN Consumer Discretionary 39947310
GROWLIFE INC 12.5% PHOT Industrials 39985X10
35.0% 4.01E+11
GRUBHUB INC 35.0% GRUB Information Technology 40011010
GTX INC 12.9% GTXI Health Care 40052B20
GUANWEI RECYCLING CORP 35.0% GPRC Industrials 40068520
GUARANTY BANCORP 35.4% GBNK Financials 40075T60
GUARANTY BANCSHARES INC GNTY Financials 40076410
GUARANTY FED BANCSHARES INC 35.0% GFED Financials 40108P10
GUARDIAN 8 HOLDINGS 0.0% GRDH Information Technology 40136G10
GUESS INC 34.7% GES Consumer Discretionary 40161710
GUIDANCE SOFTWARE INC 19.7% GUID Information Technology 40169210
GUIDED THERAPEUTICS INC 7.0% 3GTHP Health Care 40171F30
GUIDEWIRE SOFTWARE INC 34.4% GWRE Information Technology 40171V10
GULF ISLAND FABRICATION INC 4.2% GIFI Energy 40230710
GULF POWER CO 35.3% SO3 Utilities 40247900
GULF RESOURCES INC 35.0% GURE Materials 40251W30
GULFMARK OFFSHORE INC 4.1% GLF 40262920
GULFPORT ENERGY CORP 0.0% GPOR Energy 40263530
GULFSLOPE ENERGY INC 11.6% GSPE Energy 40273W10
GUNGNIR RESOURCES INC 12.9% ASWRF Materials 40281L10
H&E EQUIPMENT SERVICES INC 36.4% HEES Industrials 40403010
HCA HEALTHCARE INC 35.0% HCA Health Care 40412C10
HC2 HOLDINGS INC 35.2% HCHC Industrials 40413910
HCP INC 35.9% HCP 40414L10
HCI GROUP INC 35.8% HCI Financials 40416E10
HCI VIOCARE 4.6% VICA Health Care 40416H20
HD SUPPLY HOLDINGS INC 35.0% HDS Industrials 40416M10
HFF INC 35.0% HF 40418F10
HKN INC 2.2% HKNI Energy 40420K70
HMG COURTLAND PROPERTIES 35.9% HMG 40423210
HMN FINANCIAL INC 20.8% HMNF Financials 40424G10
HNI CORP 35.0% HNI Industrials 40425110
HMS HOLDINGS CORP 35.0% HMSY Health Care 40425J10
HSBC FINANCE CORP 23.2% HBC1 Financials 40428000
HSN INC 27.7% HSNI Consumer Discretionary 40430310
HST GLOBAL INC 9.4% HSTC Health Care 40432E10
HPIL HOLDING 3.3% HPIL Financials 40432Y10
HTG MOLECULAR DIAGNOSTICS 0.0% HTGM Health Care 40434H10
HRG GROUP INC 35.0% HRG Consumer Staples 40434J10
HP INC 34.3% HPQ Information Technology 40434L10
HW HOLDINGS INC 8.1% HHWW Consumer Discretionary 40441G10
HABIT RESTAURANTS INC (THE) 38.0% HABT Consumer Discretionary 40449J10
HACKETT GROUP INC 35.3% HCKT Information Technology 40460910
HSBC USA INC 23.1% HBC2 Financials 40499Y00
HAEMONETICS CORP 36.0% HAE Health Care 40502410
HAIN CELESTIAL GROUP INC 35.0% HAIN Consumer Staples 40521710
HALCON RESOURCES CORP 20.8% HK Energy 40537Q60
HALLADOR ENERGY CO 34.9% HNRG Energy 40609P10
HALLIBURTON CO 33.6% HAL Energy 40621610
HALLMARK FINANCIAL SERVICES 35.8% HALL Financials 40624Q20
HALOZYME THERAPEUTICS INC 8.5% HALO Health Care 40637H10
HALO COMPANIES INC 7.6% HALN Financials 40637W10
HALYARD HEALTH INC 19.3% HYH Health Care 40650V10
HAMILTON BANCORP INC/MD 2.9% HBK Financials 40701510
HAMILTON LANE INC HLNE Financials 40749710
HAMPSHIRE GROUP LTD 14.7% HAMP Consumer Discretionary 40885910
HANCOCK FABRICS INC 10.3% HKF Consumer Discretionary 40990010
HANCOCK HOLDING CO 35.0% HBHC Financials 41012010
HANDY & HARMAN LTD 27.9% HNH Materials 41031510
HANESBRANDS INC 35.0% HBI Consumer Discretionary 41034510
HANGER INC 35.0% HGR Health Care 41043F20
HANMI FINANCIAL CORP 35.0% HAFC Financials 41049520
HANNAN METALS 26.3% HANNF Materials 41058410
HANNON ARMSTRONG SUST INFR 38.0% HASI Financials 41068X10
HANOVER INSURANCE GROUP INC 36.7% THG Financials 41086710
HARBORONE BANCORP INC HONE Financials 41165F10
HARDINGE INC 17.7% HDNG Industrials 41232430
HARFORD BANK ABERDEEN/MD 34.2% HFBK Financials 41247910
HARLEY-DAVIDSON INC 35.0% HOG Consumer Discretionary 41282210
HARLEYSVILLE FINANCIAL CORP HARL Financials 41284E10
HARLEYSVILLE SAVINGS FINAN CORP 34.0% HARL 41286510
HARMAN INTERNATIONAL INDS 35.0% HAR Consumer Discretionary 41308610
HARMONIC INC 14.5% HLIT Information Technology 41316010
HARRIS CORP 35.4% HRS Industrials 41387510
HARRISON VICKERS & WATERMAN 1.2% HVCW Consumer Discretionary 41556910
HARSCO CORP 35.6% HSC Industrials 41586410
HARTE HANKS INC 35.0% HHS 41619610
HARTFORD FINANCIAL SERVICES 6.9% HIG Financials 41651510
HARVARD BIOSCIENCE INC 11.5% HBIO Health Care 41690610
HARTFORD LIFE INSURANCE CO 26.8% 9627A Financials 41699X00
HARVEST CAPITAL CREDIT CORP 34.2% HCAP Financials 41753F10
HARVEST NATURAL RESOURCES 3.0% HNR Energy 41754V20
HASBRO INC 35.0% HAS Consumer Discretionary 41805610
HAUPPAUGE DIGITAL INC 1.1% HAUP Information Technology 41913110
HAVERTY FURNITURE 35.0% HVT Consumer Discretionary 41959610
HAWAIIAN ELECTRIC CO 26.5% HE1 Utilities 41986600
HAWAIIAN ELECTRIC INDS 36.5% HE Utilities 41987010
HAWAIIAN HOLDINGS INC 35.0% HA Industrials 41987910
HAWAIIAN TELCOM HOLDCO INC 6.2% HCOM Telecommunication Services 42003110
HAWKINS INC 35.0% HWKN Materials 42026110
HAWTHORN BANCSHARES INC 35.0% HWBK Financials 42047610
HAYNES INTERNATIONAL INC 3.3% HAYN Materials 42087720
HEALTHCARE SERVICES GROUP 35.0% HCSG Industrials 42190610
HEALTHSOUTH CORP 29.1% HLS 42192430
HEALTHCARE REALTY TRUST INC 35.2% HR 42194610
HEARTLAND BANCCORP 35.0% HLAN Financials 42196210
HEADWATERS INC 21.5% HW Materials 42210P10
HEALTHSTREAM INC 4.4% HSTM Health Care 42222N10
HEALTH INSURANCE INNOVATIONS 35.0% HIIQ Financials 42225K10
HEALTHCARE TRUST OF AMERICA 35.0% HTA 42225P50
HEALTHEQUITY INC 35.5% HQY Health Care 42226A10
HEALTHIER CHOICES MNGMT CORP 33.9% HCMC Consumer Staples 42226N10
HEALTHWAREHOUSE.COM INC 18.6% HEWA Consumer Discretionary 42227G20
HEARTLAND EXPRESS INC 35.0% HTLD Industrials 42234710
HEARTLAND FINANCIAL USA INC 35.0% HTLF Financials 42234Q10
HEAT BIOLOGICS INC 1.3% HTBX 42237K10
0.2% 42247Q10
HECLA MINING CO 9.1% HL Materials 42270410
HEDGEPATH PHARMACEUTICALS 0.0% HPPI Health Care 42278K10
HEICO CORP 35.0% HEI Industrials 42280610
HEIDRICK & STRUGGLES INTL 2.4% HSII Industrials 42281910
HELIX BIOPHARMA CORP 22.1% HBP Health Care 42291010
HELIOS AND MATHESON ANALYTIC 21.8% HMNY Information Technology 42327L20
11.2% 42328V10
HELIX ENERGY SOLUTIONS GROUP 35.3% HLX Energy 42330P10
HELMERICH & PAYNE 35.1% HP Energy 42345210
HEMACARE CORP 15.6% HEMA Health Care 42349810
HEMISPHERE ENERGY CORP 1.6% HMENF Energy 42363010
HEMISPHERE MEDIA GROUP INC 35.0% HMTV Consumer Discretionary 42365Q10
HEMISPHERX BIOPHARMA INC 0.2% HEB Health Care 42366C30
HENNESSY ADVISORS INC 35.0% HNNA Financials 42588510
HENRY (JACK) & ASSOCIATES 35.0% JKHY Information Technology 42628110
HERITAGE COMMERCE CORP 35.0% HTBK Financials 42692710
HER IMPORTS 39.0% HHER Consumer Discretionary 42703T10
HERC HOLDINGS INC 35.0% HRI Industrials 42704L10
HERCULES CAPITAL INC 35.0% HTGC Financials 42709650
HERITAGE FINANCIAL CORP 35.0% HFWA Financials 42722X10
HERITAGE OAKS BANCORP 35.0% HEOP Financials 42724R10
HERITAGE-CRYSTAL CLEAN INC 18.1% HCCI Industrials 42726M10
HERITAGE GLOBAL INC 22.4% HGBL Financials 42727E10
HERITAGE INSURANCE HOLDINGS 27.5% HRTG Financials 42727J10
HERON LAKE BIOENERGY LLC 6.2% HLBYL Energy 42772P10
HERON THERAPEUTICS INC 0.0% HRTX Health Care 42774610
HERSHA HOSPITALITY TRUST 35.0% HT 42782550
HERSHEY CO 35.0% HSY Consumer Staples 42786610
AFFINITY GAMING LLC 34.1% 0215B Consumer Discretionary 42799Y93
HESKA CORP 7.1% HSKA Health Care 42805E30
HERTZ GLOBAL HOLDINGS INC 30.4% HTZ Industrials 42806J10
HESS CORP 35.0% HES Energy 42809H10
HEWLETT PACKARD ENTERPRISE 35.0% HPE Information Technology 42824C10
HEXCEL CORP 35.7% HXL Industrials 42829110
HI-CRUSH PARTNERS LP 35.5% HCLP Energy 42833710
HHGREGG INC 6.9% HGG Consumer Discretionary 42833L10
HIBBETT SPORTS INC 35.0% HIBB Consumer Discretionary 42856710
HICKOK INC -CL A 32.7% HICKA Information Technology 42883910
HIGH PERFORMANCE BEVERAGES 0.2% TBEV Consumer Staples 42969X30
HIGHPOWER INTERNATIONAL INC 33.4% HPJ Industrials 43113X10
HIGHWOODS PROPERTIES INC 35.0% HIW 43128410
HILL INTERNATIONAL INC 35.0% HIL Industrials 43146610
HILL-ROM HOLDINGS INC 35.0% HRC Health Care 43147510
HILLENBRAND INC 35.0% HI Industrials 43157110
HILLS BANCORPORATION 35.0% HBIA Financials 43164310
HILLTOP HOLDINGS INC 35.0% HTH Financials 43274810
HILTON GRAND VACATIONS 35.0% HGV Consumer Discretionary 43283X10
HILTON WORLDWIDE HOLDINGS 35.0% HLT Consumer Discretionary 43300A20
HINGHAM INSTN FOR SAVINGS 35.0% HIFS Financials 43332310
HISTOGENICS CORP 3.1% HSGX Health Care 43358V10
HOLLOMAN ENERGY CORP 0.4% HENC Energy 43569410
HOLLY ENERGY PARTNERS LP 35.0% HEP Energy 43576310
HOLLYFRONTIER CORP 3.8% HFC Energy 43610610
HOLLYWOOD MEDIA CORP 28.3% HOLL Information Technology 43623310
HOLOGIC INC 35.0% HOLX Health Care 43644010
HOME BANCSHARES INC 35.0% HOMB Financials 43689320
HOME BANCORP INC 35.0% HBCP Financials 43689E10
HOME CITY FINANCIAL CORP 34.3% HCFL Financials 43706C20
HOME DEPOT INC 35.0% HD Consumer Discretionary 43707610
HOME FEDERAL BANCORP INC/LA 34.0% HFBL Financials 43708L10
HOME FINANCIAL BANCORP 18.4% HWEN Financials 43708T10
HOME LOAN FINANCIAL CORP 34.0% 3HLFN Financials 43718320
HOMEFED CORP 20.8% HOFD 43739D30
HOMESTREET INC 33.9% HMST Financials 43785V10
HOMETRUST BANCSHARES INC 38.0% HTBI Financials 43787210
HOMETOWN BANKSHARES CORP HMTA Financials 43787N10
HONEYWELL INTERNATIONAL INC 35.0% HON Industrials 43851610
HONGLI CLEAN ENERGY TECHNL 23.4% CETC Energy 43858620
HOOKER FURNITURE CORP 35.8% HOFT Consumer Discretionary 43903810
HOOPER HOLMES INC 6.1% HH Health Care 43910420
HOPE BANCORP INC 35.0% HOPE Financials 43940T10
HOPFED BANCORP INC 21.1% HFBC Financials 43973410
HOPTO INC 13.6% HPTO Information Technology 44027120
HORACE MANN EDUCATORS CORP 38.3% HMN Financials 44032710
HORIZON BANCORP/IN 35.0% HBNC Financials 44040710
HORIZON MINERALS CORP 0.1% HZNM Materials 44043B10
HORMEL FOODS CORP 35.0% HRL Consumer Staples 44045210
HORIZON TECHNOLOGY FINANCE 38.0% HRZN Financials 44045A10
HORIZON GLOBAL CORP 35.0% HZN Consumer Discretionary 44052W10
HORNBECK OFFSHORE SVCS INC 35.0% HOS Energy 44054310
HORTONWORKS INC 4.8% HDP Information Technology 44089410
HOSPITALITY PROPERTIES TRUST 35.0% HPT 44106M10
HOST HOTELS & RESORTS INC 35.0% HST 44107P10
HOUGHTON MIFFLIN HARCOURT CO 6.7% HMHC Consumer Discretionary 44157R10
HOULIHAN LOKEY INC 35.0% HLI Financials 44159310
HOUSTON AMERN ENERGY CORP 2.0% HUSA Energy 44183U10
HOST HOTELS & RESORTS LP 36.0% HST1 44199X00
HOUSTON WIRE & CABLE CO 35.2% HWCC Industrials 44244K10
HOVNANIAN ENTRPRS INC -CL A 31.8% HOV Consumer Discretionary 44248720
HOWARD BANCORP INC 34.0% HBMD Financials 44249610
HOWARD HUGHES CORP 2.4% HHC 44267D10
HUB GROUP INC -CL A 35.0% HUBG Industrials 44332010
HUBBELL INC 35.8% HUBB Industrials 44351060
HUBEI MINKANG PHARMACEUTICAL 32.7% HBMK Health Care 44352W10
HUBSPOT INC 1.0% HUBS Information Technology 44357310
HUDBAY MINERALS INC 5.2% HBM Materials 44362810
HUDSON GLOBAL INC 3.3% HSON Industrials 44378710
HUDSON PACIFIC PPTYS INC 35.0% HPP 44409710
HUDSON TECHNOLOGIES INC 35.3% HDSN Industrials 44414410
HUGOTON ROYALTY TRUST 13.5% HGT Energy 44471710
HUMANA INC 35.0% HUM Health Care 44485910
HUNT (JB) TRANSPRT SVCS INC 35.0% JBHT Industrials 44565810
HUNTINGTON BANCSHARES 35.0% HBAN Financials 44615010
HUNTINGTON INGALLS IND INC 36.0% HII Industrials 44641310
HUNTSMAN CORP 22.6% HUN Materials 44701110
HUNTWICKE CAPITAL GROUP INC 0.0% HCGI 44731110
HURCO COMPANIES INC 35.3% HURC Industrials 44732410
HURON CONSULTING GROUP INC 35.6% HURN Industrials 44746210
HUNTSMAN INTERNATIONAL LLC 5.5% HUN1 Materials 44799X00
HUTTIG BUILDING PRODUCTS INC 33.6% HBP Industrials 44845110
HYATT HOTELS CORP 36.3% H Consumer Discretionary 44857910
HYCROFT MINING CORP 1.7% HYCT Materials 44862910
HYDRO QUEBEC 35.0% 4300A Utilities 44881400
HYDROGENICS CORP 9.4% HYGS Industrials 44888320
IDT CORP 3.7% IDT Telecommunication Services 44894750
HYPERDYNAMICS CORP 4.7% HDY Energy 44895420
IMH FINANCIAL CORP 19.7% 7192B Financials 44899B91
HYDROPHI TECHNOLOGIES GROUP 27.7% HPTG Energy 44902P10
HYSTER-YALE MATERIALS HNDLNG 35.9% HY Industrials 44917210
IAC/INTERACTIVECORP 31.0% IAC Information Technology 44919P50
ICF INTERNATIONAL INC 36.6% ICFI Industrials 44925C10
ICU MEDICAL INC 35.0% ICUI Health Care 44930G10
ICTV BRANDS INC 0.1% ICTV Consumer Discretionary 44931J10
ICC HOLDING INC ICCH Financials 44931Q10
ICAD INC 0.7% ICAD Health Care 44934S20
I D SYSTEMS INC 7.3% IDSY Information Technology 44948910
IEH CORP 34.1% IEHC Information Technology 44949K10
IEC ELECTRONICS CORP 18.2% IEC Information Technology 44949L10
IF BANCORP INC 34.0% IROQ Financials 44951J10
IEG HOLDINGS CORP 2.4% IEGH Financials 44951M40
IDW MEDIA HOLDINGS INC 26.2% IDWM Consumer Discretionary 44951N10
IES HOLDINGS INC 35.1% IESC Industrials 44951W10
IGO INC 4.3% IGOI Information Technology 44959330
ILG INC 35.0% ILG Consumer Discretionary 44967H10
IPG PHOTONICS CORP 35.0% IPGP Information Technology 44980X10
VOYA RETIREMENT INS &ANNUITY 2.4% 9625A Financials 44999X00
IRHYTHM TECHNOLOGIES INC 24.8% IRTC Health Care 45005610
ISTAR INC 35.0% STAR 45031U10
ITT EDUCATIONAL SERVICES INC 9.3% ESI Consumer Discretionary 45068B10
ITUS CORP 2.6% ITUS Health Care 45069V20
IXIA 14.2% XXIA Information Technology 45071R10
ITT INC 34.8% ITT Industrials 45073V10
IBERIABANK CORP 35.0% IBKC Financials 45082810
IAMGOLD CORP 25.0% IAG Materials 45091310
IASIS HEALTHCARE LLC 32.8% 0100A Health Care 45099R00
IBIO INC 2.8% IBIO Health Care 45103310
ICONIX BRAND GROUP INC 35.0% ICON Consumer Discretionary 45105510
ICAHN ENTERPRISES LP 16.3% IEP Industrials 45110010
IDACORP INC 34.7% IDA Utilities 45110710
IDAHO INDEPENDENT BK COEUR 29.8% IIBK Financials 45129P10
IDAHO POWER CO 39.2% IDA1 Utilities 45138000
IDEAL POWER INC 0.1% IPWR Industrials 45162210
IDEX CORP 35.0% IEX Industrials 45167R10
IDEXX LABS INC 35.0% IDXX Health Care 45168D10
IDERA PHARMACEUTICALS INC 0.6% IDRA Health Care 45168K30
IDENTIV INC 1.9% INVE Information Technology 45170X20
IKONICS CORP 34.2% IKNX Materials 45172K10
IGNITE RESTAURANT GROUP INC 38.2% IRG Consumer Discretionary 45173010
IGNYTA INC 0.0% RXDX Health Care 45173110
IHEARTMEDIA INC 29.5% IHRT Consumer Discretionary 45174J10
ILLINOIS TOOL WORKS 35.0% ITW Industrials 45230810
ILLUMINA INC 35.0% ILMN Health Care 45232710
IMAGE SENSING SYSTEMS INC 2.8% ISNS Information Technology 45244C10
IMAX CORP 36.6% IMAX Consumer Discretionary 45245E10
IMAGEWARE SYSTEMS INC 0.9% IW Information Technology 45245S10
IMERJN INC 0.1% IMJN Information Technology 45249J10
IMMERSION CORP 1.8% IMMR Information Technology 45252110
IMMUCELL CORP 33.5% ICCC Health Care 45252530
IMMUNE THERAPEUTICS INC 27.2% IMUN Health Care 45252A10
IMMUNE DESIGN CORP 2.4% IMDZ Health Care 45252L10
IMMEDIATEK INC 0.5% IMKI Information Technology 45252S30
IMMUNOCELLULAR THERAPEUTICS 0.3% IMUC Health Care 45253620
IMMUNOGEN INC 0.5% IMGN Health Care 45253H10
0.0% 45254C10
IMMUNE PHARMACEUTICALS INC IMNP Health Care 45254C20
IMPAC MORTGAGE HOLDINGS INC 34.6% IMH Financials 45254P50
IMPAX LABORATORIES INC 35.5% IPXL Health Care 45256B10
IMMUNOMEDICS INC 2.1% IMMU Health Care 45290710
IMPERIAL GINSENG PRODS LTD 4.0% IGPFF Consumer Staples 45292440
INCOME OPPORTUNITY RLTY INVS 34.8% IOR 45292610
IMPERIAL OIL LTD 27.6% IMO Energy 45303840
IMPINJ INC 35.7% PI Information Technology 45320410
IMPRESO INC 2.7% ZCOM Materials 45320V10
IMPERVA INC 1.9% IMPV Information Technology 45321L10
IMRIS INC 8.6% IMRS Health Care 45322N10
IMPRIMIS PHARMACEUTICALS INC 2.1% IMMY Health Care 45323A20
INCEPTION MINING INC IMII Materials 45327U20
INC RESEARCH HOLDINGS INC 35.0% INCR 45329R10
INCYTE CORP 8.9% INCY Health Care 45337C10
INDEPENDENCE CONTRACT DRLLNG 2.7% ICD Energy 45341530
INDEPENDENCE ENERGY CORP 9.8% IDNG Health Care 45343Y20
INDEPENDENCE HOLDING CO 3.9% IHC Financials 45344030
INDEPENDENCE REALTY TRUST 35.0% IRT 45378A10
INDEPENDENT ALLIANCE BANKS 35.0% IALB Financials 45380E10
INDEPENDENT BANK CORP/MA 35.0% INDB Financials 45383610
INDEPENDENT BANK CORP/MI 35.6% IBCP Financials 45383860
INDEPENDENT BK GRP INC 35.0% IBTX Financials 45384B10
INDEPENDENT FILM DEV CORP 13.1% IFLM Consumer Discretionary 45384K20
INDIA GLOBALIZATION CAPITAL 17.0% IGC Health Care 45408X30
INDIANA MICHIGAN POWER CO 13.8% AEP2 Utilities 45499X00
INDUSTRIAL SERVICES AMER INC 2.4% IDSA Industrials 45631410
INFINITY ENERGY RESOURCES 5.7% IFNY Energy 45663L50
INFINITY PHARMACEUTICALS INC 0.0% INFI Health Care 45665G30
INFINITY PROPERTY & CAS CORP 35.0% IPCC Financials 45665Q10
INFINERA CORP 4.5% INFN Information Technology 45667G10
INFORMATION ANALYSIS INC 1.5% IAIC Information Technology 45669610
INFINITO GOLD LTD 18.9% IGFFF Materials 45671C10
INERGETICS INC 0.1% NRTI Consumer Staples 45671Q20
INFOBLOX INC BLOX Information Technology 45672H10
INFORMATION SERVICES GROUP 35.6% III Information Technology 45675Y10
18.6% 45678410
INFUSYSTEM HOLDINGS INC 7.8% INFU Health Care 45685K10
INFRAREIT INC 35.0% HIFR 45685L10
INFRAX SYSTEMS INC 24.1% IFXY Information Technology 45685T20
INGEVITY CORP 38.6% NGVT Materials 45688C10
INFINITE GROUP INC 24.6% IMCI Information Technology 45691030
INGLES MARKETS INC -CL A 35.0% IMKTA Consumer Staples 45703010
INGREDION INC 35.0% INGR Consumer Staples 45718710
INLAND REAL ESTATE INCOME TR ISTT 45746410
INNODATA INC 22.3% INOD Information Technology 45764220
INSIGHT ENTERPRISES INC 35.3% NSIT Information Technology 45765U10
INSIGNIA SYSTEMS INC 28.2% ISIG Consumer Discretionary 45765Y10
INSMED INC 0.0% INSM Health Care 45766930
INNOSPEC INC 35.0% IOSP Materials 45768S10
INNOVATIVE SOLTNS & SUPP INC 11.8% ISSC Industrials 45769N10
INPHI CORP 35.1% IPHI Information Technology 45772F10
INNOVATIVE FOOD HOLDINGS 28.0% IVFH Consumer Staples 45772H20
INOVIO PHARMACEUTICALS INC 0.8% INO Health Care 45773H20
INNERWORKINGS INC 35.0% INWK Industrials 45773Y10
INNOPHOS HOLDINGS INC 23.0% IPHS Materials 45774N10
INSTEEL INDUSTRIES 35.0% IIIN Industrials 45774W10
INSPERITY INC 35.1% NSP Industrials 45778Q10
INSPIREMD INC 17.4% NSPR 45779A80
INRAD OPTICS INC 2.6% INRD Information Technology 45779C10
5.2% 45779L10
INSPIRED BUILDERS INC 0.9% ISRB 45780A10
INOGEN INC 17.5% INGN Health Care 45780L10
INSTALLED BLDG PRODUCTS INC 35.0% IBP Consumer Discretionary 45780R10
INOTEK PHARMACEUTICALS CORP 8.1% ITEK Health Care 45780V10
INOVALON HOLDINGS INC 27.9% INOV Health Care 45781D10
INNOVIVA INC 24.9% INVA Health Care 45781M10
INNOVISION LABS INC 2.1% INVS Health Care 45781N10
INSTRUCTURE INC 2.7% INST Information Technology 45781U10
INSPYR THERAPEUTICS INC 1.6% NSPX Health Care 45782A20
INSEEGO CORP 7.3% INSG Information Technology 45782B10
INNOVATION PHARMACEUTICALS I IPIX Health Care 45782D10
INSULET CORP 18.8% PODD Health Care 45784P10
INPIXON 0.0% INPX 45790J10
INNSUITES HOSPITALITY TR 2.5% IHT Consumer Discretionary 45791910
INTEGRA LIFESCIENCES HLDGS 35.0% IART Health Care 45798520
INTEGRAL TECHNOLOGIES INC 0.0% ITKG Materials 45810J10
INTEGRATED DEVICE TECH INC 35.0% IDTI Information Technology 45811810
INTEGRATED BIOPHARMA INC 5.8% INBP Consumer Staples 45811V10
INTEL CORP 35.0% INTC Information Technology 45814010
INTEGRATED FREIGHT CORP 3.0% IFCR Industrials 45816610
INTELLIGENT SYSTEM CORP 20.3% INS Information Technology 45816D10
INTELLIPHARMACEUTICS INTL 8.9% IPCI Health Care 45817310
INTELLICHECK INC 0.0% IDN Information Technology 45817G20
INTEGRATED ENVIRO TECH LTD 3.0% IEVM Industrials 45821F10
INTELGENX TECHNOLOGIES CORP 26.3% IGXT Health Care 45822R10
INTEGRITY APPLICATIONS INC 12.8% IGAP Health Care 45824Q10
INSYS THERAPEUTICS INC 35.0% INSY Health Care 45824V20
1.6% 45825H10
INTEGRATED DRILLING EQPT HLD 26.5% IRIG Energy 45825L10
INTELLINETICS INC 0.0% INLX Information Technology 45825X10
INTEGER HOLDINGS CORP 35.0% ITGR Health Care 45826H10
INTER PARFUMS INC 35.0% IPAR Consumer Staples 45833410
INTERACTIVE BROKERS GROUP 35.5% IBKR Financials 45841N10
INTERCEPT PHARMA INC 0.5% ICPT Health Care 45845P10
INTERCLOUD SYSTEMS INC 3.5% ICLD 45848820
45848830
INTERDYNE CO 23.1% ITDN 45866120
INTERFACE INC 35.7% TILE Industrials 45866530
INTERCONTINENTAL EXCHANGE 35.0% ICE Financials 45866F10
INTERDIGITAL INC 35.0% IDCC Information Technology 45867G10
INTERGROUP CORP 31.3% INTG 45868510
INTERLEUKIN GENETICS INC 0.9% ILI Health Care 45873810
INTERLINK ELECTRONICS 2.9% LINK Information Technology 45875130
INTERMOLECULAR INC 11.9% IMI Information Technology 45882D10
2.9% 45885A30
INTERNATIONAL BARRIER TECH I 3.9% IBTGF Industrials 45896810
INTEGRYS HOLDING INC 4.0% WEC3 Utilities 45899L00
INTERLINE BRANDS INC 35.0% 0460B Industrials 45899U93
INTL AUTOMATED SYSTEMS INC 27.1% IAUS Industrials 45903910
INTERNATIONAL BALER CORP 34.4% IBAL Industrials 45904110
INTL BANCSHARES CORP 35.0% IBOC Financials 45904410
INTL BUSINESS MACHINES CORP 35.2% IBM Information Technology 45920010
INTERNATIONAL DISPENSING CP 14.6% IDND Materials 45940710
INTL FLAVORS & FRAGRANCES 35.0% IFF Materials 45950610
INTERNATIONAL ISOTOPES INC 16.1% INIS Health Care 45972C10
INTL LEASE FINANCE CORP 16.1% AIG1 Industrials 45974500
INTERNATIONAL MONETARY SYS 35.0% ITNM Industrials 46004U30
INTL PAPER CO 37.5% IP Materials 46014610
INTL SHIPHOLDING CORP 0.1% ISH Industrials 46032120
INTL SPEEDWAY CORP -CL A 35.0% ISCA Consumer Discretionary 46033520
INTERNATIONAL STEM CELL CORP 7.6% ISCO Health Care 46037820
INTERNATIONAL TOWER HILL MIN 25.5% THM Materials 46050R10
INTERNATIONAL WIRE GRP HLDGS 28.4% ITWG Industrials 46058610
INTERPHASE CORP 1.9% INPH Information Technology 46059310
INTERPACE DIAGNOSTICS GP INC 3.1% IDXG Health Care 46062X20
INTERPUBLIC GROUP OF COS 35.2% IPG Consumer Discretionary 46069010
INTERSIL CORP -CL A ISIL Information Technology 46069S10
INTERSECT ENT INC 2.5% XENT Health Care 46071F10
INTRAWEST RESORTS HLDGS INC 34.7% SNOW Consumer Discretionary 46090K10
INTERTAPE POLYMER GROUP INC 38.9% ITP Materials 46091910
INTEROIL CORP 10.3% IOC Energy 46095110
INTERSECTIONS INC 10.7% INTX Industrials 46098130
INTERSTATE POWER & LIGHT CO 5.4% LNT2 Utilities 46107000
INTEST CORP 34.6% INTT Information Technology 46114710
INTEVAC INC 4.7% IVAC Information Technology 46114810
INTL FCSTONE INC 31.9% INTL Financials 46116V10
INTRA-CELLULAR THERAPIES INC 3.9% ITCI Health Care 46116X10
INTUIT INC 35.0% INTU Information Technology 46120210
INVACARE CORP 2.2% IVC Health Care 46120310
INTUITIVE SURGICAL INC 35.0% ISRG Health Care 46120E60
INVENTURE FOODS INC 2.2% SNAK Consumer Staples 46121210
INTRUSION INC 28.1% INTZ Information Technology 46121E20
INTRICON CORP 2.5% IIN Information Technology 46121H10
INTREPID POTASH INC 6.4% IPI Materials 46121Y10
INTREXON CORP 2.6% XON Health Care 46122T10
INUVO INC 1.9% INUV Information Technology 46122W20
INVENSENSE INC 38.5% INVN Information Technology 46123D20
INVENT VENTURES INC 35.1% IDEA Financials 46123M10
INVENTERGY GLOBAL INC INVT Information Technology 46123X40
INVENTIV GROUP HLDGS -REDH 18.2% INV Health Care 46124K10
INVESCO MORTGAGE CAPITAL INC 35.0% IVR Financials 46131B10
INVESTAR HOLDING CORP 35.0% ISTR Financials 46134L10
INVESTMENT TECHNOLOGY GP INC 31.6% ITG Financials 46145F10
INVESTORS BANCORP INC 35.1% ISBC Financials 46146L10
INVESTORS HERITAGE CAP CORP 34.7% IHRC Financials 46155610
INVESTORS REAL ESTATE TRUST 35.0% IRET 46173010
INVESTORS TITLE CO 35.0% ITIC Financials 46180410
INVESTVIEW INC 23.7% INVU Information Technology 46183W10
INVICTUS FINANCIAL INC 8.1% IVFZF Information Technology 46184H20
INVITAE CORP 0.0% NVTA Health Care 46185L10
INVIVO THERAPEUTICS HLDGS CO 1.8% NVIV Health Care 46186M20
INVUITY INC 0.0% IVTY Health Care 46187J20
INVITATION HOMES INC INVH 46187W10
ION GEOPHYSICAL CORP 0.1% IO Energy 46204420
IONIS PHARMACEUTICALS INC 21.4% IONS Health Care 46222210
IOVANCE BIOTHERAPEUTICS INC IOVA Health Care 46226010
IOWA FIRST BANCSHARES CORP 34.0% IOFB Financials 46246F20
IPALCO ENTERPRISES INC 35.0% AES4 Utilities 46261300
IPASS INC 16.9% IPAS Information Technology 46261V10
IPAYMENT INC 4.6% 0030B Information Technology 46262E93
IRADIMED CORP 35.0% IRMD Health Care 46266A10
IRELAND INC 6.4% IRLD Materials 46267T20
IRIDEX CORP 38.2% IRIX Health Care 46268410
IRIDIUM COMMUNICATIONS INC 35.0% IRDM Telecommunication Services 46269C10
IRIS BIOTECHNOLOGIES INC 0.7% IRSB Health Care 46269V10
IROBOT CORP 35.0% IRBT Consumer Discretionary 46272610
IRON MOUNTAIN INC 35.0% IRM 46284V10
NBTY INC 35.1% 0170A Consumer Staples 46299A00
34.3% 46301310
IRONSTONE GROUP INC 4.3% IRNS Industrials 46322820
IRONWOOD PHARMACEUTICALS INC 22.9% IRWD Health Care 46333X10
ISABELLA BANK CORP 38.0% ISBA Financials 46421410
ISIGN SOLUTIONS INC 3.3% ISGN Information Technology 46436A20
ISLE OF CAPRI CASINOS INC 6.7% ISLE Consumer Discretionary 46459210
ISLET SCIENCES INC 31.3% ISLT Health Care 46467R10
ISORAY INC 0.6% ISR Health Care 46489V10
ISRAMCO INC 35.0% ISRL Energy 46514140
ISSUER DIRECT CORP 33.9% ISDR Information Technology 46520M20
ITASCA CAPITAL LTD 1.4% ICLTF Financials 46544810
6.5% 46564730
ITERIS INC 10.0% ITI Information Technology 46564T10
ITC HOLDINGS CORP ITC1 Utilities 46568500
ITRON INC 6.0% ITRI Information Technology 46574110
IVANHOE ENERGY INC 23.3% IVAN Energy 46579050
IVEDA SOLUTIONS INC 19.3% IVDA Information Technology 46583A10
IXYS CORP 23.0% IXYS Information Technology 46600W10
J & J SNACK FOODS CORP 35.0% JJSF Consumer Staples 46603210
IZEA INC 2.1% IZEA Information Technology 46603N30
J. ALEXANDER'S HOLDINGS INC 38.0% JAX Consumer Discretionary 46609J10
J.G. WENTWORTH CO 22.1% JGW Financials 46618D10
J JILL INC JILL Consumer Discretionary 46620W10
JPMORGAN CHASE & CO 35.0% JPM Financials 46625H10
JMP GROUP LLC 34.2% JMP Financials 46629U10
JABIL INC 35.1% JBL Information Technology 46631310
JACK IN THE BOX INC 36.2% JACK Consumer Discretionary 46636710
JACKPOT DIGITAL INC 20.8% JPOTF Information Technology 46639110
JPX GLOBAL INC 10.7% JPEX Industrials 46639B10
JP ENERGY PARTNERS LP 5.5% JPEP Energy 46643C10
JRJR33 INC 4.3% JRJR Consumer Discretionary 46645Q10
JACKSONVILLE BANCORP INC/MD 29.2% JXSB Financials 46924R10
JACOBS ENGINEERING GROUP INC 35.0% JEC Industrials 46981410
0.1% 47008L10
JAGGED PEAK ENERGY INC 4.2% JAG Energy 47009K10
JAGUAR MINING INC 1.8% JAGGF Materials 47009M40
JAKKS PACIFIC INC 19.3% JAKK Consumer Discretionary 47012E10
JAMBA INC 22.2% JMBA Consumer Discretionary 47023A30
BANK OF THE JAMES FINANCIAL 34.0% BOTJ Financials 47029910
JAMMIN JAVA CORP 1.7% JAMN Consumer Staples 47075110
JANEL CORP 35.6% JANL Industrials 47077R10
JANUS CAPITAL GROUP INC 34.5% JNS Financials 47102X10
JASON INDUSTRIES INC JASN Industrials 47117210
JEFFERIES GROUP LLC 35.0% LUK2 Financials 47299V00
JEFFERSONVILLE BANCORP 34.6% JFBC Financials 47559A10
JELD-WEN HOLDING INC 35.0% JELD Industrials 47580P10
JERSEY CENTRAL POWER & LIGHT 25.1% GPU3 Utilities 47655600
JETBLUE AIRWAYS CORP 35.0% JBLU Industrials 47714310
JETPAY CORP 11.5% JTPY Information Technology 47717710
JEWETT-CAMERON TRADING CO 34.4% JCTCF Industrials 47733C20
JIVE SOFTWARE INC 4.5% JIVE Information Technology 47760A10
JOEY NEW YORK INC 12.4% JOEY Consumer Staples 47777X10
JOHN BEAN TECHNOLOGIES 35.0% JBT Industrials 47783910
JOHNSON & JOHNSON 35.0% JNJ Health Care 47816010
JOHNSON OUTDOORS INC -CL A 33.7% JOUT Consumer Discretionary 47916710
JOINT CORP (THE) 3.0% JYNT Health Care 47973J10
JONES ENERGY INC 22.4% JONE Energy 48019R10
JONES LANG LASALLE INC 35.0% JLL 48020Q10
JONES SODA CO 4.3% JSDA Consumer Staples 48023P10
JONES FINANCIAL COS -LP 35.0% 4779B Financials 48099Y93
JOUNCE THERAPEUTICS INC JNCE Health Care 48111610
JOY GLOBAL INC 10.7% JOY Industrials 48116510
J2 GLOBAL INC 35.0% JCOM Information Technology 48123V10
JUHL ENERGY INC 9.5% JUHL Utilities 48132B20
JUNIATA VALLEY FINANCIAL CP 34.3% 3JUVF Financials 48201610
JUNIPER PHARMACEUTICALS INC 29.3% JNP Health Care 48203L10
JUNIPER NETWORKS INC 35.0% JNPR Information Technology 48203R10
JUNO THERAPEUTICS INC 0.0% JUNO Health Care 48205A10
JURA ENERGY CORP 4.1% JECFF Energy 48207230
JUST ENERGY GROUP INC 4.8% JE Utilities 48213W10
KAR AUCTION SERVICES INC 35.0% KAR Industrials 48238T10
KBR INC 29.1% KBR Industrials 48242W10
KBS REIT II INC 12.5% KBRS 48243C10
KCG HOLDINGS INC 35.0% KCG Financials 48244B10
KLA-TENCOR CORP 35.0% KLAC Information Technology 48248010
KKR & CO LP 29.6% KKR Financials 48248M10
KLX INC 35.0% KLXI Industrials 48253910
KMG CHEMICALS INC 35.1% KMG Materials 48256410
KS BANCORP INC 34.0% 3KSBI Financials 48266R20
KVH INDUSTRIES INC 8.2% KVHI Information Technology 48273810
K2M GROUP HOLDINGS INC 1.3% KTWO Health Care 48273J10
K12 INC 29.2% LRN Consumer Discretionary 48273U10
KWG RESOURCES INC 0.1% KWGBF Materials 48277D60
KAANAPALI LAND LLC 28.5% KANP 48282H30
KADANT INC 35.9% KAI Industrials 48282T10
KADMON HOLDINGS INC KDMN Health Care 48283N10
KKR FINANCIAL HOLDINGS LLC 35.0% 9470B Financials 48299P93
KAISER ALUMINUM CORP 6.0% KALU Materials 48300770
KAISER GROUP HOLDINGS INC 3.9% KGHI Industrials 48305910
KAIZEN DISCOVERY INC 0.5% CCNCF Materials 48311A10
1.1% 48343P10
KALOBIOS PHARMACEUTICALS INC 11.9% KBIO 48344T20
KAMAN CORP 35.0% KAMN Industrials 48354810
KANDI TECHNOLOGIES GROUP 35.1% KNDI Consumer Discretionary 48370910
KANSAS CITY LIFE INS CO 34.3% KCLI Financials 48483620
KANSAS CITY POWER & LIGHT CO 32.2% GXP1 Utilities 48513400
KANSAS CITY SOUTHERN 35.2% KSU Industrials 48517030
KAPSTONE PAPER & PACKAGING 35.0% KS Materials 48562P10
KARYOPHARM THERAPEUTICS INC 1.0% KPTI Health Care 48576U10
KATAHDIN BANKSHARES CORP 34.0% KTHN Financials 48583510
KATE SPADE & CO 29.9% KATE Consumer Discretionary 48586510
KATY INDUSTRIES INC 8.0% KT Consumer Staples 48602610
KAYNE ANDERSON ENERGY DEV CO 31.8% KED Financials 48660Q10
KB HOME 26.8% KBH Consumer Discretionary 48666K10
KCAP FINANCIAL INC 35.0% KCAP Financials 48668E10
KEANE GROUP INC 26.0% FRAC Energy 48669A10
KEARNY FINANCIAL CORP 35.0% KRNY Financials 48716P10
KELLOGG CO 35.0% K Consumer Staples 48783610
KELLY SERVICES INC -CL A 34.8% KELYA Industrials 48815220
KELSO TECHNOLOGIES INC 34.0% KIQ Industrials 48826D20
KEMET CORP 36.0% KEM Information Technology 48836020
KEMPER CORP/DE 26.9% KMPR Financials 48840110
KEMPHARM INC 4.9% KMPH Health Care 48844510
KENNAMETAL INC 38.4% KMT Industrials 48917010
KENNEDY-WILSON HOLDINGS INC 35.0% KW 48939810
KENTUCKY BANCSHARES INC 34.0% KTYB Financials 49120310
KENTUCKY FIRST FEDERAL BNCRP 34.3% KFFB Financials 49129210
KENTUCKY POWER 4.0% AEP4 Utilities 49138600
KERR MINES INC 6.8% KERMF Materials 49240520
KERYX BIOPHARMACEUTICALS INC 0.0% KERX Health Care 49251510
KESSELRING HOLDING CORP 25.3% KSSH Industrials 49253610
KEWAUNEE SCIENTIFIC CORP 34.2% KEQU Health Care 49285410
KEWEENAW LAND ASSN LTD 29.2% KEWL Materials 49302610
KEY ENERGY SERVICES INC 7.0% KEG Energy 49309J10
KEY TECHNOLOGY INC 4.6% KTEC Industrials 49314310
KEY TRONIC CORP 38.3% KTCC Information Technology 49314410
KEYCORP 35.1% KEY Financials 49326710
KEYSIGHT TECHNOLOGIES INC 21.7% KEYS Information Technology 49338L10
KEYUAN PETROCHEMICALS INC 34.0% KEYP Materials 49372210
KEYW HOLDING CORP 11.3% KEYW Industrials 49372310
KFORCE INC 35.4% KFRC Industrials 49373210
KID BRANDS INC 22.9% KID Consumer Discretionary 49375T10
KIEWIT ROYALTY TRUST 34.0% KIRY Energy 49393910
KILLBUCK BANCSHARES INC 34.0% KLIB Financials 49411310
KIMBALL INTERNATIONAL -CL B 35.1% KBAL Industrials 49427410
KILROY REALTY CORP 35.0% KRC 49427F10
KIMBALL ELECTRONICS INC 35.2% KE Information Technology 49428J10
KIMBERLY-CLARK CORP 35.0% KMB Consumer Staples 49436810
KIMCO REALTY CORP 35.2% KIM 49446R10
KINDER MORGAN INC 7.2% KMI Energy 49456B10
KINDRED BIOSCIENCES INC 2.2% KIN Health Care 49457710
KINDRED HEALTHCARE INC 35.3% KND Health Care 49458010
KINGOLD JEWELRY INC 34.7% KGJI Consumer Discretionary 49579A20
KINGSLAND ENERGY CORP 0.7% MLIXF Energy 49636T10
KINGSMEN CAPITAL GROUP LTD 13.7% ZNDX Information Technology 49639V10
KINGSTONE COS INC 35.0% KINS Financials 49671910
KINROSS GOLD CORP 19.2% KGC Materials 49690240
KINGSWAY FINANCIAL SVCS INC 2.3% KFS Financials 49690420
KINSALE CAPITAL GROUP INC 35.0% KNSL Financials 49714P10
KIRBY CORP 35.1% KEX Industrials 49726610
KIRKLAND'S INC 20.4% KIRK Consumer Discretionary 49749810
KISH BANCORP INC KISB Financials 49771A10
KITE PHARMA INC 2.1% KITE Health Care 49803L10
KITE REALTY GROUP TRUST 34.4% KRG 49803T30
KIWIBOX COM INC 8.7% KIWB Information Technology 49835F10
KLONDEX MINES LTD 35.0% KLDX Materials 49869610
KNOLL INC 35.0% KNL Industrials 49890420
KNIGHT TRANSPORTATION INC 35.0% KNX 49906410
KNOWLES CORP 27.6% KN Information Technology 49926D10
KOHL'S CORP 35.0% KSS Consumer Discretionary 50025510
KONA GRILL INC 1.0% KONA Consumer Discretionary 50047H20
KONARED CORP 8.3% KRED Consumer Staples 50048Y10
KOPIN CORP 8.2% KOPN Information Technology 50060010
KOPPERS HOLDINGS INC 35.8% KOP Materials 50060P10
KORN/FERRY INTERNATIONAL 35.0% KFY Industrials 50064320
KOSS CORP 37.1% KOSS Consumer Discretionary 50069210
KRAFT HEINZ CO 35.0% KHC Consumer Staples 50075410
KRAIG BIOCRAFT LABORATORIES 0.9% KBLB Materials 50075W10
KRATOS DEFENSE & SECURITY 34.2% KTOS Industrials 50077B20
KRATON CORP 35.0% KRA Materials 50077C10
KROGER CO 35.0% KR Consumer Staples 50104410
KRONOS WORLDWIDE INC 1.1% KRO Materials 50105F10
KULICKE & SOFFA INDUSTRIES 35.7% KLIC Information Technology 50124210
KUSH BOTTLES INC KSHB Industrials 50133410
L BRANDS INC 35.0% LB Consumer Discretionary 50179710
LCNB CORP 38.0% LCNB Financials 50181P10
12.8% 50184T10
LI3 ENERGY INC 10.7% LIEG Materials 50186210
LGL GROUP INC 5.4% LGL Information Technology 50186A10
LHC GROUP INC 35.0% LHCG Health Care 50187A10
LICT CORP 17.1% LICT Telecommunication Services 50187G10
LGI HOMES INC 35.0% LGIH Consumer Discretionary 50187T10
LKA GOLD INC 9.2% LKAI Materials 50188210
LKQ CORP 35.0% LKQ Consumer Discretionary 50188920
LCI INDUSTRIES 35.0% LCII Consumer Discretionary 50189K10
LM FUNDING AMERICA INC 34.3% LMFA Financials 50207410
LMI AEROSPACE INC 35.1% LMIA Industrials 50207910
LPL FINANCIAL HOLDINGS INC 35.0% LPLA Financials 50212V10
LRAD CORP 0.5% LRAD Information Technology 50213V10
LSB INDUSTRIES INC 35.0% LXU Materials 50216010
LSI INDUSTRIES INC 35.2% LYTS Industrials 50216C10
LTC PROPERTIES INC 35.0% LTC 50217510
LSC COMMUNICATIONS INC 35.0% LKSD Industrials 50218P10
L3 TECHNOLOGIES INC 36.6% LLL Industrials 50241310
LA JOLLA PHARMACEUTICAL CO 3.9% LJPC Health Care 50345960
LRI HOLDINGS INC 31.0% 6033B Consumer Discretionary 50399Z93
LA QUINTA HOLDINGS INC 6.1% LQ Consumer Discretionary 50420D10
LA-Z-BOY INC 35.1% LZB Consumer Discretionary 50533610
LABORATORY CP OF AMER HLDGS 35.0% LH Health Care 50540R40
LACLEDE GAS CO 30.7% LG1 Utilities 50558800
LADDER CAPITAL CORP 34.9% LADR Financials 50574310
LADENBURG THALMANN FINL SERV 36.1% LTS Financials 50575Q10
LAKE SHORE BANCORP INC 34.0% LSBK Financials 51070010
LAKELAND BANCORP INC 35.3% LBAI Financials 51163710
LAKELAND FINANCIAL CORP 35.0% LKFN Financials 51165610
LAKELAND INDUSTRIES INC 34.0% LAKE Consumer Discretionary 51179510
LAM RESEARCH CORP 35.0% LRCX Information Technology 51280710
LAMAR ADVERTISING CO -CL A 35.0% LAMR 51281610
LAMAR MEDIA CORP LAMR1 Consumer Discretionary 51299X00
7.0% 51307500
LAMB WESTON HOLDINGS INC LW Consumer Staples 51327210
LANCASTER COLONY CORP 35.0% LANC Consumer Staples 51384710
LAND O'LAKES INC 35.0% 0270B Consumer Staples 51466693
LANDEC CORP 35.0% LNDC Consumer Staples 51476610
LANDAUER INC 12.7% LDR Health Care 51476K10
LANDCADIA HOLDINGS INC LCA 51476W10
LANDMARK BANCORP INC/KS 35.0% LARK Financials 51504L10
LANDMARK INFRAST PRTNS LP 34.0% LMRK 51508J10
LANDSTAR SYSTEM INC 35.0% LSTR Industrials 51509810
LANDS' END INC 35.0% LE Consumer Discretionary 51509F10
LANNETT CO INC 35.0% LCI Health Care 51601210
LANTHEUS HOLDINGS INC 35.0% LNTH Health Care 51654410
LANTRONIX INC 13.0% LTRX Information Technology 51654820
LAPOLLA INDUSTRIES INC 2.2% LPA Materials 51664810
LAREDO PETROLEUM INC 30.5% LPI Energy 51680610
LAREDO OIL INC 1.6% LRDC Energy 51680810
LANTHEUS MEDICAL IMAGING INC 10.5% 5591B Health Care 51699P93
LAS VEGAS SANDS CORP 38.8% LVS Consumer Discretionary 51783410
LASALLE HOTEL PROPERTIES 35.0% LHO 51794210
LASH INC 6.8% CILS Materials 51808010
LATTICE INC 4.2% LTTC Information Technology 51841410
LATTICE SEMICONDUCTOR CORP 23.8% LSCC Information Technology 51841510
LAUDER (ESTEE) COS INC -CL A 35.0% EL Consumer Staples 51843910
LAUREATE EDUCATION INC 20.7% LAUR Consumer Discretionary 51861320
LAURION MINERALS EXPL INC 1.4% LMEFF Materials 51932210
LAWSON PRODUCTS 6.3% LAWS Industrials 52077610
LAYNE CHRISTENSEN CO 15.6% LAYN Industrials 52105010
LEADING BRANDS INC 0.1% LBIX Consumer Staples 52170U20
LEAF GROUP LTD 0.7% LFGR Information Technology 52177G10
LEAR CORP 35.0% LEA Consumer Discretionary 52186520
LEAP TECHNOLOGY INC 11.2% LPTC 52186M10
LEAP THERAPEUTICS INC LPTX Health Care 52187K10
LEARNING TREE INTL INC 2.5% LTRE Consumer Discretionary 52201510
LEATT CORP 34.0% LEAT Health Care 52213220
LEDYARD FINANCIAL GROUP INC LFGP Financials 52333810
LEE ENTERPRISES INC 10.7% LEE Consumer Discretionary 52376810
LEGGETT & PLATT INC 35.4% LEG Consumer Discretionary 52466010
LEGEND INTL HOLDINGS INC 4.3% LGDIQ Materials 52467C10
LEGACY RESERVES LP 8.4% LGCY Energy 52470730
LEGACY TEX FINANCIAL GRP INC 35.0% LTXB Financials 52471Y10
LEGG MASON INC 35.0% LM Financials 52490110
LEIDOS HOLDINGS INC 17.7% LDOS Information Technology 52532710
LEMAITRE VASCULAR INC 38.1% LMAT Health Care 52555820
LENDINGCLUB CORP 35.0% LC Financials 52603A10
LENDINGTREE INC 6.2% TREE Financials 52603B10
LENNAR CORP 35.3% LEN Consumer Discretionary 52605710
LENNOX INTERNATIONAL INC 35.0% LII Industrials 52610710
LEO MOTORS INC 0.9% LEOM Consumer Discretionary 52636210
15.8% 52668110
LESCARDEN INC 9.3% LCAR Health Care 52686710
LEUCADIA NATIONAL CORP 24.8% LUK Financials 52728810
LEVEL 3 COMMUNICATIONS INC 27.6% LVLT Telecommunication Services 52729N30
LEVI STRAUSS & CO 26.4% 6206B Consumer Discretionary 52736R93
LEVON RESOURCES LTD 5.8% LVNVF Materials 52749A10
LEXICON PHARMACEUTICALS INC 0.5% LXRX Health Care 52887230
LEXINGTON REALTY TRUST 35.4% LXP 52904310
LIBBEY INC 35.9% LBY Consumer Discretionary 52989810
LIANDI CLEAN TECHNOLOGY INC 2.6% LNDT Energy 52989W10
LIBERTY BANCORP INC 34.0% LBCP Financials 53017Q10
LIBERTY BELL BANK 3.9% LBBB Financials 53023310
LIBERTY BROADBAND CORP 8.2% LBRDK Consumer Discretionary 53030730
LIBERTY COAL ENERGY CORP 1.0% LBTG Energy 53036210
LIBERTY ENERGY CORP 1.2% LBYE Energy 53045E10
LIBERTY EXPEDIA HOLDINGS INC 35.0% LEXEA Consumer Discretionary 53046P10
LIBERTY INTERACTV CP QVC GRP 35.1% QVCA Consumer Discretionary 53071M10
LIBERTY VENTURES 2.5% LVNTA Consumer Discretionary 53071M85
LIBERTY INTERACTIVE -CONSOL 35.2% LINT.CM Consumer Discretionary 53071M95
LIBERTY GLOBAL PLC -CONSOL 35.0% LBTY.CM 53099L93
LIBERTY PROPERTY TRUST 35.0% LPT 53117210
7.6% 53121P20
LIBERTY MEDIA CORP 3RD NEW 20.7% LSXMA 53122940
LIBERTY STAR URANIUM & METAL 25.9% LBSR Materials 53123T20
LIBERTY TAX INC 33.5% TAX Consumer Discretionary 53128T10
LIBERTY TRIPADVISOR HOLDINGS 29.0% LTRPA Consumer Discretionary 53146510
LIFEAPPS BRANDS INC 0.7% LFAP Consumer Discretionary 53190A20
LIFEWAY FOODS INC 34.0% LWAY Consumer Staples 53191410
LIFEPOINT HEALTH INC 35.0% LPNT Health Care 53219L10
LIGAND PHARMACEUTICAL INC 8.5% LGND Health Care 53220K50
LIFELOC TECHNOLOGIES INC LCTC Information Technology 53220Y20
LIFEVANTAGE CORP 28.8% LFVN Consumer Staples 53222K20
LIFETIME BRANDS INC 35.0% LCUT Consumer Discretionary 53222Q10
LIFE STORAGE INC 35.0% LSI 53223X10
12.8% 53224G30
LIGHTBRIDGE CORP 18.8% LTBR Industrials 53224K20
LIFELOGGER TECHNOLOGIES CORP 1.9% LOGG Information Technology 53224Q20
LIGHTPATH TECHNOLOGIES INC 2.1% LPTH Information Technology 53225780
LIGHTWAVE LOGIC INC 0.0% LWLG Materials 53227510
1.6% 53227U10
LIHUA INTERNATIONAL INC 35.0% LIWA Industrials 53235210
LILIS ENERGY INC 10.7% LLEX Energy 53240320
LILLY (ELI) & CO 35.1% LLY Health Care 53245710
LIMELIGHT NETWORKS INC 6.9% LLNW Information Technology 53261M10
LIME ENERGY CO 24.4% LIME Industrials 53261U40
LIMONEIRA CO 36.3% LMNR Consumer Staples 53274610
LINCOLN EDUCATIONAL SERVICES 23.1% LINC Consumer Discretionary 53353510
LINCOLN ELECTRIC HLDGS INC 35.0% LECO Industrials 53390010
LINCOLN NATIONAL CORP 3.8% LNC Financials 53418710
LINDSAY CORP 35.0% LNN Industrials 53555510
LINEAR TECHNOLOGY CORP 35.0% LLTC Information Technology 53567810
LINGO MEDIA CORP 23.5% LMDCF Consumer Discretionary 53574410
LINNCO LLC 2.0% LNCO Energy 53578210
LIONS GATE ENTERTAINMENT CP 35.4% LGF Consumer Discretionary 53591940
LINN ENERGY INC 0.5% LNGG Energy 53601P30
2.7% 53619R10
LIONBRIDGE TECHNOLOGIES INC 35.0% LIOX Information Technology 53625210
LIPOCINE INC 6.9% LPCN Health Care 53630X10
LIQTECH INTERNATIONAL INC 10.0% LIQT Industrials 53632A10
LIQUIDMETAL TECHNOLOGIES 10.5% LQMTE Materials 53634X10
LIQUIDITY SERVICES INC 6.4% LQDT Information Technology 53635B10
LITHIA MOTORS INC -CL A 35.0% LAD Consumer Discretionary 53679710
LITTELFUSE INC 35.0% LFUS Information Technology 53700810
34.0% 53700P10
LITTLEFIELD CORP 9.6% LTFD Consumer Discretionary 53759010
LIVE NATION ENTERTAINMENT 35.0% LYV Consumer Discretionary 53803410
LIVE OAK BANCSHARES INC 35.8% LOB Financials 53803X10
LIVE VENTURES INC 4.7% LIVE Consumer Discretionary 53814230
LIVEPERSON INC 30.5% LPSN Information Technology 53814610
LIVEWIRE ERGOGENICS INC 1.0% LVVV Consumer Staples 53838A10
18.1% 53839Q20
LIXTE BIOTECHNOLOGY HOLDINGS 12.9% LIXT Health Care 53931910
LOCAL CORP 1.8% LOCM Information Technology 53954W10
LOCATION BASED TECHNOLOGIES 16.7% LBAS Consumer Discretionary 53957310
LOCKHEED MARTIN CORP 35.0% LMT Industrials 53983010
LOEWS CORP 21.0% L Financials 54042410
LOGMEIN INC 35.0% LOGM Information Technology 54142L10
LONCOR RESOURCES INC 4.6% LON Materials 54179W10
LONGBAU GROUP INC LNGB Consumer Discretionary 54289V10
LOOKSMART GROUP INC 17.0% LKST Information Technology 54344C10
LORAL SPACE & COMMUNICATIONS 0.1% LORL Consumer Discretionary 54388110
0.7% 54567A10
LOTUS BIOTECH DEVELOPMENT CP 7.7% LBTD Consumer Discretionary 54570R10
LOUISIANA-PACIFIC CORP 26.0% LPX Materials 54634710
LOWE'S COMPANIES INC 35.0% LOW Consumer Discretionary 54866110
LOXO ONCOLOGY INC 10.3% LOXO Health Care 54886210
LUBYS INC 1.3% LUB Consumer Discretionary 54928210
LUCID INC 11.9% LCDX Health Care 54948Q10
LULULEMON ATHLETICA INC 35.0% LULU Consumer Discretionary 55002110
LUMBER LIQUIDATORS HLDGS INC 35.1% LL Consumer Discretionary 55003T10
LUMENTUM HOLDINGS INC 35.1% LITE Information Technology 55024U10
LUMINEX CORP 3.9% LMNX Health Care 55027E10
LUMOS NETWORKS CORP 34.6% LMOS Telecommunication Services 55028310
LUNA GOLD CORP 3.4% LGCUF Materials 55034460
LUNA INNOVATIONS INC 9.4% LUNA Information Technology 55035110
LUNDIN MINING CORP 22.7% LMC Materials 55037210
LYDALL INC 35.0% LDL Industrials 55081910
LVB ACQUISITION INC 35.0% 9126B Health Care 55099U93
WILLIAM LYON HOMES 21.9% WLH Consumer Discretionary 55207470
LYONS BANCORP INC 35.0% LYBC Financials 55211210
M&F BANCORP INC 1.0% MFBP Financials 55250710
M & T BANK CORP 35.0% MTB Financials 55261F10
MBIA INC 35.0% MBI Financials 55262C10
MB FINANCIAL INC/MD 35.2% MBFI Financials 55264U10
MDC HOLDINGS INC 20.2% MDC Consumer Discretionary 55267610
MDU RESOURCES GROUP INC 34.1% MDU Utilities 55269010
MDC PARTNERS INC 35.6% MDCA Consumer Discretionary 55269710
MFA FINANCIAL INC 35.0% MFA Financials 55272X10
MGC DIAGNOSTICS CORP 1.2% MGCD Health Care 55276810
MCBC HOLDINGS INC 34.9% MCFT Consumer Discretionary 55276F10
MGE ENERGY INC 35.0% MGEE Utilities 55277P10
MAM SOFTWARE GROUP INC 33.4% MAMS Information Technology 55277Q20
3.9% 55278T10
MEI PHARMA INC 0.5% MEIP Health Care 55279B20
MCIG INC 2.6% MCIG Consumer Staples 55279L10
MGIC INVESTMENT CORP/WI 24.1% MTG Financials 55284810
MGM RESORTS INTERNATIONAL 36.7% MGM Consumer Discretionary 55295310
MGT CAPITAL INVESTMENTS INC 0.5% MGT Consumer Discretionary 55302P20
MGM GROWTH PROPERTIES LLC 28.8% MGP 55303A10
MGM HOLDINGS INC 31.6% MGMB Consumer Discretionary 55303C10
MGP INGREDIENTS INC 35.0% MGPI Consumer Staples 55303J10
M/I HOMES INC 19.4% MHO Consumer Discretionary 55305B10
MKS INSTRUMENTS INC 35.0% MKSI Information Technology 55306N10
MMRGLOBAL INC 2.1% MMRF Health Care 55314U20
MMA CAPITAL MGMT LLC 4.5% MMAC Financials 55315D10
MPM HOLDINGS INC 23.0% MPMQ Materials 55336L10
MPLX LP 35.0% MPLX Energy 55336V10
MRC GLOBAL INC 7.8% MRC Industrials 55345K10
MRV COMMUNICATIONS INC 24.2% MRVC Information Technology 55347740
MRI INTERVENTIONS INC 9.8% MRIC Health Care 55347P20
MSA SAFETY INC 35.0% MSA Industrials 55349810
MSB FINANCIAL CORP 5.3% MSBF Financials 55352L10
MSC INDUSTRIAL DIRECT -CL A 35.0% MSM Industrials 55353010
MSCI INC 35.0% MSCI Financials 55354G10
MSG NETWORKS INC 35.0% MSGN Consumer Discretionary 55357310
MTS SYSTEMS CORP 35.0% MTSC Information Technology 55377710
MTGE INVESTMENT CORP 21.9% MTGE Financials 55378A10
MVB FINANCIAL CORP 35.3% MVBF Financials 55381010
MVC CAPITAL INC 30.3% MVC Financials 55382910
MHP S.E 17.1% 6179B Consumer Staples 55399Z91
MYR GROUP INC 35.1% MYRG Industrials 55405W10
M/ACOM TECHNOLOGY SOLUTIONS 9.1% MTSI Information Technology 55405Y10
MABVAX THERAPEUTICS HOLDINGS INC 0.1% MBVX 55414P50
MACATAWA BANK CORP 34.1% MCBC Financials 55422510
MACE SECURITY INTL INC 0.1% MACE Information Technology 55433520
MACERICH CO 35.0% MAC 55438210
MACK-CALI REALTY CORP 35.3% CLI 55448910
MACKINAC FINANCIAL CORP 33.8% MFNC Financials 55457110
MACLOS CAPITAL INC 23.2% LMSMF Health Care 55477Q10
MACQUARIE INFRASTRUCTURE CP 7.5% MIC Industrials 55608B10
MACROGENICS INC 8.5% MGNX Health Care 55609910
MAD CATZ INTERACTIVE INC 12.1% MCZ Consumer Discretionary 55616210
MACY'S INC 35.7% M Consumer Discretionary 55616P10
MADALENA ENERGY INC 0.0% MDLNF Energy 55623110
MADDEN STEVEN LTD 35.0% SHOO Consumer Discretionary 55626910
MADISON COUNTY FINANCIAL INC 34.1% MCBK Financials 55677710
MADISON GAS & ELECTRIC CO 35.0% MGEE1 Utilities 55749700
MADISON SQUARE GARDEN CO 21.2% MSG Consumer Discretionary 55825T10
MAG SILVER CORP 4.6% MAG Materials 55903Q10
MAGELLAN HEALTH INC 37.8% MGLN Health Care 55907920
MAGELLAN MIDSTREAM PRTNRS LP 35.0% MMP Energy 55908010
MAGELLAN PETROLEUM CORP MPET Energy 55909160
MAGIC SOFTWARE ENTERPRISES 28.9% MGIC Information Technology 55916610
MAGNA INTERNATIONAL INC 35.0% MGA Consumer Discretionary 55922240
MAGNA-LAB INC -CL A 28.7% MAGAA 55923540
MAGNACHIP SEMICONDUCTOR CORP 12.1% MX Information Technology 55933J20
0.6% 55939L20
MAGNEGAS CORP MNGA 55939L30
1.9% 55973B60
MAGYAR BANCORP INC 6.2% MGYR Financials 55977T10
MAIN STREET CAPITAL CORP 35.0% MAIN Financials 56035L10
MAINSOURCE FINL GROUP INC 35.0% MSFG Financials 56062Y10
MAJESCO 34.0% MJCO Information Technology 56068V10
MAJOR LEAGUE FOOTBALL INC 1.3% MLFB Consumer Discretionary 56081410
MAJESTIC GOLD CORP 3.8% MJGCF Materials 56091210
MALAGA FINANCIAL CORP 35.0% MLGF Financials 56104610
MALIBU BOATS INC 3.8% MBUU Consumer Discretionary 56117J10
MALVERN BANCORP INC 32.1% MLVF Financials 56140910
MAMAMANCINI'S HOLDINGS INC 10.3% MMMB Consumer Staples 56146T10
MAMMOTH ENERGY SERVICES INC 2.9% TUSK Energy 56155L10
MANHATTAN ASSOCIATES INC 35.0% MANH Information Technology 56275010
MANHATTAN BRIDGE CAPITAL INC 35.6% LOAN Financials 56280310
MANHATTAN SCIENTIFICS INC 10.5% MHTX Health Care 56312210
MANITEX INTERNATIONAL INC 2.5% MNTX Industrials 56342010
MANITOWOC CO INC 14.0% MTW 56357110
MANNATECH INC 7.4% MTEX Consumer Staples 56377120
MANNING & NAPIER INC 35.0% MN Financials 56382Q10
MANNKIND CORP 14.5% MNKD Health Care 56400P70
MANPOWERGROUP 35.0% MAN Industrials 56418H10
MANTECH INTL CORP 24.9% MANT Information Technology 56456310
3.9% 56465610
MANULIFE FINANCIAL CORP 35.8% MFC Financials 56501R10
MARATHON OIL CORP 35.5% MRO Energy 56584910
MARATHON PETROLEUM CORP 28.4% MPC Energy 56585A10
29.5% 56585W20
MARCHEX INC 1.9% MCHX Information Technology 56624R10
MARCUS & MILLICHAP INC 35.0% MMI 56632410
MARCUS CORP 35.0% MCS Consumer Discretionary 56633010
MARINEMAX INC 21.5% HZO Consumer Discretionary 56790810
MARINA BIOTECH INC MRNA 56804Q20
1.7% 56804T10
MARINE PETROLEUM TRUST 33.8% MARPS Energy 56842310
MARINE PRODUCTS CORP 35.2% MPX Consumer Discretionary 56842710
MARINUS PHARMACEUTICALS INC 0.8% MRNS Health Care 56854Q10
MARINA DISTRICT FINANCE CO INC 35.0% 0182A Consumer Discretionary 56899G00
MARKEL CORP 37.1% MKL Financials 57053510
MARKETAXESS HOLDINGS INC 35.0% MKTX Financials 57060D10
MARLIN BUSINESS SERVICES INC 35.0% MRLN Financials 57115710
MARRIOTT VACATIONS WORLDWIDE 10.9% VAC Consumer Discretionary 57164Y10
MARRONE BIO INNOVTIONS 2.4% MBII Materials 57165B10
MARSH & MCLENNAN COS 35.0% MMC Financials 57174810
MARRIOTT INTL INC 35.0% MAR Consumer Discretionary 57190320
MARTEN TRANSPORT LTD 39.1% MRTN Industrials 57307510
MARTIN MARIETTA MATERIALS 35.0% MLM Materials 57328410
MARTIN MIDSTREAM PARTNERS LP 35.0% MMLP Energy 57333110
MASCO CORP 34.9% MAS Industrials 57459910
MASIMO CORP 35.0% MASI Health Care 57479510
MASON GRAPHITE INC 13.0% MGPHF Materials 57520W10
MASONITE INTERNATIONAL CORP 35.1% DOOR Industrials 57538510
MASS MEGAWATTS WIND POWER 2.6% MMMW Industrials 57541610
MASSIVE INTERACTIVE INC 32.9% HUGE Information Technology 57628T10
MAST THERAPEUTICS 0.1% MSTX Health Care 57631410
MASTEC INC 35.4% MTZ Industrials 57632310
MASTECH DIGITAL INC 34.0% MHH Industrials 57633B10
MASTERCARD INC 35.2% MA Information Technology 57636Q10
MATADOR RESOURCES CO 6.6% MTDR Energy 57648520
MATCH GROUP INC 35.0% MTCH Information Technology 57665R10
MATEON THERAPEUTICS INC 0.8% MATN Health Care 57667K10
MATERION CORP 35.4% MTRN Materials 57669010
MATINAS BIOPHARMA HLDGS INC MTNB Health Care 57681010
MATRIX SERVICE CO 35.0% MTRX Energy 57685310
MATSON INC 18.9% MATX Industrials 57686G10
MATTEL INC 35.0% MAT Consumer Discretionary 57708110
MATTERSIGHT CORP 20.0% MATR Information Technology 57709710
MATTHEWS INTL CORP -CL A 35.0% MATW Industrials 57712810
MAUI LAND & PINEAPPLE CO 14.3% MLP 57734510
MAVERICK MINERALS CORP 14.7% MVRM Energy 57770730
MAXIM INTEGRATED PRODUCTS 15.5% MXIM Information Technology 57772K10
MAXWELL TECHNOLOGIES INC 6.3% MXWL Information Technology 57776710
MAXLINEAR INC 35.0% MXL Information Technology 57776J10
MAX SOUND CORP 2.4% MAXD Information Technology 57776X10
MAXPOINT INTERACTIVE INC 0.1% MXPT Information Technology 57777M20
MAXIMUS INC 35.1% MMS Information Technology 57793310
MAYS (J.W.) INC 9.9% MAYS 57847310
MBT FINANCIAL CORP 36.3% MBTF Financials 57887710
MCCLATCHY CO -CL A 24.0% MNI Consumer Discretionary 57948930
MCCORMICK & CO INC 35.0% MKC Consumer Staples 57978020
MCDERMOTT INTL INC 8.2% MDR Energy 58003710
MCDONALD'S CORP 35.0% MCD Consumer Discretionary 58013510
MCEWEN MINING INC 15.6% MUX Materials 58039P10
MCGRATH RENTCORP 35.0% MGRC Industrials 58058910
MCKESSON CORP 35.0% MCK Health Care 58155Q10
MCRAE INDUSTRIES -CL A 34.8% MRIA Consumer Discretionary 58275720
MEAD JOHNSON NUTRITION CO 35.0% MJN Consumer Staples 58283910
MECHANICAL TECHNOLOGY INC 1.8% MKTY Information Technology 58353820
MECHANICS BANK/CA 35.2% MCHB Financials 58361410
MEDALLION FINANCIAL CORP 36.3% MFIN Financials 58392810
MECKLERMEDIA CORP 0.1% MECK Consumer Discretionary 58400W10
24.7% 58402B10
MEDAMERICA PROPERTIES INC MAMP Industrials 58404M10
MEDICAL MARIJUANA INC 0.8% MJNA Health Care 58463A10
MEDICAL PROPERTIES TRUST 35.0% MPW 58463J30
MEDICAL TRANSCRIPTION BILLNG 0.1% MTBC Health Care 58464J10
MEDICINES CO 0.8% MDCO Health Care 58468810
MEDICINOVA INC 24.8% MNOV Health Care 58468P20
MEDICURE INC 13.8% MCUJF Health Care 58469E40
MEDIFAST INC 35.0% MED Consumer Staples 58470H10
MEDIDATA SOLUTIONS INC 7.1% MDSO Health Care 58471A10
MEDINAH MINERALS INC 38.6% MDMN Materials 58489M10
MEDIACOM LLC 35.0% MCCC1 Consumer Discretionary 58498X00
MEDIACOM BROADBAND LLC 35.0% MCCC2 Consumer Discretionary 58499S00
MEDIZONE INTL INC 1.5% MZEI Health Care 58501310
MEDNAX INC 35.0% MD Health Care 58502B10
MEDITE CANCER DIAGNOSTICS 16.7% MDIT Health Care 58503D20
MEDLEY CAPITAL CORP 1.9% MCC Financials 58503F10
MEDLEY MANAGEMENT INC 34.6% MDLY Financials 58503T10
MEDOVEX CORP MDVX Health Care 58504H10
MEDPACE HOLDINGS INC 35.0% MEDP Health Care 58506Q10
THE MEET GROUP INC MEET Information Technology 58513U10
22.0% 58514110
MELROSE BANCORP INC 34.3% MELR Financials 58555310
MEMORIAL PRODUCTION PARTNERS L P 15.2% MEMP 58604810
MENDOCINO BREWING CO INC 1.1% MENB Consumer Staples 58657910
MENTOR GRAPHICS CORP 35.8% MENT Information Technology 58720010
MERCADOLIBRE INC 35.0% MELI Information Technology 58733R10
MERCANTILE BANK CORP 35.0% MBWM Financials 58737610
MERCER INTL INC 10.5% MERC Materials 58805610
MERCHANTS BANCSHARES INC/VT 38.0% MBVT Financials 58844810
MERCK & CO 35.0% MRK Health Care 58933Y10
MERCURY SYSTEMS INC 4.9% MRCY Industrials 58937810
MERCURY GENERAL CORP 34.6% MCY Financials 58940010
MEREDITH CORP 35.3% MDP Consumer Discretionary 58943310
MERIDIAN BIOSCIENCE INC 35.0% VIVO Health Care 58958410
MERIDIAN BANCORP INC (MD) 35.0% EBSB Financials 58958U10
MERIT MEDICAL SYSTEMS INC 35.0% MMSI Health Care 58988910
MERITAGE HOSPITALITY GROUP 35.1% MHGU Consumer Discretionary 59000K30
MERITAGE HOMES CORP 21.5% MTH Consumer Discretionary 59001A10
MERITOR INC 35.3% MTOR Industrials 59001K10
0.7% 59032810
MERRIMAN HOLDINGS INC 17.6% MERR Financials 59041920
MERUS LABS INTERNATIONAL INC 5.7% MSLI Health Care 59047R10
MESA LABORATORIES INC 35.0% MLAB Information Technology 59064R10
MESA ROYALTY TRUST 23.1% MTR Energy 59066010
MESABI TRUST 3.8% MSB Materials 59067210
META FINANCIAL GROUP INC 35.0% CASH Financials 59100U10
METAIRIE BANK & TRUST CO 34.1% MBKL Financials 59104410
METALDYNE PERFORMANCE GROUP 34.9% MPG Consumer Discretionary 59116R10
13.9% 59138Q10
METASTAT INC 0.1% MTST Health Care 59140A20
METHES ENERGIES INTL LTD 3.3% MEIL Energy 59151710
METHANEX CORP 31.8% MEOH Materials 59151K10
METHODE ELECTRONICS INC 35.4% MEI Information Technology 59152020
METLIFE INC 6.9% MET Financials 59156R10
METROPOLITAN EDISON 7.5% GPU1 Utilities 59189400
BRIGHTHOUSE LIFE INSURNCE CO 31.1% MET2 Financials 59199A00
METTLER-TOLEDO INTL INC 35.0% MTD Health Care 59268810
MEXCO ENERGY CORP 25.3% MXC Energy 59277010
METROPOLITAN LIFE INSURANCE MET1 Financials 59299A00
MEXUS GOLD US MXSG Materials 59305710
MICHAELS COS INC 35.0% MIK Consumer Discretionary 59408Q10
MICHAEL JAMES ENTERPRISES 15.7% MJTV Consumer Staples 59408R10
MICHIGAN CONSOLIDATED GAS CO 4.7% MCN1 Utilities 59445700
MICRO IMAGING TECHNOLOGY INC 0.6% MMTC Industrials 59484E20
MICROSOFT CORP 35.0% MSFT Information Technology 59491810
MICROVISION INC 1.6% MVIS Information Technology 59496030
MICROSTRATEGY INC 35.1% MSTR Information Technology 59497240
MICROCHIP TECHNOLOGY INC 35.0% MCHP Information Technology 59501710
MICROMEM TECHNOLOGIES INC 7.3% MMTIF Information Technology 59509P10
MICRON TECHNOLOGY INC 19.5% MU Information Technology 59511210
MICRONET ENERTEC TECH INC 34.2% MICT Industrials 59511710
MICRON SOLUTIONS INC 16.1% MICR Health Care 59511X10
MICROPAC INDUSTRIES INC 19.1% MPAD Information Technology 59513510
MICROSEMI CORP 10.7% MSCC Information Technology 59513710
MICROWAVE FILTER CO INC 1.9% MFCO Information Technology 59517610
MID-AMERICA APT CMNTYS INC 35.0% MAA 59522J10
MID PENN BANCORP INC 34.6% MPB Financials 59540G10
MID-CON ENERGY PARTNERS -LP 1.7% MCEP Energy 59560V10
MIDAMERICAN ENERGY CO 3.1% MEC1 Utilities 59562000
MIDCOAST ENERGY PARTNERS LP 12.5% MEP Energy 59564N10
PACIFICORP 36.0% MEC2 Utilities 59598X00
MIDDLEBURG FINANCIAL CORP 35.3% MBRG Financials 59609410
MIDDLEBY CORP 35.0% MIDD Industrials 59627810
MIDDLEFIELD BANC CORP 34.0% MBCN Financials 59630420
MIDDLESEX WATER CO 38.4% MSEX Utilities 59668010
MIDLAND STATES BANCORP 35.0% MSBI Financials 59774210
MIDSOUTH BANCORP INC 38.0% MSL Financials 59803910
MIDSTATES PETROLEUM CO INC 3.2% MPO Energy 59804T40
MIDWAY GOLD CORP 14.0% MDW Materials 59815310
MIDWEST ENERGY EMISSIONS CP 2.0% MEEC Industrials 59833H10
MIDWESTONE FINANCIAL GROUP 35.0% MOFG Financials 59851110
MIKROS SYSTEMS CORP 34.0% MKRS Industrials 59862630
MILACRON HOLDINGS CORP 35.0% MCRN Industrials 59870L10
MILESTONE SCIENTIFIC INC 3.7% MLSS Health Care 59935P20
MILLENNIUM HEALTHCARE INC 0.1% MHCC Health Care 60040L10
MILLER ENERGY RESOURCES INC 4.8% MILL Energy 60052710
MILLER (HERMAN) INC 36.0% MLHR Industrials 60054410
MILLER INDUSTRIES INC 3.3% MLND 60054820
MILLER INDUSTRIES INC/TN 34.7% MLR Industrials 60055120
MIMEDX GROUP INC 35.0% MDXG Health Care 60249610
MINCO GOLD CORP 13.9% MGH Financials 60254D10
MINDEN BANCORP INC 34.0% MDNB Financials 60255R10
MINDBODY INC 1.4% MB Information Technology 60255W10
MINERALS TECHNOLOGIES INC 35.0% MTX Materials 60315810
MINERCO INC 3.4% MINE Consumer Staples 60317110
MINERVA NEUROSCIENCES INC 4.4% NERV Health Care 60338010
MIRATI THERAPEUTICS INC 0.1% MRTX Health Care 60468T10
MIRNA THERAPEUTICS INC 0.0% MIRN Health Care 60470J10
MISONIX INC 27.8% MSON Health Care 60487110
MISSION BANCORP/CA MSBC Financials 60501510
MISSISSIPPI POWER CO 34.2% SO4 Utilities 60599X00
MISTRAS GROUP INC 35.0% MG Industrials 60649T10
MITCHAM INDUSTRIES INC 9.0% MIND Energy 60650110
MITEK SYSTEMS INC 19.7% MITK Information Technology 60671020
MITEL NETWORKS CORP 36.8% MITL Information Technology 60671Q10
MIX 1 LIFE INC 0.6% MIXX Consumer Staples 60688W20
15.7% 60705010
MOBETIZE CORP MPAY Information Technology 60705040
MOBI724 GLOBAL SOLUTIONS INC 7.7% MOBIF Information Technology 60705U10
NSTAR ELECTRIC CO 35.7% NST1 Utilities 60721C00
MOBILEIRON INC 1.3% MOBL Information Technology 60739U20
MOBILE MINI INC 35.9% MINI Industrials 60740F10
MOBILEBITS HOLDINGS CORP 1.6% MBIT Information Technology 60743A10
MOBIVITY HOLDINGS CORP 2.7% MFON Information Technology 60743E20
MOBIQUITY TECHNOLOGIES INC 6.3% MOBQ Consumer Discretionary 60743F10
MOBILESMITH INC 0.0% MOST Information Technology 60743J10
MOCON INC 34.0% MOCO Information Technology 60749410
MODEL N INC 1.1% MODN Information Technology 60752510
MODERN MEDIA ACQ CORP MMDM 60765P10
MODERN MOBILITY AIDS INC 18.8% MDRM Health Care 60767410
MODINE MANUFACTURING CO 33.7% MOD Consumer Discretionary 60782810
MODUSLINK GLOBAL SOLUTIONS INC 2.4% MLNK 60786L20
MOELIS & CO 35.0% MC Financials 60786M10
MOHAWK INDUSTRIES INC 35.0% MHK Consumer Discretionary 60819010
MOHEGAN TRIBAL GAMING AUTH 36.2% 9807B Consumer Discretionary 60832893
MOJO ORGANICS INC 13.7% MOJO Consumer Staples 60841T20
MOLINA HEALTHCARE INC 35.0% MOH Health Care 60855R10
MOLSON COORS CDA INC MXGBF Consumer Staples 60871120
MOLSON COORS BREWING CO 8.7% TAP Consumer Staples 60871R20
MOMENTA PHARMACEUTICALS INC 10.1% MNTA Health Care 60877T10
HEXION INC 19.9% 0141A Materials 60899Z00
11.3% 60901110
MONAR INTERNATIONAL INC 2.2% MNAI Consumer Discretionary 60901310
MONARCH CASINO & RESORT INC 35.0% MCRI Consumer Discretionary 60902710
MONARCH CEMENT CO 35.0% MCEM Materials 60903130
MONDELEZ INTERNATIONAL INC 36.3% MDLZ Consumer Staples 60920710
MONEYGRAM INTERNATIONAL INC 13.1% MGI Information Technology 60935Y20
MONGOLIA GROWTH GROUP LTD 0.1% MNGGF 60936L10
MONEYONMOBILE INC 7.6% MOMT Information Technology 60937K10
MONMOUTH RE INVESTMENT CP 35.0% MNR 60972010
MONOGRAM RESIDENTIAL TRUST 34.9% MORE 60979P10
MONOLITHIC POWER SYSTEMS INC 35.0% MPWR Information Technology 60983910
MONOTYPE IMAGING HOLDINGS 35.8% TYPE Information Technology 61022P10
MONRO INC 35.0% MNRO Consumer Discretionary 61023610
MONROE CAPITAL CORP 35.0% MRCC Financials 61033510
MONSANTO CO 35.4% MON Materials 61166W10
MONSTER ARTS 17.1% APPZ Information Technology 61173R20
MONSTER DIGITAL INC MSDI 61174L50
MONSTER BEVERAGE CORP 35.0% MNST Consumer Staples 61174X10
MONONGAHELA POWER 4.3% AYE1 Utilities 61199D00
MOODY'S CORP 35.0% MCO Financials 61536910
MOOG INC -CL A 35.0% MOGA Industrials 61539420
MOPALS.COM INC 0.4% PALS Information Technology 61634P10
MORGAN GROUP HOLDING CO 5.7% MGHL 61735R10
MORGAN STANLEY 29.4% MS Financials 61744644
MORNINGSTAR INC 35.0% MORN Financials 61770010
MOSAIC CO 35.0% MOS Materials 61945C10
MOSYS INC 9.1% MOSY Information Technology 61971820
MOTORCAR PARTS OF AMER INC 37.3% MPAA Consumer Discretionary 62007110
MOTOROLA SOLUTIONS INC 31.6% MSI Information Technology 62007630
MUFG AMERICAS HOLDINGS CORP 35.0% 0176A Financials 62299A00
MOUNTAIN PROVINCE DIAMONDS 0.0% MPVD Materials 62426E40
MOUNTAINVIEW ENERGY LTD 0.8% MNVWF Energy 62454R10
MOVADO GROUP INC 35.0% MOV Consumer Discretionary 62458010
MOXIAN INC 0.0% MOXC Information Technology 62469720
MPHASE TECHNOLOGIES INC 18.0% XDSL Industrials 62472C10
MUELLER INDUSTRIES 37.3% MLI Industrials 62475610
MUELLER WATER PRODUCTS INC 35.0% MWA Industrials 62475810
MULTI-COLOR CORP 35.0% LABL Industrials 62538310
MULTICELL TECHNOLOGIES INC 5.5% MCET Health Care 62544S20
MUNCY BANK FINANCIAL INC 34.0% MYBF Financials 62600N10
MURPHY OIL CORP 1.8% MUR Energy 62671710
MURPHY USA INC 35.0% MUSA Consumer Discretionary 62675510
MUSCLEPHARM CORP 0.3% MSLP Consumer Staples 62733520
MY SIZE INC MYSZ Information Technology 62844N10
MUTUALFIRST FINANCIAL INC 38.0% MFSF Financials 62845B10
MYERS INDUSTRIES INC 35.1% MYE Materials 62846410
MYRIAD GENETICS INC 35.0% MYGN Health Care 62855J10
MYMETICS CORP 1.7% MYMX Health Care 62856A10
MYREXIS INC 23.4% MYRX Health Care 62856H10
MYOKARDIA INC 3.0% MYOK Health Care 62857M10
MYND ANALYTICS INC 4.2% MYND Health Care 62857N20
MYOS RENS TECHNOLOGY INC 0.1% MYOS Consumer Staples 62857P10
N B T BANCORP INC 35.0% NBTB Financials 62877810
NCI BUILDING SYSTEMS INC 35.2% NCS Industrials 62885220
NCR CORP 36.1% NCR Information Technology 62886E10
NCI INC 7.5% NCIT Information Technology 62886K10
NASB FINANCIAL INC 36.0% NASB Financials 62896810
MYCELX TECHNOLOGIES CORP 2.0% 5912B Industrials 62899A93
NBCUNIVERSAL MEDIA LLC 35.0% CMCSA2 Consumer Discretionary 62899V00
NF ENERGY SAVING CORP 14.0% NFEC Industrials 62909930
NII HOLDINGS INC 9.4% NIHD Telecommunication Services 62913F50
NGL ENERGY PARTNERS LP 35.3% NGL Energy 62913M10
NIC INC 35.0% EGOV Information Technology 62914B10
NL INDUSTRIES 34.5% NL Industrials 62915640
NMI HOLDINGS INC 35.0% NMIH Financials 62920930
NN INC 38.4% NNBR Industrials 62933710
NPC RESTAURANT HOLDINGS LLC 35.1% 0738B Consumer Discretionary 62936093
NRG ENERGY INC 24.8% NRG Utilities 62937750
NTN BUZZTIME INC 6.8% NTN Consumer Discretionary 62941060
N R G YIELD INC 35.0% NYLDA 62942X30
NVE CORP 38.0% NVEC Information Technology 62944520
NVR INC 36.0% NVR Consumer Discretionary 62944T10
N-VIRO INTERNATIONAL CORP 0.6% NVIC Industrials 62944W20
NV5 GLOBAL INC 35.0% NVEE Industrials 62945V10
NXCHAIN INC 0.1% NXCN Information Technology 62947110
NXT ENERGY SOLUTIONS INC 31.8% NSFDF Energy 62948Q10
NZCH CORP 5.9% ZPCM 62954C10
NACCO INDUSTRIES -CL A 34.8% NC Energy 62957910
NAKED BRAND GROUP INC 4.3% NAKD Consumer Discretionary 62983920
NANOMETRICS INC 8.1% NANO Information Technology 63007710
NANOPHASE TECHNOLOGIES CORP 9.2% NANX Materials 63007910
NANOVIRICIDES INC 2.8% NNVC Health Care 63008720
NANOVIBRONIX INC 0.2% NAOV Health Care 63008J10
NANO LABS CORP 0.0% CTLE Materials 63009Q10
NANOSTRING TECHNOLOGIES INC 1.4% NSTG Health Care 63009R10
NANOFLEX POWER CORP OPVS Information Technology 63009W10
NANTHEALTH INC NH Health Care 63010410
NANO MOBILE HEALTHCARE 7.4% VNTH Health Care 63010B20
NANTKWEST INC 11.7% NK Health Care 63016Q10
NAPCO SECURITY TECH INC 33.9% NSSC Information Technology 63040210
NASDAQ INC 35.0% NDAQ Financials 63110310
NATERA INC 1.1% NTRA Health Care 63230710
NATHAN'S FAMOUS INC 35.0% NATH Consumer Discretionary 63234710
NATIONAL AMERN UNIV HLDG INC 35.2% NAUH Consumer Discretionary 63245Q10
NATIONAL BANK HLDGS CORP 34.3% NBHC Financials 63370710
NATIONAL BANKSHARES INC VA 35.0% NKSH Financials 63486510
NATIONAL BEVERAGE CORP 35.0% FIZZ Consumer Staples 63501710
NATIONAL CAPITAL BANK/WA NACB Financials 63516210
NATIONAL CINEMEDIA LLC 35.2% NCMI1 Consumer Discretionary 63530900
NATIONAL CINEMEDIA INC 38.0% NCMI Consumer Discretionary 63530910
NATIONAL COMMERCE CORP 35.0% NCOM Financials 63546L10
NATIONAL HEALTHCARE CORP 35.2% NHC Health Care 63590610
NATIONAL FUEL GAS CO 36.5% NFG Utilities 63618010
NATIONAL GENERAL HOLDINGS CP 35.0% NGHC Financials 63622030
NATIONAL GRAPHITE CORP 0.3% NGRC Health Care 63626820
NATIONAL HEALTH INVESTORS 35.0% NHI 63633D10
NATIONAL HOLDINGS CORP 35.0% NHLD Financials 63637520
NATIONAL INSTRUMENTS CORP 37.7% NATI Information Technology 63651810
NATIONAL OILWELL VARCO INC 27.0% NOV Energy 63707110
NATIONAL PRESTO INDS INC 35.8% NPK Industrials 63721510
NATIONAL RESEARCH CORP 35.0% NRCIA Health Care 63737220
NATIONAL RETAIL PROPERTIES 35.0% NNN 63741710
NATIONAL SEC GROUP INC 34.2% NSEC Financials 63754610
NATIONAL STORAGE AFFILIATES 35.0% NSA 63787010
NATIONAL RURAL UTIL COOP CP 7.7% 7252B Financials 63799Q93
NATIONAL WESTERN LIFE GROUP 35.0% NWLI Financials 63851710
NATIONSTAR MORTGAGE HOLDINGS 35.0% NSM Financials 63861C10
NATURAL ALTERNATIVES 35.9% NAII Consumer Staples 63884230
NATURAL GAS SERVICES GROUP 38.0% NGS Energy 63886Q10
NATURAL HEALTH TRENDS CORP 35.0% NHTC Consumer Staples 63888P40
NATURAL GROCERS VITAMIN CTGE 3.7% NGVC Consumer Staples 63888U10
NAVIGATORS GROUP INC 35.0% NAVG Financials 63890410
NATIONAL MENTOR HOLDINGS INC 36.4% 0126A Health Care 63899U00
NATURAL RESOURCE PARTNERS LP 28.7% NRP Energy 63900P60
NATURES SUNSHINE PRODS INC 27.1% NATR Consumer Staples 63902710
NATURALSHRIMP INC 1.3% SHMP Consumer Staples 63902N10
NATUS MEDICAL INC 35.0% BABY Health Care 63905010
NAUTILUS INC 32.4% NLS Consumer Discretionary 63910B10
NAVISTAR INTERNATIONAL CORP 10.5% NAV Industrials 63934E10
NAVIGANT CONSULTING INC 36.8% NCI Industrials 63935N10
NAVIDEA BIOPHARMACEUTICALS 0.3% NAVB Health Care 63937X10
NAVIENT CORP 35.4% NAVI Financials 63938C10
NEAH POWER SYSTEMS INC 6.3% NPWZ Industrials 63948P20
NEBRASKA BOOK HLDGS INC 13.0% NEEB Consumer Discretionary 63957L10
NAVISTAR INTL-PRE FASB 30.1% NAV.F Industrials 63999R93
NEENAH PAPER INC 12.2% NP Materials 64007910
NEFF CORP 35.0% NEFF Industrials 64009420
NEFFS BANCORP INC/PA NEFB Financials 64009810
NEIMAN MARCUS GROUP INC 35.0% 1641B Consumer Discretionary 64020493
NEKTAR THERAPEUTICS 1.8% NKTR Health Care 64026810
NELNET INC 35.0% NNI Financials 64031N10
NEMAURA MEDICAL INC 0.4% NMRD Health Care 64044210
NEOGEN CORP 35.0% NEOG Health Care 64049110
NEOGENOMICS INC 34.0% NEO Health Care 64049M20
NEOMEDIA TECHNOLOGIES INC 0.0% NEOM Information Technology 64050540
NEONODE INC 27.1% NEON Information Technology 64051M40
NEOPHOTONICS CORP 26.9% NPTN Information Technology 64051T10
NEOS THERAPEUTICS INC 1.2% NEOS Health Care 64052L10
NEOVASC INC 0.6% NVCN Health Care 64065J10
NEPHROGENEX INC 0.0% NRX Health Care 64066710
NEOTHETICS INC 0.4% NEOT Health Care 64066G10
NEPHROS INC 12.8% NEPH Health Care 64067130
NEPTUNE TECH & BIORESSOURCES 2.0% NEPT Consumer Staples 64077P10
NET 1 UEPS TECHNOLOGIES INC 35.0% UEPS Information Technology 64107N20
NETAPP INC 35.0% NTAP Information Technology 64110D10
NETFLIX INC 20.0% NFLX Consumer Discretionary 64110L10
NETGEAR INC 35.0% NTGR Information Technology 64111Q10
1.5% 64111R20
NET MEDICAL XPRESS SOLUTIONS 3.7% NMXS Health Care 64111U20
NETSOL TECHNOLOGIES INC 2.6% NTWK Information Technology 64115A40
NETSCOUT SYSTEMS INC 35.0% NTCT Information Technology 64115T10
NETLIST INC 7.8% NLST Information Technology 64118P10
NETWORK-1 TECHNOLOGIES INC 3.5% NTIP Information Technology 64121N10
0.2% 64125550
NEUROMETRIX INC NURO Health Care 64125570
NEUROCRINE BIOSCIENCES INC 0.8% NBIX Health Care 64125C10
NEVADA GOLD & CASINOS INC 26.0% UWN Consumer Discretionary 64126Q20
NEUSTAR INC 35.0% NSR Information Technology 64126X20
NEURALSTEM INC 7.8% CUR Health Care 64127R40
NEULION INC NEUL Consumer Discretionary 64128J10
NETWORK MEDIA GROUP INC 23.3% NMGGF Consumer Discretionary 64128U10
NEUROTROPE INC 0.0% NTRP Health Care 64129T20
NEVADA POWER CO 37.8% SRP2 Utilities 64142300
NEVSUN RESOURCES LTD 6.1% NSU Materials 64156L10
NEVRO CORP 2.0% NVRO Health Care 64157F10
NEW AGE METALS INC 13.1% PAWEF Materials 64157G10
NEW CONCEPT ENERGY INC 0.8% GBR Energy 64361110
NEW ENGLAND REALTY ASSC -LP 35.0% NEN 64420610
NEW GOLD INC 20.4% NGD Materials 64453510
NEW HOME COMPANY INC 35.0% NWHM Consumer Discretionary 64537010
NEW JERSEY MINING CO 3.2% NJMC Materials 64582710
NEW JERSEY RESOURCES CORP 36.0% NJR Utilities 64602510
NEW MEDIA INSIGHT GROUP INC 0.1% NMED Information Technology 64704U30
NEW MEDIA INVESTMENT GROUP 35.0% NEWM Consumer Discretionary 64704V10
NEW MOUNTAIN FINANCE CORP 35.4% NMFC Financials 64755110
NEW PEOPLES BANKSHARES INC 28.0% NWPP Financials 64801P10
NEW RESIDENTIAL INV CP 35.0% NRZ Financials 64828T20
NEW RELIC INC 0.0% NEWR Information Technology 64829B10
NEW SENIOR INVESTMENT GROUP 1.6% SNR 64869110
NEW SOURCE ENERGY PRTRS LP 32.8% NSLP Energy 64881E10
NEW ULM TELECOM INC 35.4% NULM Telecommunication Services 64906010
NEW WESTERN ENERGY CORP 9.0% NWTR Energy 64917210
NEW YORK & CO INC 38.2% NWY Consumer Discretionary 64929510
NEW YORK CMNTY BANCORP INC 35.3% NYCB Financials 64944510
NEW YORK LIFE INSURANCE 35.0% 9845B Financials 64952G93
NEW YORK MORTGAGE TRUST INC 33.4% NYMT Financials 64960450
NEW YORK REIT INC 4.6% NYRT 64976L10
NEW YORK ST ELEC & GAS CORP 35.1% EAS2 Utilities 64984000
NEW YORK TIMES CO -CL A 35.0% NYT Consumer Discretionary 65011110
NEWELL BRANDS INC 35.0% NWL Consumer Discretionary 65122910
NEWFIELD EXPLORATION CO 2.1% NFX Energy 65129010
NEWLINK GENETICS CORP 18.6% NLNK Health Care 65151110
NEWMARKET CORP 35.0% NEU Materials 65158710
NEWMONT MINING CORP 0.8% NEM Materials 65163910
NEWPARK RESOURCES 36.6% NR Energy 65171850
NEWPAGE CORP 22.2% 2121A Materials 65199A00
NEWS CORP 26.0% NWSA Consumer Discretionary 65249B10
NEWSTAR FINANCIAL INC 35.3% NEWS Financials 65251F10
NEWTEK BUSINESS SERVICES CP 35.0% NEWT Financials 65252620
NEXSTAR MEDIA GROUP 8.0% NXST Consumer Discretionary 65336K10
NEXT FUEL INC 4.9% NXFI Industrials 65339A10
NEXTERA ENERGY INC 35.2% NEE Utilities 65339F10
NEXT GENERATION MGMT CORP 10.1% NGMC Consumer Staples 65340V10
NEXTERA ENERGY PARTNERS LP 35.0% NEP Utilities 65341B10
NEXPOINT RESIDENTIAL TR INC 26.0% NXRT 65341D10
NHALE INC 1.8% NHLE Consumer Staples 65341J10
NEXEO SOLUTIONS INC 34.9% NXEO Industrials 65342H10
NI HOLDINGS INC NODK Financials 65342T10
65342W10
NICHOLAS FINANCIAL INC 35.0% NICK Financials 65373J20
NICOLET BANKSHARES INC 35.0% NCBS Financials 65406E10
NIKE INC 35.0% NKE Consumer Discretionary 65410610
NIMBLE STORAGE INC 0.1% NMBL Information Technology 65440R10
NISOURCE INC 12.4% NI Utilities 65473P10
NITINAT MINERALS CORP 14.3% NITMF Materials 65477B40
NIVALIS THERAPEUTICS INC 2.3% NVLS Health Care 65481J10
NOBILITY HOMES INC 1.8% NOBH Consumer Discretionary 65489210
NOBILIS HEALTH CORP 22.7% HLTH Health Care 65500B10
NOBLE ENERGY INC 36.2% NBL Energy 65504410
NOBLE MIDSTREAM PARTNERS LP 30.2% NBLX Energy 65506L10
NOBLE ROMANS INC 29.8% NROME Consumer Discretionary 65510710
NOCOPI TECHNOLOGIES INC 3.1% NNUP Materials 65521220
NON INVASIVE MONITOR 1.7% NIMU Health Care 65536650
NOODLES & CO 35.0% NDLS Consumer Discretionary 65540B10
NORANDA ALUMINUM HOLDING CP 35.1% NOR Materials 65542W20
NORBORD INC 36.4% OSB Materials 65548P40
NORDSON CORP 35.0% NDSN Industrials 65566310
NORDSTROM INC 35.0% JWN Consumer Discretionary 65566410
NORFOLK SOUTHERN CORP 35.0% NSC Industrials 65584410
NORSAT INTL INC 34.1% NSAT Information Technology 65651220
NORTECH SYSTEMS INC 13.8% NSYS Information Technology 65655310
NORTH AMERICAN ENERGY PRTNRS 33.1% NOA Energy 65684410
NORTH AMERICAN NICKEL INC 0.1% WSCRF Materials 65704T10
NORTH AMERICAN OIL & GAS CP 2.7% NAMG Energy 65704V20
NORTH AMERICAN PALLADIUM 14.6% PALDF Materials 65704X10
NORTH EUROPEAN OIL RTY TR 34.0% NRT Energy 65931010
NORTH SHORE GAS CO 33.9% PGL2 Utilities 66232500
NORTHEAST BANCORP/ME 35.0% NBN Financials 66390420
NORTHEAST COMMUNITY BANCORP 32.4% NECB Financials 66411210
NORTHEAST INDIANA BANCORP 34.7% NIDB Financials 66419620
NORTHERN DYNASTY MINERAL LTD 2.4% NAK Materials 66510M20
25.9% 66511610
NORTHERN MINERALS & EXPL LTD 1.7% NMEX Materials 66541610
NORTHERN OIL & GAS INC 14.4% NOG Energy 66553110
NORTHERN STATES FINANCIAL CP 3.8% NSFC Financials 66575110
NORTHERN STATES POWER CO /MN 36.5% XEL2 Utilities 66577200
NORTHERN STATES POWER/WI 28.3% XEL1 Utilities 66578900
NORTHERN TECH INTL 3.2% NTIC Materials 66580910
NORTHERN TRUST CORP 35.0% NTRS Financials 66585910
NORTHFIELD BANCORP INC 35.0% NFBK Financials 66611T10
NORTHRIM BANCORP INC 35.0% NRIM Financials 66676210
NORTHROP GRUMMAN CORP 35.0% NOC Industrials 66680710
NORTHSIGHT CAPITAL INC 2.1% NCAP Information Technology 66702Q20
NORTHSTAR REALTY FINANCE CP 35.5% NRF 66704R80
NORTHSTAR ASSET MGMT GRP INC 35.0% NSAM Financials 66705Y10
NORTHSTAR REALTY EUROPE CORP 1.0% NRE 66706L10
NORTHWAY FINANCIAL INC 34.0% NWYF Financials 66727020
NORTHWEST BANCSHARES INC 35.0% NWBI Financials 66734010
NORTHWEST BIOTHERAPEUTICS 0.0% NWBO Health Care 66737P60
NORTHWEST IND BANCORP 35.0% 3NWIN Financials 66751610
NORTHWEST NATURAL GAS CO 34.8% NWN Utilities 66765510
NORTHWEST PIPE CO 35.8% NWPX Industrials 66774610
NORTHWEST PIPELINE CORP 21.4% WMB2 Energy 66774800
NORTHWESTERN CORP 35.0% NWE Utilities 66807430
NORTHWESTERN MUTUAL LIFE INS 35.0% 9745B Financials 66813394
NORWOOD FINANCIAL CORP 35.0% NWFL Financials 66954910
NOVA LIFESTYLE INC 10.9% NVFY Consumer Discretionary 66979P10
NOTIS GLOBAL INC 0.0% NGBL Health Care 66980B10
NOVAGOLD RESOURCES LTD 12.4% NG Materials 66987E20
NOVADAQ TECHNOLOGIES INC 0.0% NVDQ Health Care 66987G10
NOVABAY PHARMACEUTICALS INC 24.3% NBY Health Care 66987P20
NOVATION COS INC 23.3% NOVC Information Technology 66989V10
NOVAVAX INC 0.0% NVAX Health Care 67000210
NOVANTA INC 6.1% NOVT Information Technology 67000B10
NOVELION THERAPEUTICS INC 13.7% NVLN Health Care 67001K20
NOVO RESOURCES CORP 3.9% NSRPF Materials 67010B10
NOW INC 3.7% DNOW Industrials 67011P10
NU SKIN ENTERPRISES -CL A 35.0% NUS Consumer Staples 67018T10
NUANCE COMMUNICATIONS INC 35.0% NUAN Information Technology 67020Y10
NUCOR CORP 35.4% NUE Materials 67034610
NUMEREX CORP -CL A 2.4% NMRX Information Technology 67053A10
NUSTAR ENERGY LP 35.0% NS Energy 67058H10
NUSTAR GP HOLDINGS LLC 36.1% NSH Energy 67059L10
NUTRASTAR INTERNATIONAL INC 35.0% NUIN Consumer Staples 67060M10
NUTRA PHARMA CORP 3.0% NPHC Health Care 67060U20
NUTRACEUTICAL INTL CORP 35.0% NUTR Consumer Staples 67060Y10
NVIDIA CORP 35.0% NVDA Information Technology 67066G10
NUTRISYSTEM INC 36.0% NTRI Consumer Discretionary 67069D10
NUVASIVE INC 5.3% NUVA Health Care 67070410
NXSTAGE MEDICAL INC 12.2% NXTM Health Care 67072V10
NUVECTRA CORP 10.7% NVTR Health Care 67075N10
OGE ENERGY CORP 8.9% OGE Utilities 67083710
ANDATEE CHINA MARINE FUEL 33.9% AMCF Energy 67086W10
NXT-ID INC 0.0% NXTD Information Technology 67091J20
NUVERRA ENVIRONMENTAL SOLUTS INC 1.8% NES 67091K20
OCI PARTNERS LP 35.0% OCIP Materials 67091N10
OHA INVESTMENT CORP 3.0% OHAI Financials 67091U10
NOVELIS INC 35.0% HND1 Materials 67099U00
NUVEEN INVESTMENTS INC 10.0% 6051B Financials 67099V93
OPT-SCIENCES CORP 34.0% OPST Industrials 67100310
ORO EAST MINING INC 2.4% OROE Materials 67101520
OFS CAPITAL CORP 35.9% OFS Financials 67103B10
O'REILLY AUTOMOTIVE INC 35.0% ORLY Consumer Discretionary 67103H10
OFG BANCORP 35.8% OFG Financials 67103X10
OSI SYSTEMS INC 35.3% OSIS Information Technology 67104410
OTC MARKETS GROUP INC 38.0% OTCM Financials 67106F10
OAK RIDGE FINANCIAL SERVICES 33.6% BKOR Financials 67176810
OAK VALLEY BANCORP 34.0% OVLY Financials 67180710
OAKRIDGE GLOBAL ENERGY SOLTN 9.2% OGES Industrials 67383310
OAKRIDGE HOLDINGS INC 1.6% OKRGQ Industrials 67383610
OAKTREE CAPITAL GROUP LLC 34.6% OAK Financials 67400120
OASIS PETROLEUM INC 35.0% OAS Energy 67421510
OBALON THERAPEUTICS INC 0.0% OBLN Health Care 67424L10
OCCIDENTAL DEVELOPMENT GROUP 20.4% OXDG Consumer Discretionary 67457R10
OCCIDENTAL PETROLEUM CORP 4.5% OXY Energy 67459910
OCEAN BIO-CHEM INC 33.1% OBCI Consumer Staples 67463110
OCEAN ELECTRIC INC 6.0% OCEL Industrials 67481110
OCEAN POWER TECHNOLOGIES INC 0.7% OPTT Industrials 67487040
OCEANEERING INTERNATIONAL 35.2% OII Energy 67523210
OCEANFIRST FINANCIAL CORP 35.0% OCFC Financials 67523410
OCH-ZIFF CAPITAL MGMT LLC 20.7% OZM Financials 67551U10
OCERA THERAPEUTICS INC 5.2% OCRX Health Care 67552A10
OCLARO INC 7.7% OCLR Information Technology 67555N20
OCONEE FEDERAL FINANCIAL CP 34.0% OFED Financials 67560710
OCTAGON 88 RESOURCES INC 6.9% OCTX Energy 67572P10
OCWEN FINANCIAL CORP 27.3% OCN Financials 67574630
OCULUS VISIONTECH INC 4.8% OVTZ Information Technology 67575Y10
OCULAR THERAPEUTIX INC 0.0% OCUL Health Care 67576A10
ODYSSEY MARINE EXPLORATION 8.5% OMEX Industrials 67611820
ODYSSEY PICTURES CORP 0.1% OPIX Consumer Discretionary 67612110
OFFICE DEPOT INC 35.0% ODP Consumer Discretionary 67622010
OHIO EDISON CO 35.0% FE1 Utilities 67734700
OHIO LEGACY CORP 14.9% OLCB Financials 67739920
OHIO POWER 35.1% AEP5 Utilities 67741500
OHIO VALLEY BANC CORP 34.0% OVBC Financials 67771910
OHR PHARMACEUTICAL INC 7.1% OHRP Health Care 67778H20
OIL DRI CORP AMERICA 35.0% ODC Consumer Staples 67786410
OGLETHORPE POWER CORP 36.4% 5685B Utilities 67799U93
OIL STATES INTL INC 32.3% OIS Energy 67802610
OKLAHOMA GAS & ELECTRIC CO 8.8% OGE1 Utilities 67885800
OLD DOMINION ELECTRIC COOP 35.0% 9840B Utilities 67957493
OLD DOMINION FREIGHT 35.0% ODFL Industrials 67958010
OLD LINE BANCSHARES INC 35.0% OLBK Financials 67984M10
OLD NATIONAL BANCORP 35.0% ONB Financials 68003310
OLD POINT FINANCIAL CORP 33.8% OPOF Financials 68019410
OLD REPUBLIC INTL CORP 35.0% ORI Financials 68022310
OLD SECOND BANCORP INC/IL 33.6% OSBC Financials 68027710
OLIN CORP 35.7% OLN Materials 68066520
OLLIE'S BARGAIN OUTLET HLDGS 35.0% OLLI Consumer Discretionary 68111610
OLYMPIC STEEL INC 30.1% ZEUS Materials 68162K10
OMAGINE INC 0.7% OMAG 68165920
OMNICOM GROUP 35.0% OMC Consumer Discretionary 68191910
OMEGA HEALTHCARE INVS INC 35.0% OHI 68193610
OMEGA FLEX INC 35.0% OFLX Industrials 68209510
OMEGA PROTEIN CORP 35.0% OME Consumer Staples 68210P10
OMNOVA SOLUTIONS INC 22.1% OMN Materials 68212910
OMNICELL INC 8.9% OMCL Health Care 68213N10
OMEROS CORP 1.8% OMER Health Care 68214310
ON ASSIGNMENT INC 35.0% ASGN Industrials 68215910
OMNITEK ENGINEERING CORP 3.9% OMTK Consumer Discretionary 68215W10
ON DECK CAPITAL INC 0.5% ONDK Financials 68216310
OMINTO INC 11.1% OMNT Information Technology 68217C20
ON SEMICONDUCTOR CORP 30.4% ON Information Technology 68218910
ONASSIS MINING GROUP INC 34.0% ONSS Materials 68228310
ONCOGENEX PHARMACEUTICALS 2.8% OGXI Health Care 68230A10
ONCOLOGIX TECH INC 4.5% OCLG Health Care 68230M20
ONCOLYTICS BIOTECH INC 1.5% ONCY Health Care 68231010
ONCOVISTA INNOVATIVE THERAP 1.5% OVIT Health Care 68232J10
ONCONOVA THERAPEUTICS INC 2.3% ONTX Health Care 68232V30
ONCOR ELECTRIC DELIVERY CO 35.0% TXU3 Utilities 68233D00
ONCOSEC MEDICAL INC 0.0% ONCS Health Care 68234L20
ONCOMED PHARMACEUTICALS 26.8% OMED Health Care 68234X10
180 DEGREE CPTL CORP 8.1% TURN Financials 68235B10
ONCOCYTE CORP 1.5% OCX Health Care 68235C10
3.7% 68235H20
ONE HORIZON GROUP INC OHGI Telecommunication Services 68235H30
ONCOBIOLOGICS INC 0.6% ONS Health Care 68235M10
ONE GAS INC 20.9% OGS Utilities 68235P10
ONE LIBERTY PROPERTIES INC 35.1% OLP 68240610
1-800-FLOWERS.COM 21.9% FLWS Consumer Discretionary 68243Q10
1347 PROPERTY INS HLDGS INC 34.0% PIH Financials 68244P10
ONE STEP VENDING CORP 22.2% KOSK Industrials 68246L10
ONEOK INC 35.4% OKE Energy 68268010
ONEOK PARTNERS -LP 35.0% OKS Energy 68268N10
ONEMAIN HOLDINGS INC 35.7% OMF Financials 68268W10
1PM INDUSTRIES INC 4.6% OPMZ Industrials 68276T10
ONSTREAM MEDIA CORP 20.3% ONSM Information Technology 68287520
ONVIA INC 11.4% ONVI Information Technology 68338T40
OOMA INC 1.1% OOMA Telecommunication Services 68341610
OPEN TEXT CORP 35.0% OTEX Information Technology 68371510
OPEXA THERAPEUTICS INC 0.6% OPXA Health Care 68372T30
OPHTHALIX INC 2.9% OPLI.1 Health Care 68373620
OPGEN INC 8.7% OPGN 68373L10
OPHTHOTECH CORP 0.0% OPHT Health Care 68374510
OPIANT PHARMACEUTICALS INC 25.9% OPNT Health Care 68375010
OPKO HEALTH INC 34.8% OPK Health Care 68375N10
OPPENHEIMER HOLDINGS INC 36.0% OPY Financials 68379710
OPTICAL CABLE CORP 20.0% OCC Information Technology 68382720
ORACLE CORP 35.0% ORCL Information Technology 68389X10
OPTI INC 17.0% OPTI Information Technology 68396010
OPUS BANK 33.6% OPB Financials 68400010
OPTIMUMBANK HOLDINGS INC 4.8% OPHC Financials 68401P40
OPTIMIZERX CORP 1.3% OPRX Health Care 68401U10
ORAGENICS INC 1.0% OGEN 68402320
ORAMED PHARMACEUTICALS INC 0.0% ORMP Health Care 68403P20
ORANGE & ROCKLAND UTILITIES 35.0% ED2 Utilities 68406500
ORASURE TECHNOLOGIES INC 4.9% OSUR Health Care 68554V10
ORBIT INTERNATIONAL CORP 26.6% ORBT Industrials 68555930
ORBCOMM INC 7.1% ORBC Telecommunication Services 68555P10
ORBITAL ATK INC 3.8% OA Industrials 68557N10
ORCHID ISLAND CAPITAL INC 37.6% ORC Financials 68571X10
ORCHIDS PAPER PRODUCTS 35.1% TIS Consumer Staples 68572N10
ORE HOLDINGS INC ORXE Health Care 68577520
OREXIGEN THERAPEUTICS INC 9.3% OREX Health Care 68616430
ORIGEN FINANCIAL INC 34.8% ORGN Financials 68619E20
ORIENT PAPER INC 38.9% ONP Materials 68619F20
12.8% 68619K10
ORGANOVO HOLDINGS INC 0.5% ONVO Health Care 68620A10
ORION ENERGY SYSTEMS INC 3.1% OESX Industrials 68627510
ORION GROUP HOLDINGS INC 3.9% ORN Industrials 68628V30
ORITANI FINANCIAL CORP 35.0% ORIT Financials 68633D10
ORMAT TECHNOLOGIES INC 35.8% ORA Utilities 68668810
ORRSTOWN FINANCIAL SVCS INC 31.4% ORRF Financials 68738010
OSAGE EXPLORATION AND DEV 0.3% OEDVQ Energy 68771L10
OSHKOSH CORP 35.0% OSK Industrials 68823920
OSISKO GOLD ROYALTIES 34.8% OR Materials 68827L10
OSIRIS THERAPEUTICS INC 0.1% OSIR Health Care 68827R10
OTELCO INC 28.4% OTEL Telecommunication Services 68882330
OTONOMY INC 0.4% OTIC Health Care 68906L10
OTTAWA BANCORP INC 18.1% OTTW Financials 68919510
OTTER TAIL CORP 7.8% OTTR Utilities 68964810
OURPETS CO 34.0% OPCO Consumer Discretionary 68989010
OUTFRONT MEDIA INC 27.4% OUT 69007J10
OVASCIENCE INC 0.0% OVAS Health Care 69014Q10
OVERSEAS SHIPHOLDING GROUP 39.3% OSG Energy 69036R86
OVERSTOCK.COM INC 6.2% OSTK Consumer Discretionary 69037010
OWENS & MINOR INC 34.5% OMI Health Care 69073210
OWENS CORNING 28.2% OC Industrials 69074210
OWENS-ILLINOIS INC 32.7% OI Materials 69076840
OWENS REALTY MORTGAGE INC 35.0% ORM Financials 69082810
OXFORD INDUSTRIES INC 37.6% OXM Consumer Discretionary 69149730
OXFORD LANE CAPITAL CORP 3.0% OXLC Financials 69154310
2.4% 69182950
OXYSURE THERAPEUTICS INC 0.0% OXYS Health Care 69208T10
P & F INDUSTRIES -CL A 35.0% PFIN Consumer Discretionary 69283050
PDVWIRELESS INC 6.7% PDVW Telecommunication Services 69290R10
P.A.M. TRANSPORTATION SVCS 20.3% PTSI Industrials 69314910
PBF ENERGY INC 35.3% PBF Energy 69318G10
PC CONNECTION INC 35.0% CNXN Information Technology 69318J10
PBF LOGISTICS LP 35.0% PBFX Energy 69318Q10
PCM INC 35.2% PCMI Information Technology 69323K10
PCTEL INC 5.7% PCTI Information Technology 69325Q10
PDC ENERGY INC 35.0% PDCE Energy 69327R10
PDF SOLUTIONS INC 21.4% PDFS Information Technology 69328210
PD-RX PHARMACEUTICALS INC PDRX Health Care 69329810
PDL BIOPHARMA INC 35.0% PDLI Health Care 69329Y10
PG&E CORP 15.3% PCG Utilities 69331C10
PGI INC 9.8% PGAI 69331D10
PHH CORP 21.0% PHH Financials 69332020
PICO HOLDINGS INC 3.5% PICO Consumer Discretionary 69336620
PHI INC 37.0% PHIIK Energy 69336T20
PGT INNOVATIONS INC 29.5% PGTI Industrials 69336V10
PJT PARTNERS INC 2.5% PJT Financials 69343T10
PNC FINANCIAL SVCS GROUP INC 35.0% PNC Financials 69347510
PNM RESOURCES INC 34.9% PNM Utilities 69349H10
PPG INDUSTRIES INC 35.0% PPG Materials 69350610
PPL CORP 35.0% PPL Utilities 69351T10
PRA HEALTH SCIENCES INC 35.0% PRAH Health Care 69354M10
PRA GROUP INC 35.0% PRAA Financials 69354N10
PRGX GLOBAL INC 27.1% PRGX Information Technology 69357C50
PS BUSINESS PARKS 35.0% PSB 69360J10
PSB HOLDINGS INC/WI 35.0% PSBQ Financials 69360N10
5.2% 69361G10
PSEG POWER LLC 29.7% PEG3 Utilities 69362B00
PSM HOLDINGS INC 22.7% PSMH Financials 69364D10
PVH CORP 35.5% PVH Consumer Discretionary 69365610
PTC THERAPEUTICS INC 0.2% PTCT Health Care 69366J20
PTC INC 35.2% PTC Information Technology 69370C10
PACCAR FINANCIAL CORP 27.2% PCAR1 Financials 69371700
PACCAR INC 35.8% PCAR Industrials 69371810
0.7% 69372U10
P10 HOLDINGS INC PIOE Financials 69372U20
LG&E AND KU ENERGY LLC 22.0% PPL7 Utilities 69399I00
LOUISVILLE GAS AND ELECTRIC 15.4% PPL6 Utilities 69399J00
KENTUCKY UTILITIES CO 30.5% PPL5 Utilities 69399K00
PPL ELECTRIC UTILITIES CORP 16.2% PPL2 Utilities 69399Y00
PACCAR INC-PRE FASB 35.0% PCAR.F Industrials 69399Z93
PACIFIC BOOKER MINERALS INC 19.5% PBM Materials 69403R10
PACIFIC BIOSCIENCES OF CALIF 3.5% PACB Health Care 69404D10
PACIFIC CITY FINANCIAL CORP 35.0% PFCF Financials 69406T40
PACIFIC CONTINENTAL CORP 35.1% PCBK Financials 69412V10
PACIFIC ETHANOL INC 6.5% PEIX Energy 69423U30
PACIFIC FINANCIAL CORP 35.7% PFLC Financials 69427510
PACIFIC GAS & ELECTRIC CO 15.7% PCG1 Utilities 69430800
PACIFIC GREEN TECHNOLOGIES 0.0% PGTK Industrials 69434710
PACIFIC HEALTH CARE ORG INC 34.0% PFHO Health Care 69439P20
PACIFIC MERCANTILE BANCORP 8.0% PMBC Financials 69455210
PACIFIC OFFICE PROPERTIES TR 12.8% PCE 69471410
PACIFIC PREMIER BANCORP INC 35.0% PPBI Financials 69478X10
PACIFIC WEBWORKS INC 2.5% PWEB Information Technology 69506E10
PACIRA PHARMACEUTICALS INC 18.2% PCRX Health Care 69512710
PACKAGING CORP OF AMERICA 36.1% PKG Materials 69515610
PACWEST BANCORP 35.0% PACW Financials 69526310
PAGET MINERALS CORP 24.5% PGTMF Materials 69553W20
PAID INC 1.6% PAYD Information Technology 69561N40
PAIN THERAPEUTICS INC 3.4% PTIE 69562K10
PAIN THERAPEUTICS INC PTIE Health Care 69562K50
PALATIN TECHNOLOGIES INC 5.1% PTN Health Care 69607740
PALO ALTO NETWORKS INC 8.2% PANW Information Technology 69743510
PAN AMERICAN SILVER CORP 7.2% PAAS Materials 69790010
PANACEA GLOBAL INC 15.2% PANG Health Care 69810310
PANACHE BEVERAGE INC 0.0% WDKA Consumer Staples 69810510
PANDORA MEDIA INC 0.1% P Information Technology 69835410
PANERA BREAD CO 35.0% PNRA Consumer Discretionary 69840W10
PANHANDLE EASTERN PIPE LINE 18.4% PEL1 Utilities 69846500
PANHANDLE OIL & GAS INC 35.0% PHX Energy 69847710
PAPA JOHNS INTERNATIONAL INC 35.4% PZZA Consumer Discretionary 69881310
PAPA MURPHY'S HOLDINGS INC 37.3% FRSH Consumer Discretionary 69881410
PAR TECHNOLOGY CORP 23.8% PAR Information Technology 69888410
PAR PACIFIC HOLDINGS INC 1.0% PARR Energy 69888T20
PARADISE INC 29.5% PARF Consumer Staples 69905810
PARAGON COMMERCIAL CORP 35.0% PBNC Financials 69911U40
PARAGON TECHNOLOGIES INC 16.4% PTG Industrials 69912T10
PARALLAX HEALTH SCIENCES INC 0.9% PRLX Consumer Staples 69916A10
PARAMOUNT GOLD NEVADA CORP 2.0% PZG Materials 69924M10
PARAMOUNT GROUP INC 36.0% PGRE 69924R10
PARATEK PHARMACEUTCLS INC 2.4% PRTK Health Care 69937430
PAREXEL INTERNATIONAL CORP 35.0% PRXL Health Care 69946210
PARETEUM CORP 0.5% TEUM Telecommunication Services 69946T20
PARK CITY GROUP INC 7.9% PCYG Information Technology 70021530
PARK ELECTROCHEMICAL CORP 23.4% PKE Information Technology 70041620
PARK HOTELS & RESORTS 35.0% PK 70051710
PARK NATIONAL CORP 35.2% PRK Financials 70065810
PARK OHIO HOLDINGS CORP 35.0% PKOH Industrials 70066610
PARK STERLING CORP 35.0% PSTB Financials 70086Y10
PARKE BANCORP INC 35.0% PKBK Financials 70088510
PARKER DRILLING CO 2.1% PKD Energy 70108110
PARKER-HANNIFIN CORP 35.0% PH Industrials 70109410
PARKERVISION INC 0.5% PRKR Information Technology 70135430
PARKIT ENTERPRISE INC 38.0% PKTEF Industrials 70137X10
PARKS AMERICA INC 33.9% PRKA Consumer Discretionary 70145510
PARSLEY ENERGY INC 29.6% PE Energy 70187710
PARTY CITY HOLDCO INC 35.6% PRTY Consumer Discretionary 70214910
PASSUR AEROSPACE INC 30.7% PSSR Industrials 70285Y10
PATHFINDER CELL THERAPY INC 23.0% PFND Health Care 70319A10
PATHFINDER BANCORP INC 34.0% PBHC Financials 70319R10
PATRICK INDUSTRIES INC 35.0% PATK Industrials 70334310
PATRIOT NATIONAL BANCORP INC 17.5% PNBK Financials 70336F20
PATRIOT SCIENTIFIC CORP 0.9% PTSC Information Technology 70336N10
PATTERN ENERGY GROUP INC 2.9% PEGI Utilities 70338P10
PATRIOT NATIONAL INC 25.6% PN Financials 70338T10
PATRIOT TRANSPORTATION HLDG 8.9% PATI Industrials 70338W10
PATTERSON COMPANIES INC 35.0% PDCO Health Care 70339510
PATTERSON-UTI ENERGY INC 35.3% PTEN Energy 70348110
PAYCHEX INC 35.0% PAYX Information Technology 70432610
PAYCOM SOFTWARE INC 35.0% PAYC Information Technology 70432V10
2.8% 70433R10
PAYBOX CORP PBOX Information Technology 70433R20
PAYMENT DATA SYSTEMS INC 0.5% PYDS Information Technology 70438S20
PAYLOCITY HOLDING CORP 29.3% PCTY Information Technology 70438V10
PAYPAL HOLDINGS INC 35.7% PYPL Information Technology 70450Y10
PEABODY ENERGY CORP 2.6% BTU 70454920
PB BANCORP INC 18.2% PBBI Financials 70454T10
PEABODY ENERGY CORP BTU Energy 70455110
PEAPACK-GLADSTONE FINL CORP 35.8% PGC Financials 70469910
PEAK RESORTS INC 35.6% SKIS Consumer Discretionary 70469L10
PEAK PHARMACEUTICALS INC 13.1% PKPH Health Care 70469W10
PEARTRACK SECURITY SYSTEMS 0.3% PTSS Industrials 70501610
PEBBLEBROOK HOTEL TRUST 35.0% PEB 70509V10
6.2% 70532Y20
PEDEVCO CORP PED Energy 70532Y30
PEER TO PEER NETWORK 14.9% PTOP Consumer Discretionary 70548410
PEGASYSTEMS INC 35.0% PEGA Information Technology 70557310
PEGASI ENERGY RESOURCES CORP 9.5% PGSI Energy 70557V10
PEKIN LIFE INSURANCE CO 30.6% PKIN Financials 70563410
PECO ENERGY CO 34.5% EXC1 Utilities 70599Y00
PEMBINA PIPELINE CORP 35.0% PBA Energy 70632710
PEN INC 4.9% PENC Materials 70658220
20.2% 70686R30
PENGROWTH ENERGY CORP 12.3% PGH Energy 70706P10
PENN NATIONAL GAMING INC 36.0% PENN Consumer Discretionary 70756910
5.6% 70788710
PENN VIRGINIA CORP 22.1% PVAC Energy 70788V10
PENINSULA GAMING LLC 29.2% 0051A Consumer Discretionary 70799P00
PENNANTPARK INVESTMENT CORP 32.7% PNNT Financials 70806210
PENNANTPARK FLOATING RT CAP 35.4% PFLT Financials 70806A10
PENNEY (J C) CO 35.3% JCP Consumer Discretionary 70816010
PENNS WOODS BANCORP INC 38.0% PWOD Financials 70843010
PENNSYLVANIA ELECTRIC CO 14.4% FE4 Utilities 70869600
PENNSYLVANIA RE INVS TRUST 32.8% PEI 70910210
PENNTEX MIDSTREAM PRTNRS LP 34.0% PTXP Energy 70931110
PENNYMAC MORTGAGE INVEST TR 35.0% PMT Financials 70931T10
PENNYMAC FINANCIAL SERVICES 35.0% PFSI Financials 70932B10
PENSKE AUTOMOTIVE GROUP INC 26.3% PAG Consumer Discretionary 70959W10
PENUMBRA INC 35.0% PEN Health Care 70975L10
PEOPLES BANCORP INC/OH 35.0% PEBO Financials 70978910
PEOPLES BK COMM MEDFORD/OR PBCO Financials 71031110
PEOPLES BANCORP NC INC 35.0% PEBK Financials 71057710
PEOPLES FINANCIAL CORP/MS 17.0% PFBX Financials 71103B10
PEOPLES FINANCIAL SERVICES 35.2% PFIS Financials 71104010
PEOPLES GAS LIGHT & COKE CO 34.6% PGL3 Utilities 71112300
PEOPLES-SIDNEY FINANCIAL CP 34.5% PPSF Financials 71230820
PEOPLE'S UNITED FINL INC 35.0% PBCT Financials 71270410
PEOPLES UTAH BANCORP 35.0% PUB Financials 71270620
PEPSICO INC 39.1% PEP Consumer Staples 71344810
PERCEPTRON INC 7.7% PRCP Information Technology 71361F10
PEREGRINE PHARMACEUTICALS INC PPHM 71366150
PERFICIENT INC 35.5% PRFT Information Technology 71375U10
PERFUMANIA HOLDINGS INC 4.5% PERF Consumer Discretionary 71376C10
PERFORMANCE FOOD GROUP CO 35.0% PFGC Consumer Staples 71377A10
PERFORMANT FINANCIAL CORP 31.3% PFMT Industrials 71377E10
PERFORMANCE SPORTS GROUP LTD 35.0% PSG 71377G10
PERKINELMER INC 35.2% PKI Health Care 71404610
PERMA-FIX ENVIRONMENTAL SVCS 7.8% PESI Industrials 71415720
PERMA-PIPE INTERNATIONAL HOL 8.7% PPIH Industrials 71416710
PERMIAN BASIN ROYALTY TRUST 34.0% PBT Energy 71423610
PERNIX GROUP INC 13.3% PRXG Industrials 71426320
PERNIX THERAPEUTICS HOLDINGS 0.0% PTX Health Care 71426V30
PERPETUAL FEDERAL SAVINGS BK 34.0% PFOH Financials 71427310
PERSHING GOLD CORP 11.2% PGLC Materials 71530220
PERVASIP CORP 3.2% PVSP Telecommunication Services 71570920
PETMED EXPRESS INC 35.0% PETS Consumer Discretionary 71638210
PETRO RIVER OIL CORP 1.2% PTRC Energy 71647K30
PETROQUEST ENERGY INC 16.8% PQ Energy 71674830
PETROTERRA CORP 0.1% PTRA Energy 71676F30
PETROSONIC ENERGY INC 0.8% PSON Energy 71676J10
PETROSHARE CORP 11.8% PRHR Energy 71677L10
PFENEX INC 25.1% PFNX Health Care 71707110
PFIZER INC 35.0% PFE Health Care 71708110
PFSWEB INC 4.0% PFSW Information Technology 71709820
PHARMA-BIO SERV INC 8.3% PBSV Health Care 71711N10
PHARMERICA CORP 7.9% PMC Health Care 71714F10
PHARMATHENE INC 11.1% PIP Health Care 71714G10
PHARMACYTE BIOTECH INC 1.5% PMCB Health Care 71715X10
PHASERX INC PZRX Health Care 71723F10
PHIBRO ANIMAL HEALTH CORP 35.0% PAHC Health Care 71742Q10
PHILIP MORRIS INTERNATIONAL 35.0% PM Consumer Staples 71817210
PHILLIPS 66 28.8% PSX Energy 71854610
PHILLIPS 66 PARTNERS LP 35.0% PSXP Energy 71854920
PHOENIX FOOTWEAR GROUP INC 34.4% PXG Consumer Discretionary 71903M20
0.0% 71935840
PHOTRONICS INC 35.0% PLAB Information Technology 71940510
PHYSICIANS REALTY TR 35.0% DOC 71943U10
PIEDMONT OFFICE REALTY TRUST 36.3% PDM 72019020
PIER 1 IMPORTS INC/DE 35.6% PIR Consumer Discretionary 72027910
PIERIS PHARMACEUTICALS INC 0.4% PIRS Health Care 72079510
PILGRIM'S PRIDE CORP 35.8% PPC Consumer Staples 72147K10
PILLARSTONE CAPITAL REIT 28.8% PRLE Financials 72149110
PINNACLE BANCSHARES 32.0% PLE Financials 72290310
PINNACLE BANKSHARES CORP PPBN Financials 72345E10
PINNACLE FINL PARTNERS INC 35.0% PNFP Financials 72346Q10
PINNACLE WEST CAPITAL CORP 35.9% PNW Utilities 72348410
PINNACLE FOODS INC 34.2% PF Consumer Staples 72348P10
PINNACLE ENTERTAINMENT INC 36.1% PNK Consumer Discretionary 72348Y10
PIONEER ENERGY SERVICES CORP 0.3% PES Energy 72366410
PIONEER NATURAL RESOURCES CO 22.4% PXD Energy 72378710
PIONEER POWER SOLUTIONS INC 34.1% PPSI Industrials 72383630
PIONEER FINANCIAL SVCS /MO 0172A Financials 72399F00
PIPER JAFFRAY COS 35.0% PJC Financials 72407810
PITNEY BOWES INC 10.4% PBI Industrials 72447910
PISMO COAST VILLAGE INC 34.0% 2638B Consumer Discretionary 72499Y93
PIXELWORKS INC 19.4% PXLW Information Technology 72581M30
PLAINS ALL AMER PIPELNE -LP 35.0% PAA Energy 72650310
PLAINS GP HOLDINGS LP 35.0% PAGP Energy 72651A20
PLAINTREE SYSTEMS INC 5.0% PTEEF Materials 72663E20
PLANDAI BIOTECHNOLOGY INC 1.0% PLPL Health Care 72703D10
PLANET FITNESS INC 35.0% PLNT Consumer Discretionary 72703H10
PLANTRONICS INC 35.0% PLT Information Technology 72749310
PLASTIC2OIL INC 24.6% PTOI Energy 72759R10
PLATINUM GROUP METALS LTD 8.4% PLG Materials 72765Q60
PLATFORM SPECIALTY PRODUCTS 35.0% PAH Materials 72766Q10
PLEDGE PETROLEUM CORP 0.6% PROP Energy 72909F10
PLEXUS CORP 35.8% PLXS Information Technology 72913210
PLUG POWER INC 13.6% PLUG Industrials 72919P20
PLUMAS BANCORP PLBC Financials 72927310
PLURISTEM THERAPEUTICS INC 0.0% PSTI Health Care 72940R10
PLY GEM HOLDINGS INC 35.0% PGEM Industrials 72941W10
POAGE BANKSHARES INC 34.0% PBSK Financials 73020610
POET TECHNOLOGIES INC 0.1% POETF Information Technology 73044W10
POINT.360 23.0% PTSX Consumer Discretionary 73050710
POINT CAPITAL INC 7.3% PTCI Financials 73052R10
POINT OF CARE NANO-TECHNOLGY 0.0% PCNT Energy 73056710
POINTS INTERNATIONAL LTD 15.5% PCOM Information Technology 73084320
POLAR POWER INC 34.0% POLA Industrials 73102V10
POLARIS INDUSTRIES INC 35.0% PII Consumer Discretionary 73106810
POLARITYTE INC 17.1% COOL Health Care 73109410
POLONIA BANCORP INC 2.6% PBCP Financials 73158Q10
POLYDEX PHARMACEUTICALS LTD 18.6% POLXF Health Care 73172820
POLYONE CORP 35.1% POL Materials 73179P10
POLYMET MINING CORP 4.0% PLM Materials 73191610
POOL CORP 35.0% POOL Consumer Discretionary 73278L10
POPE RESOURCES/DE -LP 13.6% POPE Materials 73285710
POPEYES LOUISIANA KITCHEN 35.2% PLKI Consumer Discretionary 73287210
POPULAR INC 33.3% BPOP Financials 73317470
PORTAGE RESOURCES INC 2.7% POTG Materials 73586710
PORTER BANCORP INC 5.5% PBIB Financials 73623320
PORTLAND GENERAL ELECTRIC CO 35.1% POR Utilities 73650884
PORTLOGIC SYSTEMS INC 0.1% PGSY Information Technology 73687820
PORTOLA PHARMACEUTICALS INC 6.1% PTLA Health Care 73701010
POSITRON CORP 9.3% POSC Health Care 73739760
3.0% 73740J40
POSITIVEID CORP PSID Health Care 73740J50
POST HOLDINGS INC 35.0% POST Consumer Staples 73744610
POSTROCK ENERGY CORP 3.0% PSTR Energy 73752520
POTBELLY CORP 35.3% PBPB Consumer Discretionary 73754Y10
POTASH CORP SASKATCHEWAN INC 33.2% POT 73755L10
POTLATCHDELTIC CORP 20.8% PCH 73763010
POTOMAC ELECTRIC POWER CO 16.8% POM3 Utilities 73767900
POWELL INDUSTRIES INC 35.9% POWL Industrials 73912810
POWER INTEGRATIONS INC 35.0% POWI Information Technology 73927610
POWER SOLUTIONS INTL INC 30.9% PSIX Industrials 73933G20
POWER REIT 34.1% PW 73933H10
POWERVERDE INC 8.0% PWVI Industrials 73937M10
POWIN ENERGY CORPORATION 0.0% PWON Industrials 73939Q10
3.5% 73942L10
PRAXAIR INC 35.0% PX Materials 74005P10
PRECISION AUTO CARE INC 3.0% PACI Consumer Discretionary 74018R10
PRECISION DRILLING CORP 8.4% PDS Energy 74022D30
PRECISION OPTICS CORP INC 19.9% PEYE Health Care 74029430
PREFERRED BANK LOS ANGELES 35.3% PFBC Financials 74036740
PREFERRED RESTAURANT BRANDS 3.9% PRBI Consumer Discretionary 74039110
PREFERRED APARTMENT CMNTYS 35.1% APTS 74039L10
PREFORMED LINE PRODUCTS CO 35.0% PLPC Industrials 74044410
PREMIER BIOMEDICAL INC 1.6% BIEI Health Care 74048K10
PREMIER FINANCIAL BANCORP 36.7% PFBI Financials 74050M10
PREMIER EXHIBITIONS INC 1.8% PRXI Consumer Discretionary 74051E20
PREMIER HOLDING CORP 2.0% PRHL Utilities 74051M10
PREMIER INC 35.0% PINC Health Care 74051N10
PREMIUM BRANDS HLDGS CORP 35.7% PRBZF Consumer Staples 74061A10
PRESIDENTIAL RLTY NEW -CL B 34.2% PDLB 74100420
PRESIDIO BANK 34.5% PDOB Financials 74101A10
PRESTIGE BRANDS HOLDINGS 36.1% PBH Health Care 74112D10
PRESSURE BIOSCIENCES INC 2.9% PBIO 74112E10
PRESSURE BIOSCIENCES INC PBIO Health Care 74112E20
PRETIUM RESOURCES INC 19.5% PVG Materials 74139C10
PRICE (T. ROWE) GROUP 35.0% TROW Financials 74144T10
PRICELINE GROUP INC 35.0% PCLN 74150340
PRICESMART INC 35.0% PSMT Consumer Staples 74151110
PRIMEENERGY CORP 10.2% PNRG Energy 74158E10
PRIMORIS SERVICES CORP 7.8% PRIM Industrials 74164F10
PRIMERICA INC 37.8% PRI Financials 74164M10
PRIME GLOBAL CAPITAL GROUP 21.5% PGCG 74164U10
PRIMERO MINING CORP 0.0% PPP Materials 74164W10
PRIMO WATER CORP 28.5% PRMW Consumer Staples 74165N10
PRINCETON CAPITAL CORP 1.2% PIAC Financials 74186510
PRINCIPAL FINANCIAL GRP INC 34.8% PFG Financials 74251V10
PRO-DEX INC/CO 18.7% PDEX Health Care 74265M20
PROASSURANCE CORP 36.3% PRA Financials 74267C10
PROCTER & GAMBLE CO 35.0% PG Consumer Staples 74271810
PRISM TECHNOLOGIES GROUP INC 0.3% PRZM Information Technology 74273Y10
PRIVATEBANCORP INC 35.0% PVTB Financials 74296210
PROFESSIONAL DIVERSITY NETWK 3.1% IPDN Information Technology 74312Y20
PROFIRE ENERGY INC 21.7% PFIE Energy 74316X10
PROGENICS PHARMACEUTICAL INC 1.2% PGNX Health Care 74318710
PROGREEN US INC 0.7% PGUS 74327M10
PROGRESS SOFTWARE CORP 35.0% PRGS Information Technology 74331210
PROGRESSIVE CORP-OHIO 35.0% PGR Financials 74331510
PROLOGIS INC 35.0% PLD 74340W10
PROOFPOINT INC 2.6% PFPT Information Technology 74342410
16.4% 74345C10
PROPHASE LABS INC 4.9% PRPH Health Care 74345W10
PROPHOTONIX LTD 1.7% STKR Information Technology 74346510
PROPANC BIOPHARMA INC PPCB Health Care 74346N10
PROS HOLDINGS INC 0.8% PRO Information Technology 74346Y10
PROSPECT CAPITAL CORP 36.1% PSEC Financials 74348T10
PROSPERITY BANCSHARES INC 35.0% PB Financials 74360610
PROTALEX INC 0.0% PRTX Health Care 74364220
PROTECT PHARMACEUTICAL CORP 31.2% PRTT Health Care 74364W20
PROTALIX BIOTHERAPEUTICS INC 0.3% PLX Health Care 74365A10
2.3% 74365B10
PROTAGONIST THERAPEUTICS INC PTGX Health Care 74366E10
PROTO LABS INC 35.0% PRLB Industrials 74371310
PROTEON THERAPEUTICS INC 1.4% PRTO Health Care 74371L10
PROTEOSTASIS THERAPEUTICS 0.4% PTI Health Care 74373B10
PROVECTUS BIOPHARMACEUTICALS 0.5% PVCT Health Care 74373P10
PROVIDENCE SERVICE CORP 35.0% PRSC Health Care 74381510
PROVIDENT BANCORP INC 34.0% PVBC Financials 74383X10
PROVIDENT FINANCIAL HOLDINGS 34.0% PROV Financials 74386810
PROVIDENT FINANCIAL SVCS INC 35.0% PFS Financials 74386T10
PRUDENTIAL BANCORP INC 33.7% PBIP Financials 74431A10
PRUDENTIAL FINANCIAL INC 35.6% PRU Financials 74432010
PSYCHEMEDICS CORP 35.0% PMD Health Care 74437520
PSIVIDA CORP 13.9% PSDV Health Care 74440J10
PUBLIC SERVICE CO OF COLO 29.5% XEL5 Utilities 74444800
PUBLIC SERVICE CO/N H 3.7% NU4 Utilities 74448200
PUBLIC SERVICE CO OF NEW MEX 34.9% PNM1 Utilities 74449900
PUBLIC SERVICE CO OF N C 28.4% SCG2 Utilities 74451600
PUBLIC SERVICE CO OF OKLA 5.3% AEP12 Utilities 74453300
PUBLIC SERVICE ELEC & GAS CO 35.0% PEG1 Utilities 74456700
PUBLIC SERVICE ENTRP GRP INC 36.1% PEG Utilities 74457310
PUBLIC STORAGE 35.0% PSA 74460D10
PUBLIX SUPER MARKETS INC 35.0% PUSH Consumer Staples 74466310
PUDO INC 12.9% PDPTF Industrials 74468010
PUGET ENERGY INC 11.2% 5495B Utilities 74531093
PUGET SOUND ENERGY INC PSD1 Utilities 74531E00
PUGET SOUND BANCORP INC 34.0% PUGB Financials 74532B10
PUGET TECHNOLOGIES INC 7.3% PUGE Information Technology 74535X10
PULSE BEVERAGE CORP 29.6% PLSB Consumer Staples 74586110
PULTEGROUP INC 14.7% PHM Consumer Discretionary 74586710
PULSE NETWORK INC 1.0% TPNI Information Technology 74586X20
PUMA BIOTECHNOLOGY INC 0.1% PBYI Health Care 74587V10
PROSPER MARKETPLACE INC 37.5% 9462B Financials 74599C93
PURADYN FILTER TECHNOLOGIES 14.5% PFT Consumer Discretionary 74609110
PURE BIOSCIENCE INC 0.2% PURE Consumer Staples 74621T20
PURE CYCLE CORP 1.4% PCYO Utilities 74622830
PURE NICKEL INC 5.7% PNCKF Materials 74623Q10
PURE MULTI-FAMILY REIT LP 35.0% PMULF 74624A10
PURESAFE WATER SYSTEMS INC 22.7% PSWS Industrials 74624H10
PUREBASE CORP PUBC Materials 74624L20
PURE STORAGE INC 1.2% PSTG Information Technology 74624M10
PWRCOR INC 21.3% PWCO Utilities 74709P10
QNB CORP 35.0% QNBC Financials 74726N10
QCR HOLDINGS INC 35.0% QCRH Financials 74727A10
QAD INC 33.4% QADA Information Technology 74727D30
QEP CO INC 35.5% QEPC Consumer Discretionary 74727K10
QC HOLDINGS INC 32.3% QCCO Financials 74729T10
QUAD/GRAPHICS INC 23.6% QUAD Industrials 74730110
QUAKER CHEMICAL CORP 35.0% KWR Materials 74731610
PZENA INVESTMENT MANAGEMENT 4.5% PZN Financials 74731Q10
QUAINT OAK BANCORP INC 34.0% QNTO Financials 74732T10
QKL STORES INC 6.0% QKLS Consumer Staples 74732Y30
QEP RESOURCES INC 7.0% QEP Energy 74733V10
QUADRANT 4 SYSTEMS CORP 38.0% QFORQ Information Technology 74735A10
QTS REALTY TRUST INC 35.0% QTS 74736A10
QORVO INC 24.2% QRVO Information Technology 74736K10
Q2 HOLDINGS INC 0.0% QTWO Information Technology 74736L10
QS ENERGY INC 14.2% QSEP Energy 74736R10
QUALCOMM INC 35.0% QCOM Information Technology 74752510
QUALITY CARE PROPERTIES INC QCP 74754510
QUALITY SYSTEMS INC 35.1% QSII Health Care 74758210
QUALSTAR CORP 8.1% QBAK Information Technology 74758R20
QUALYS INC 31.2% QLYS Information Technology 74758T30
QUANEX BUILDING PRODUCTS 34.9% NX Industrials 74761910
QUANTA SERVICES INC 35.0% PWR Industrials 74762E10
QUANTUM FUEL SYS TECH WORLDW 2.1% QTWW Consumer Discretionary 74765E30
QUANTRX BIOMEDICAL CP 3.9% QTXB Health Care 74765N10
QUANTENNA COMMUNICATIONS INC 27.0% QTNA Information Technology 74766D10
QUANTUM INTL INCOME CORP 0.0% QNIIF Consumer Discretionary 74766M30
29.8% 74773L20
QUANTUM CORP 32.3% QTM 74790620
QUANTUM CORP QTM Information Technology 74790650
QUATERRA RESOURCES INC 5.3% QMM Materials 74795210
QUEBECOR INC -CL B 29.8% QBCRF Consumer Discretionary 74819320
QUEST DIAGNOSTICS INC 35.0% DGX Health Care 74834L10
QUESTAR PIPELINE CO 35.1% STR2 Energy 74836H00
QUEST RARE MINERALS LTD 4.2% QRM Materials 74836T10
QUEST RESOURCE HOLDING CORP 3.6% QRHC Industrials 74836W20
QUEST SOLUTION INC 8.8% QUES Information Technology 74837B10
QUICKLOGIC CORP 13.6% QUIK Information Technology 74837P10
QUICK-MED TECHNOLOGIES INC 26.1% QMDT Health Care 74837Q10
QUIKSILVER INC 13.0% ZQK Consumer Discretionary 74838C10
QUIDEL CORP 17.7% QDEL Health Care 74838J10
QUINSTREET INC 21.9% QNST Information Technology 74874Q10
35.1% 74876Y10
QUESTAR GAS CO 9.7% STR1 Utilities 74899X00
QUMU CORP 1.4% QUMU Information Technology 74906310
QUORUM HEALTH CORP QHC Health Care 74909E10
QUOTEMEDIA INC 0.0% QMCI Financials 74911410
QUOTIENT TECHNOLOGY INC 28.1% QUOT Information Technology 74911910
RAIT FINANCIAL TRUST 22.3% RAS 74922760
RBC LIFE SCIENCES INC 24.6% RBCL Consumer Staples 74926T20
RA PHARMACEUTICALS INC RARX Health Care 74933V10
RCI HOSPITALITY HLDGS INC 35.4% RICK Consumer Discretionary 74934Q10
RCM TECHNOLOGIES INC 35.6% RCMT Industrials 74936040
R1 RCM INC 34.3% RCM Health Care 74939710
REAC GROUP INC 2.8% REAC Information Technology 74945M10
R F INDUSTRIES LTD 34.0% RFIL Information Technology 74955210
RGC RESOURCES INC 34.2% RGCO Utilities 74955L10
RLI CORP 35.0% RLI Financials 74960710
RLJ ENTERTAINMENT INC 1.9% RLJE Consumer Discretionary 74965F20
RLJ LODGING TRUST 35.0% RLJ 74965L10
RPC INC 35.1% RES Energy 74966010
0.0% 74966K10
RMR GROUP INC 35.0% RMR 74967R10
RH 36.1% RH Consumer Discretionary 74967X10
RPM INTERNATIONAL INC 35.0% RPM Materials 74968510
RPX CORP 35.0% RPXC Industrials 74972G10
RTI SURGICAL INC 35.1% RTIX Health Care 74975N10
RSP PERMIAN INC 10.2% RSPP Energy 74978Q10
R X I PHARMACEUTICALS CORP NEW 0.5% RXII 74979C50
RYU APPAREL INC 1.4% RYPPF Consumer Discretionary 74979J10
RAADR INC 12.7% RDAR Information Technology 74979T10
QWEST CORP 35.1% Q1 Telecommunication Services 74991X00
RACKWISE INC 21.2% RACK Information Technology 75008R20
RADIAN GROUP INC 26.2% RDN Financials 75023610
RADIANT CREATIONS GROUP INC 3.3% RCGP Consumer Staples 75024820
RADIANT LOGISTICS INC 35.0% RLGT Industrials 75025X10
URBAN ONE INC 13.5% UONEK 75040P40
RADIOIO INC 25.9% RAIO Information Technology 75041A10
RADISYS CORP 17.3% RSYS Information Technology 75045910
RADIUS HEALTH INC 0.1% RDUS Health Care 75046920
RADNET INC 35.6% RDNT Health Care 75049110
RAINMAKER SYSTEMS INC 0.1% RMKR Information Technology 75087530
RAMBUS INC 34.4% RMBS Information Technology 75091710
RALPH LAUREN CORP 35.5% RL Consumer Discretionary 75121210
RAMACO RESOURCES INC METC Materials 75134P30
RAMCO-GERSHENSON PROPERTIES 35.1% RPT 75145220
RAND LOGISTICS INC 5.6% RLOG Industrials 75218210
RAND CAPITAL CORP 17.0% RAND Financials 75218510
RAND WORLDWIDE INC 32.7% RWWI Information Technology 75224610
RANDOLPH BANCORP INC RNDB Financials 75237810
RANGE RESOURCES CORP 35.0% RRC Energy 75281A10
RANGEFORD RESOURCES INC 0.0% RGFR Energy 75281D20
RAPID7 INC 1.3% RPD Information Technology 75342210
RARE ELEMENT RESOURCES LTD 0.0% REE Materials 75381M10
RAVE RESTAURANT GROUP INC 0.6% RAVE Consumer Discretionary 75419810
RAVEN INDUSTRIES INC 35.0% RAVN Industrials 75421210
RAYMOND JAMES FINANCIAL CORP 35.0% RJF Financials 75473010
RAYONIER INC 35.1% RYN 75490710
RAYONIER ADVANCED MATERIALS 4.4% RYAM Materials 75508B10
RAYTHEON CO 35.0% RTN Industrials 75511150
RBC BEARINGS INC 35.0% ROLL Industrials 75524B10
RE/MAX HOLDINGS INC 35.0% RMAX 75524W10
READING INTL INC -CL A 38.1% RDI Consumer Discretionary 75540810
REAL GOODS SOLAR INC 2.4% RGSE Industrials 75601N50
REAL INDUSTRY INC 4.3% RELY Materials 75601W10
REALBIZ MEDIA GROUP INC 12.6% RBIZ 75604A10
REALNETWORKS INC 0.1% RNWK Information Technology 75605L70
REALOGY HOLDINGS CORP 34.6% RLGY 75605Y10
REALPAGE INC 16.7% RP Information Technology 75606N10
REALTY INCOME CORP 35.0% O 75610910
REATA PHARMACEUTICALS INC RETA Health Care 75615P10
RECRO PHARMA INC 20.1% REPH Health Care 75629F10
RED HAT INC 35.0% RHT Information Technology 75657710
RED LION HOTELS CORP 9.5% RLH Consumer Discretionary 75676410
RED MOUNTAIN RESOURCES INC 0.5% RDMPQ Energy 75678V30
RED ROBIN GOURMET BURGERS 35.8% RRGB Consumer Discretionary 75689M10
RED ROCK RESORTS INC 35.0% RRR Consumer Discretionary 75700L10
RED TRAIL ENERGY LLC 27.6% REGX Energy 75703V10
REDIFY GROUP INC 10.0% RDFY Information Technology 75747A10
REDWOOD TRUST INC 10.9% RWT Financials 75807540
REEDS INC 2.5% REED Consumer Staples 75833810
REFLECT SCIENTIFIC INC 16.2% RSCF Health Care 75866F10
REGAL BELOIT CORP 35.0% RBC Industrials 75875010
REGAL ENTERTAINMENT GROUP 35.5% RGC Consumer Discretionary 75876610
REGENCY CENTERS CORP 35.0% REG 75884910
REGENERON PHARMACEUTICALS 35.0% REGN Health Care 75886F10
REGENERX BIOPHARMACEUTICALS 3.3% RGN Health Care 75886X10
REGIS CORP/MN 8.9% RGS Consumer Discretionary 75893210
REGI U S INC 9.8% RGUS Industrials 75894310
REALTY FINANCE TRUST INC 7534B 75899Q93
REGENXBIO INC 0.9% RGNX Health Care 75901B10
REGIONAL MANAGEMENT CORP 35.7% RM Financials 75902K10
REGIONAL BRANDS INC 0.4% RGBD Industrials 75903Q20
REGO PAYMENT ARCHITECTES INC 3.2% RPMT Information Technology 75914110
REGULUS THERAPEUTICS INC 8.9% RGLS Health Care 75915K10
REGULUS RESOURCES INC 12.7% RGLSF Materials 75915M10
REGIONS FINANCIAL CORP 35.6% RF Financials 7591EP10
REINSURANCE GROUP AMER INC 23.6% RGA Financials 75935160
REIS INC 12.2% REIS Information Technology 75936P10
REJUVEL BIO-SCIENCES INC 24.2% NUUU Consumer Staples 75940810
RELIANCE STEEL & ALUMINUM CO 35.2% RS Materials 75950910
RELM WIRELESS CORP 20.7% RWC Information Technology 75952510
RELIV INTERNATIONAL INC 34.0% RELV Consumer Staples 75952R20
REMEDENT INC 34.6% REMI Health Care 75954T10
4.9% 75954W10
REMARK HOLDINGS INC MARK Information Technology 75955K10
RENASANT CORP 35.0% RNST Financials 75970E10
RENAISSANCE GOLD INC 20.0% RNSGF Materials 75971J10
RENEWABLE ENERGY GROUP INC 35.0% REGI Energy 75972A30
6.1% 75975760
RENOVACARE INC 2.9% RCAR Health Care 75988J10
RELIABILITY INC 11.1% REAL 75990310
20.0% 75990A10
REMSLEEP HOLDINGS INC RMSL Health Care 75990A20
REPRO MEDSYSTEMS INC 34.0% REPRC Health Care 75991010
REPLIGEN CORP 35.2% RGEN Health Care 75991610
RENT-A-CENTER INC 19.6% RCII Consumer Discretionary 76009N10
RENTECH INC 7.6% RTK Materials 76011220
REPUBLIC AIRWAYS HLDGS INC 10.9% RJET Industrials 76027610
REPLICEL LIFE SCIENCES INC 3.4% REPCF Health Care 76027P40
REPUBLIC BANCORP INC/KY 35.1% RBCAA Financials 76028120
REPROS THERAPEUTICS INC 0.0% RPRX Health Care 76028H20
REPUBLIC FIRST BANCORP INC 30.8% FRBK Financials 76041610
REPUBLIC SERVICES INC 35.0% RSG Industrials 76075910
RESEARCH FRONTIERS INC 3.0% REFR Information Technology 76091110
RESEARCH SOLUTIONS INC 15.1% RSSS Information Technology 76102510
RESERVE PETROLEUM CO 5.2% RSRV Energy 76110210
RESMED INC 35.0% RMD Health Care 76115210
RESOLUTE ENERGY CORP 0.1% REN Energy 76116A30
RESOLUTE FOREST PRODUCTS INC 6.6% RFP Materials 76117W10
RESONANT INC 0.0% RESN Information Technology 76118L10
RESOURCE CAPITAL CORP 36.9% RSO Financials 76120W70
RESPIRERX PHARMACEUTICALS 11.6% RSPI Health Care 76122720
RESOURCES CONNECTION INC 35.0% RECN Industrials 76122Q10
RESPONSE GENETICS INC 0.0% RGDX Health Care 76123U10
RETROPHIN INC 1.2% RTRX Health Care 76129910
RETRACTABLE TECHNOLOGIES INC 4.9% RVP Health Care 76129W10
RESTAURANT BRANDS INTL INC 35.0% QSR Consumer Discretionary 76131D10
RETAIL OPPORTUNITY INVTS CP 35.0% ROIC 76131N10
RETAIL PPTYS OF AMERICA INC 35.0% RPAI 76131V20
RETAILMENOT INC 35.0% SALE Information Technology 76132B10
REVANCE THERAPEUTICS INC 0.0% RVNC Health Care 76133010
REVEN HOUSING REIT INC 0.0% RVEN 76137820
REVLON CONSUMER PRODUCTS CP 7.7% 8135A Consumer Staples 76151900
REVLON INC -CL A 36.0% REV Consumer Staples 76152560
REVOLUTIONS MEDICAL CORP 0.0% RMCP Health Care 76154Q10
REVOLUTION LIGHTING TECHNLGS 5.9% RVLT Industrials 76155G20
0.4% 76156510
REX ENERGY CORP REXX Energy 76156550
REX AMERICAN RESOURCES CORP 35.8% REX Energy 76162410
5.3% 76164010
REXAHN PHARMACEUTICALS INC RNN Health Care 76164020
REXNORD CORP 35.0% RXN Industrials 76169B10
REXFORD INDUS REALTY 35.2% REXR 76169C10
REYNOLDS AMERICAN INC 35.0% RAI Consumer Staples 76171310
RHINO RESOURCE PARTNERS LP 2.7% RHNO Energy 76218Y20
RICE ENERGY INC 35.0% RICE Energy 76276010
RICE MIDSTREAM PARTNERS LP 35.0% RMP Energy 76281910
RICEBRAN TECHNOLOGIES 26.8% RIBT Consumer Staples 76283120
5.3% 76303T30
RICHARDSON ELECTRONICS LTD 39.2% RELL Information Technology 76316510
RICHMONT MINES INC 16.5% RIC Materials 76547T10
RIDGEFIELD ACQUISITION CORP 14.6% RDGA 76581610
RIGEL PHARMACEUTICALS INC 0.2% RIGL Health Care 76655960
RIGNET INC 38.0% RNET Energy 76658210
RIGHTSCORP INC 0.0% RIHT Information Technology 76658A10
RIGHTSIDE GROUP LTD 5.6% NAME Information Technology 76658B10
RINGCENTRAL INC 1.2% RNG Information Technology 76680R20
RING ENERGY INC 14.3% REI Energy 76680V10
RIO BRAVO OIL INC 8.1% RIOB Energy 76702R20
RIO SILVER INC 21.3% RYOOF Materials 76721A20
RISE GOLD CORP RYES Materials 76760M10
1.2% 76760R10
RISK(GEORGE) INDUSTRIES INC 34.0% RSKIA Information Technology 76772020
RITCHIE BROS AUCTIONEERS INC 35.0% RBA Industrials 76774410
RITE AID CORP 3.8% RAD Consumer Staples 76775410
RITTER PHARMACEUTICALS INC 26.9% RTTR Health Care 76783610
RIVER CITY BANK/CA 35.0% RCBC Financials 76803X10
RIVERVIEW BANCORP INC 30.5% RVSB Financials 76939710
RIVERVIEW FINANCIAL CORP 33.5% RIVE Financials 76940Q10
ROADRUNNER TRANS SYSTEMS INC 35.6% RRTS Industrials 76973Q10
ROBERT HALF INTL INC 35.0% RHI Industrials 77032310
ROCHESTER GAS & ELECTRC CORP 8.5% EAS1 Utilities 77136700
ROCK CREEK PHARMACEUTICALS 1.7% RCPI Health Care 77208120
ROCKET FUEL INC 1.1% FUEL Information Technology 77311110
ROCKWELL AUTOMATION 35.6% ROK Industrials 77390310
ROCKWELL COLLINS INC 35.0% COL Industrials 77434110
ROCKWELL DIAMONDS INC 25.9% RDIAF Materials 77434W20
ROCKWELL MEDICAL INC 7.9% RMTI Health Care 77437410
ROCKY BRANDS INC 34.3% RCKY Consumer Discretionary 77451510
ROCKY MOUNTAIN CHOC FACT INC 35.0% RMCF Consumer Staples 77467X10
ROGERS COMMUNICATIONS -CL B 35.0% RCI Telecommunication Services 77510920
ROGERS CORP 35.2% ROG Information Technology 77513310
0.6% 77543120
ROLLINS INC 35.0% ROL Industrials 77571110
ROOSTER ENERGY LTD 34.0% PRBEQ Energy 77661810
ROOT9B TECHNOLOGIES INC 15.4% RTNB Industrials 77665020
ROPER TECHNOLOGIES INC 35.0% ROP Industrials 77669610
RORINE INTL HOLDING CORP 19.1% RIHC Information Technology 77676710
ROSETTA STONE INC 0.7% RST Information Technology 77778010
ROSS STORES INC 35.0% ROST Consumer Discretionary 77829610
ROTATE BLACK INC 0.1% ROBK Consumer Discretionary 77866T30
ROYAL BANCSHARES/PA -CL A RBPAA Financials 78008110
ROYAL ENERGY RESOURCES INC ROYE Energy 78026P20
ROYAL GOLD INC 6.2% RGLD Materials 78028710
ROYAL HAWAIIAN ORCHARDS-LP 23.6% NNUTU Consumer Staples 78028T10
ROYALE ENERGY INC 19.0% ROYL Energy 78074G20
RUBICON MINERALS CORP 0.4% RBYCF Materials 78091150
ROYAL STANDARD MINERALS INC 3.9% RYSMF Materials 78091910
12.1% 78112T10
RUBICON TECHNOLOGY INC RBCN Information Technology 78112T20
RUBICON PROJECT INC 17.0% RUBI Information Technology 78112V10
RUBY TUESDAY INC 3.6% RT Consumer Discretionary 78118210
RUDOLPH TECHNOLOGIES INC 33.1% RTEC Information Technology 78127010
RUSH ENTERPRISES INC 35.1% RUSHA Industrials 78184620
RUSSEL METALS INC 2.5% RUSMF Industrials 78190360
RUSORO MINING LTD 31.9% RMLFF Materials 78222710
RUTHS HOSPITALITY GROUP INC 35.1% RUTH Consumer Discretionary 78333210
RYDER SYSTEM INC 28.1% R Industrials 78354910
RYERSON HOLDING CORP 9.7% RYI Materials 78375410
RYMAN HOSPITALITY PPTYS INC RHP 78377T10
S & T BANCORP INC 35.0% STBA Financials 78385910
SB FINANCIAL GROUP INC 3.9% SBFG Financials 78408D10
S&P GLOBAL INC 35.0% SPGI Financials 78409V10
SED INTERNATIONAL HLDGS INC 8.6% SED Information Technology 78410920
SBA COMMUNICATIONS CORP 35.0% SBAC 78410G10
SEI INVESTMENTS CO 35.0% SEIC Financials 78411710
SFX ENTERTAINMENT INC 1.8% SFXE Consumer Discretionary 78417830
SI FINANCIAL GROUP INC 34.1% SIFI Financials 78425V10
SJW GROUP 35.0% SJW Utilities 78430510
SL GREEN REALTY CORP 35.0% SLG 78440X10
SLM CORP 35.0% SLM Financials 78442P10
1.6% 78454K10
SM ENERGY CO 35.0% SM Energy 78454L10
SORL AUTO PARTS INC 35.0% SORL Consumer Discretionary 78461U10
SPX CORP 36.0% SPXC Industrials 78463510
SPS COMMERCE INC 35.0% SPSC Information Technology 78463M10
SS&C TECHNOLOGIES HLDGS INC 35.0% SSNC Information Technology 78467J10
SP PLUS CORP 35.0% SP Industrials 78469C10
SPX FLOW INC 35.0% FLOW Industrials 78469X10
SRC ENERGY INC 11.0% SRCI Energy 78470V10
STG GROUP INC STGG Industrials 78478D10
STR HOLDINGS INC 3.2% STRI Information Technology 78478V20
STW RESOURCES HOLDING CORP 0.7% STWSQ Energy 78484X20
SVB FINANCIAL GROUP 35.0% SIVB Financials 78486Q10
SPAR GROUP INC 33.9% SGRP Consumer Discretionary 78493310
SWK HOLDINGS CORP 2.5% SWKH Financials 78501P20
S&W SEED CO 35.0% SANW Consumer Staples 78513510
SABINE OIL & GAS CORP 0.9% SOGCQ Energy 78532P10
SABINE ROYALTY TRUST 35.2% SBR Energy 78568810
SABLE NATURAL RESOURCES CORP 2.3% SNREQ Energy 78573J10
SABRA HEALTH CARE REIT INC 35.0% SBRA 78573L10
SABRE CORP 35.3% SABR Information Technology 78573M10
SACHEM CAPITAL CORP SACH Financials 78590A10
SAEXPLORATION HOLDINGS INC 23.4% SAEX Energy 78636X20
SAFEGUARD SCIENTIFICS INC 2.6% SFE Financials 78644920
SAFETY INSURANCE GROUP INC 34.7% SAFT Financials 78648T10
SAGA COMMUNICATIONS -CL A 2.6% SGA Consumer Discretionary 78659830
SAGE THERAPEUTICS INC 10.5% SAGE Health Care 78667J10
SAIA INC 35.0% SAIA Industrials 78709Y10
ST JOE CO 35.4% JOE 79014810
ST JUDE MEDICAL INC 35.0% STJ Health Care 79084910
SAJAN INC 15.1% SAJA Information Technology 79379T20
SAKER AVIATION SERVICES INC 18.8% SKAS Industrials 79380Q10
SALEM MEDIA GROUP INC 12.4% SALM Consumer Discretionary 79409310
SALESFORCE.COM INC 34.3% CRM Information Technology 79466L30
SALISBURY BANCORP INC 34.3% SAL Financials 79522610
SALLY BEAUTY HOLDINGS INC 35.0% SBH Consumer Discretionary 79546E10
SALON MEDIA GROUP INC 16.0% SLNM Information Technology 79550B20
SAN DIEGO GAS & ELECTRIC CO 34.7% SRE4 Utilities 79744000
SAN JUAN BASIN ROYALTY TR 10.7% SJT Energy 79824110
SAN LOTUS HOLDING INC 21.7% SLOT Consumer Discretionary 79854T20
SANCHEZ ENERGY CORP 15.2% SN Energy 79970Y10
SANCHEZ MIDSTREAM PARTNRS LP 19.8% SNMP Energy 79971C20
34.0% 8.16E+21
SANDERSON FARMS INC 35.0% SAFM Consumer Staples 80001310
SANDRIDGE ENERGY INC 0.8% SD Energy 80007P86
SANDSPRING RESOURCES LTD 17.3% SSPXF Materials 80011050
SANDSTON CORP 2.1% SDON 80011110
SANDSTORM GOLD LTD 10.6% SAND Materials 80013R20
SANDY SPRING BANCORP INC 35.1% SASR Financials 80036310
SANFILIPPO JOHN B&SON 35.0% JBSS Consumer Staples 80042210
SANGAMO THERAPEUTICS INC 2.0% SGMO Health Care 80067710
SANMINA CORP 22.9% SANM Information Technology 80105610
SANOMEDICS INC 0.1% SIMH Health Care 80106340
SANTA CRUZ COUNTY BANK 34.0% SCZC Financials 80182710
SANTA FE FINANCIAL CORP 34.1% SFEF Consumer Discretionary 80201410
SANTA FE GOLD CORP 0.0% SFEG Materials 80201E10
SANTACRUZ SILVER MINING LTD 26.3% SZSMF Materials 80280U10
SANTARO INTERACTIVE ENTMT CO 8.2% STIE Information Technology 80281610
SANTANDER CONSUMER USA HLDGS 28.5% SC Financials 80283M10
SANTO MINING CORP 2.4% SANP Materials 80289920
SANTANDER HOLDINGS USA INC 35.1% STD2 Financials 80299Z00
SANUWAVE HEALTH INC 3.4% SNWV Health Care 80303D10
SARATOGA INVESTMENT CORP 35.0% SAR Financials 80349A20
SARATOGA RESOURCES INC 0.8% SARA Energy 80352110
SAREPTA THERAPEUTICS INC 0.5% SRPT Health Care 80360710
SAUER ENERGY INC 6.3% SENY Industrials 80413610
SAUL CENTERS INC 35.0% BFS 80439510
SCANA CORP 35.1% SCG Utilities 80589M10
SCANSOURCE INC 35.0% SCSC Information Technology 80603710
SCHEIN (HENRY) INC 35.0% HSIC Health Care 80640710
SCHLUMBERGER LTD 6.6% SLB Energy 80685710
SCHMITT INDUSTRIES INC/OR 7.9% SMIT Information Technology 80687020
SCHNITZER STEEL INDS -CL A 21.2% SCHN Materials 80688210
SCHOLASTIC CORP 35.3% SCHL Consumer Discretionary 80706610
SCHOOL SPECIALTY INC 5.6% SCOO Consumer Discretionary 80786410
SCHULMAN (A.) INC 35.0% SHLM Materials 80819410
SCHWAB (CHARLES) CORP 35.0% SCHW Financials 80851310
SCHWEITZER-MAUDUIT INTL INC 35.2% SWM Materials 80854110
SCIENCE APPLICATIONS INTL CP 36.2% SAIC Information Technology 80862510
SCICLONE PHARMACEUTICALS INC 34.8% SCLN Health Care 80862K10
SCIENTIFIC ENERGY INC 11.0% SCGY Information Technology 80873120
SCIENTIFIC GAMES CORP 36.8% SGMS Consumer Discretionary 80874P10
SCIENTIFIC INDUSTRIES INC 34.0% SCND Health Care 80875710
SCIENTIFIC LEARNING CORP 4.3% SCIL Information Technology 80876010
SCIO DIAMOND TECHNOLOGY CORP 3.1% SCIO Materials 80883110
SCORES HOLDING CO INC 3.4% SCRH Consumer Discretionary 80917W20
SCORPIO GOLD CORP 2.0% SRCRF Materials 80918M10
SCOTTS MIRACLE-GRO CO 35.0% SMG Materials 81018610
SCOTT'S LIQUID GOLD 34.1% SLGD Consumer Staples 81020210
EW SCRIPPS -CL A 10.5% SSP Consumer Discretionary 81105440
SCRIPPS NETWORKS INTERACTIVE 35.0% SNI Consumer Discretionary 81106510
SCYNEXIS INC 3.4% SCYX Health Care 81129210
SEA BREEZE POWER CORP 2.3% SBEZF Utilities 81132710
SEABOARD CORP 35.5% SEB Consumer Staples 81154310
SEACHANGE INTERNATIONAL INC 11.5% SEAC Information Technology 81169910
SEACOAST BANKING CORP/FL 5.7% SBCF Financials 81170780
SEAFARER EXPLORATION CORP 26.0% SFRX Industrials 81173310
SEACOR HOLDINGS INC 18.8% CKH Energy 81190410
SEABRIDGE GOLD INC 2.9% SA Materials 81191610
SEALED AIR CORP 37.4% SEE Materials 81211K10
SEARCHLIGHT MINERALS CORP 7.0% SRCH Materials 81222420
SEARS CANADA INC 5.1% SRSC Consumer Discretionary 81234D10
SEARS HOLDINGS CORP 2.5% SHLD Consumer Discretionary 81235010
SEARS HOMETOWN & OUTLET STR 21.0% SHOS Consumer Discretionary 81236210
SEASPINE HOLDINGS CORP 0.3% SPNE Health Care 81255T10
SEATTLE GENETICS INC 2.8% SGEN Health Care 81257810
SEAWORLD ENTERTAINMENT INC 18.6% SEAS Consumer Discretionary 81282V10
SECOND SIGHT MEDICAL PRODS 2.2% EYES Health Care 81362J10
SECTOR 5 INC 0.3% SFIV Consumer Discretionary 81372K10
SECURITY FEDERAL CORP 34.0% SFDL Financials 81390310
SECURITY NATL FINL CP -CL A 5.0% SNFCA Financials 81478530
SLEEP NUMBER CORP 35.0% SNBR 81616X10
SELECT BANCORP INC 35.0% SLCT Financials 81617L10
SELECT INCOME REIT 35.0% SIR 81618T10
SELECT SANDS CORP 1.8% SLSDF Materials 81619L10
SELECT MEDICAL HOLDINGS CORP 35.0% SEM Health Care 81619Q10
SELECTA BIOSCIENCES INC SELB Health Care 81621210
SELECTIVE INS GROUP INC 35.1% SIGI Financials 81630010
SEMGROUP CORP 23.2% SEMG Energy 81663A10
SEMILEDS CORP 1.3% LEDS Information Technology 81664520
SEMLER SCIENTIFIC INC 0.2% SMLR Health Care 81684M10
SEMTECH CORP 33.4% SMTC Information Technology 81685010
SEMPRA ENERGY 35.2% SRE Utilities 81685110
SENSE TECHNOLOGIES INC 0.0% SNSGF Information Technology 81692320
SENECA FOODS CORP 35.0% SENEA Consumer Staples 81707050
SENESTECH INC SNES Health Care 81720R10
SENIOR HOUSING PPTYS TRUST 35.0% SNH 81721M10
SENOMYX INC 3.8% SNMX Materials 81724Q10
SENSIENT TECHNOLOGIES CORP 35.0% SXT Materials 81725T10
SENSEONICS HLDGS INC 0.0% SENS Health Care 81727U10
SENSUS HEALTHCARE INC 28.4% SRTS Health Care 81728J10
SENTRY TECHNOLOGY CORP 2.8% SKVY Information Technology 81731K10
SEQUENTIAL BRANDS GROUP INC 34.9% SQBG Consumer Discretionary 81734P10
SERES THERAPEUTICS INC 1.0% MCRB Health Care 81750R10
SERINUS ENERGY INC 21.4% SNUYF Energy 81752K10
SERVICE CORP INTERNATIONAL 35.5% SCI Consumer Discretionary 81756510
SERVICEMASTER GLOBAL HLDGS 35.0% SERV Consumer Discretionary 81761R10
SERVICENOW INC 0.6% NOW Information Technology 81762P10
SERVICESOURCE INTL INC 26.6% SREV Information Technology 81763U10
SERVISFIRST BANCSHARES INC 35.0% SFBS Financials 81768T10
SERVOTRONICS INC 28.6% SVT Industrials 81773210
SEVCON INC 1.5% SEV Information Technology 81783K10
SEVEN ARTS ENTERTAINMENT INC 0.4% SAPX Consumer Discretionary 81783N50
SEVEN STARS CLOUD GROUP INC SSC Information Technology 81789Y10
SERVICEMASTER CO 24.2% 5946B Consumer Discretionary 81799P95
SEVENTY SEVEN ENERGY INC 2.5% SVNT Energy 81809A10
SEVERN BANCORP INC 33.6% SVBI Financials 81811M10
SEVION THERAPEUTICS INC 2.2% SVON Health Care 81834Q10
SHAKE SHACK INC 35.0% SHAK Consumer Discretionary 81904710
SHARPS COMPLIANCE CORP 18.3% SMED Health Care 82001710
SHARPSPRING INC 3.0% SHSP Information Technology 82005410
SHAW COMMUNICATIONS INC-CL B 35.0% SJR Consumer Discretionary 82028K20
SHELL MIDSTREAM PARTNERS LP 35.0% SHLX Energy 82263410
SHENANDOAH TELECOMMUN CO 35.0% SHEN Telecommunication Services 82312B10
SHERWIN-WILLIAMS CO 35.0% SHW Materials 82434810
SHILOH INDUSTRIES INC 29.3% SHLO Consumer Discretionary 82454310
SHINER INTERNATIONAL INC 33.7% BEST Materials 82456810
SHOE CARNIVAL INC 36.0% SCVL Consumer Discretionary 82488910
23.9% 82489D10
SHOPIFY INC 2.0% SHOP Information Technology 82509L10
SHORE BANCSHARES INC 7.0% SHBI Financials 82510710
SHORETEL INC 12.3% SHOR Information Technology 82521110
SHUTTERFLY INC 26.6% SFLY Consumer Discretionary 82568P30
SHUTTERSTOCK INC 20.9% SSTK Information Technology 82569010
SIEBERT FINANCIAL CORP 0.6% SIEB Financials 82617610
SIERRA BANCORP/CA 35.0% BSRR Financials 82620P10
SIENTRA INC 9.1% SIEN Health Care 82621J10
SIERRA MONITOR CORP 26.1% SRMC Information Technology 82640010
SIERRA ONCOLOGY 0.0% SRRA Health Care 82640U10
SIERRA PACIFIC POWER CO 14.5% SRP1 Utilities 82641800
SIERRA WIRELESS INC 25.4% SWIR Information Technology 82651610
SIFCO INDUSTRIES 34.2% SIF Industrials 82654610
SIGMA DESIGNS INC 4.4% SIGM Information Technology 82656510
SIGMA LABS INC 9.6% SGLB Industrials 82659830
SIGMATRON INTERNATIONAL INC 3.9% SGMA Information Technology 82661L10
SIGNATURE BANK/NY 35.0% SBNY Financials 82669G10
SIGNATURE OFFICE REIT INC 35.0% SIZF Financials 82670Y10
SIGA TECHNOLOGIES INC 13.6% SIGA Health Care 82691710
SILICON LABORATORIES INC 35.0% SLAB Information Technology 82691910
SILGAN HOLDINGS INC 35.8% SLGN Materials 82704810
SILICON GRAPHICS INTL CORP SGI Information Technology 82706L10
SILVER BAY REALTY TRUST CORP 34.0% SBY 82735Q10
SILVER BULL RESOURCES INC 12.1% SVBL Materials 82745810
SILVER FIELDS RESOURCES INC 5.3% SFRFF Materials 82771N30
SILVER SPRING NETWORKS INC 4.7% SSNI Information Technology 82817Q10
8.9% 82823L10
35.1% 82833610
SILVERCREST ASSET MGT 34.8% SAMG Financials 82835910
SILVERCORP METALS INC 22.1% SVM Materials 82835P10
SILVERBOW RESOURCES INC SBOW Energy 82836G10
SILVERSUN TECHNOLOGIES INC 33.7% SSNT Information Technology 82846H20
SIMMONS FIRST NATL CP -CL A 35.0% SFNC Financials 82873020
SIMON PROPERTY GROUP INC 35.0% SPG 82880610
SIMON WORLDWIDE INC 10.3% SWWIE Consumer Discretionary 82881510
SIMPSON MANUFACTURING INC 35.0% SSD Industrials 82907310
SIMULATIONS PLUS INC 34.0% SLP Health Care 82921410
82922310
SINCLAIR BROADCAST GP -CL A 35.0% SBGI Consumer Discretionary 82922610
SINGING MACHINE CO INC 16.8% SMD Consumer Discretionary 82932230
SINO UNITED WORLDWIDE CNSLDT SUIC Consumer Discretionary 82935410
SINO AGRO FOOD INC 35.0% SIAF Consumer Staples 82935520
SINO-GLOBAL SHIPPING AMERICA 3.0% SINO Industrials 82935V10
SIRONA BIOCHEM CORP 0.1% SRBCF Health Care 82967M10
SIRIUS XM HOLDINGS INC 9.9% SIRI Consumer Discretionary 82968B10
SITEONE LANDSCAPE SUPPLY INC SITE Industrials 82982L10
SITO MOBILE LTD 1.9% SITO Information Technology 82988R20
SIX FLAGS ENTERTAINMENT CORP 24.7% SIX Consumer Discretionary 83001A10
6D GLOBAL TECHNOLOGIES 0.0% SIXD Information Technology 83002F10
SKECHERS U S A INC 35.0% SKX Consumer Discretionary 83056610
SKINVISIBLE INC 6.0% SKVI Consumer Staples 83070310
SKKYNET CLOUD SYSTEMS INC 0.9% SKKY Information Technology 83071910
SKYLINE CORP 15.8% SKY Consumer Discretionary 83083010
SKYLINE MEDICAL INC 2.2% SKLN 83084T60
38.0% 83086T30
SKYWEST INC 35.2% SKYW Industrials 83087910
SKYSTAR BIO-PHARMACEUTICAL 35.7% SKBI Health Care 83088430
SKYWORKS SOLUTIONS INC 35.0% SWKS Information Technology 83088M10
SSI INVESTMENTS II LTD 6.3% 6027B Information Technology 83099Z91
SMARTMETRIC INC 6.6% SMME Information Technology 83171T10
SMARTHEAT INC 4.8% HEAT Industrials 83172F20
SMITH (A O) CORP 35.0% AOS Industrials 83186520
SMART & FINAL STORES INC 35.3% SFS Consumer Staples 83190B10
SMART SAND INC SND Energy 83191H10
SMITH MICRO SOFTWARE INC 12.0% SMSI Information Technology 83215420
SMITH-MIDLAND CORP 33.9% SMIDC Materials 83215610
SMTC CORP 3.6% SMTX Information Technology 83268220
SMUCKER (JM) CO 35.0% SJM Consumer Staples 83269640
SMITHFIELD FOODS INC 35.2% 0173A Consumer Staples 83299A00
SNAP-ON INC 35.0% SNA Industrials 83303410
SNIPP INTERACTIVE INC 6.4% SNIPF Consumer Discretionary 83306Y10
SNYDERS-LANCE INC 35.2% LNCE Consumer Staples 83355110
SOCIAL REALITY INC 8.1% SRAX Consumer Discretionary 83362P30
SOCKET MOBILE INC 14.4% SCKT Information Technology 83368E20
SOFTECH INC 2.0% SOFT Information Technology 83402120
SOHU.COM INC 17.3% SOHU Information Technology 83408W10
SOLAR CAPITAL LTD 3.4% SLRC Financials 83413U10
SOLAR SENIOR CAPITAL LTD 33.7% SUNS Financials 83416M10
SOLARWINDOW TECHNOLOGIES INC 7.3% WNDW Information Technology 83417L10
SOLAREDGE TECHNOLOGIES INC 35.0% SEDG Information Technology 83417M10
83420310
SOLIGENIX INC 1.8% SNGX Health Care 83422330
SOLITRON DEVICES INC 34.8% SODI Information Technology 83425620
SOLO INTERNATIONAL INC 15.5% SLIO Materials 83427E20
SOLITARIO EXPLORATION & RLTY 1.1% XPL Materials 8342EP10
SOMERSET TRUST HOLDING CO 35.8% SOME Financials 83512610
SONDE RESOURCES CORP 4.0% SOQ Energy 83542620
SONIC CORP 35.0% SONC Consumer Discretionary 83545110
SONIC AUTOMOTIVE INC -CL A 4.8% SAH Consumer Discretionary 83545G10
SONIC FOUNDRY INC 27.4% SOFO Information Technology 83545R20
SONO-TEK CORP 17.3% SOTK Information Technology 83548310
SONOCO PRODUCTS CO 35.0% SON Materials 83549510
SONOMA PHARMACEUTICALS INC 14.0% SNOA Health Care 83558L10
SONORA RESOURCES CORP 0.3% SURE Materials 83565810
28.8% 83577M10
SOPHIRIS BIO INC 3.6% SPHS Health Care 83578Q20
SORRENTO THERAPEUTICS INC 2.6% SRNE Health Care 83587F20
SOTHEBY'S 35.0% BID Consumer Discretionary 83589810
10.7% 83591650
SOTHERLY HOTELS INC 35.0% SOHO 83600C10
SOUL & VIBE INTERACTIVE INC 6.0% SOUL Information Technology 83605040
SOUND FINANCIAL BANCORP INC 34.0% SFBC Financials 83607A10
SOUPMAN INC 7.8% SOUPQ Consumer Staples 83611910
SOUTH AMERICAN GOLD CORP 2.8% SAGD Health Care 83630120
SOUTH CAROLINA ELEC & GAS CO 36.6% SCG1 Utilities 83700400
SOUTH JERSEY INDUSTRIES INC 33.1% SJI Utilities 83851810
SOUTH JERSEY GAS CO 2.4% SJI1 Utilities 83851M00
SOUTH STATE CORP 35.0% SSB Financials 84044110
SOUTHCROSS ENERGY PRTNRS LP 1.5% SXE Energy 84130C10
SOUTHEASTERN BANK FINL CORP 35.0% SBFC Financials 84158410
SOUTHERN BANC CO INC 0.8% SRN Financials 84223310
SOUTHERN BANCSHARES NC INC 35.0% SBNC Financials 84224310
SOUTHERN CALIFORNIA EDISON 35.0% EIX1 Utilities 84240000
SOUTHERN CALIFORNIA GAS CO 35.1% SRE2 Utilities 84243400
SOUTHERN CO 36.6% SO Utilities 84258710
SOUTHERN CONCEPTS RESTAURANT 10.5% RIBS Consumer Discretionary 84264D10
SOUTHERN COPPER CORP 35.0% SCCO Materials 84265V10
SOUTHERN FIRST BANKSHARES 35.0% SFST Financials 84287310
SOUTHERN MICH BANCORP INC 34.0% SOMC Financials 84336P10
SOUTHERN MISSOURI BANCP INC 35.0% SMBC Financials 84338010
SOUTHERN NATIONAL BANCORP VA 35.0% SONA Financials 84339510
SOUTHERN NATURAL GAS CO 35.0% SNT1 Energy 84345200
SOUTHERN POWER CO 34.8% SO6 Utilities 84364600
SOUTHERN STAR CENTRAL CORP 26.1% 0935B Energy 84383099
SOUTHERN CO GAS 36.7% SO7 Utilities 84399X00
SOUTHSIDE BANCSHARES INC 35.0% SBSI Financials 84470P10
SOUTHWEST AIRLINES 35.5% LUV Industrials 84474110
SOUTHWEST BANCORP INC 25.5% OKSB Financials 84476710
SOUTHWEST GAS HOLDINGS INC 3.8% SWX Utilities 84489510
SOUTHWEST GEORGIA FINL CORP 34.0% SGB Financials 84502A10
SOUTHWESTERN ELECTRIC PWR CO 8.9% AEP13 Utilities 84543700
SOUTHWESTERN ENERGY CO 13.4% SWN Energy 84546710
SOUTHWESTERN PUBLIC SVC CO 16.0% NCE2 Utilities 84574300
SOVEREIGN LITHIUM INC 0.2% SLCO Materials 84609P10
SPAN-AMERICA MEDICAL SYS INC 34.0% SPAN Health Care 84639610
SPANISH BROADCASTING SYS INC 10.8% SBSA Consumer Discretionary 84642583
SPARK ENERGY INC 36.0% SPKE Utilities 84651110
SPARK NETWORKS INC 2.7% LOV Information Technology 84651P10
SPARK THERAPEUTICS INC 0.4% ONCE Health Care 84652J10
SPARTAN GOLD LTD 17.3% SPAG Materials 84679420
SPARTAN MOTORS INC 30.6% SPAR Industrials 84681910
SPARTANNASH CO 35.2% SPTN Consumer Staples 84721510
SPARTON CORP 35.0% SPA Industrials 84723510
3.2% 84740Q10
SPECTRA ENERGY CORP SE Energy 84756010
SPECTRA ENERGY PARTNERS LP 35.3% SEP Energy 84756N10
SPECTRAL MEDICAL INC 0.1% EDTXF Health Care 84757710
SPECTRAL CAPITAL CORP 26.1% FCCN Information Technology 84757R10
SPECTRANETICS CORP 0.2% SPNC Health Care 84760C10
SPECTRASCIENCE INC 2.9% SCIE Health Care 84760E30
SPECTRA7 MICROSYSTEMS INC 9.6% SPVNF Information Technology 84761T10
SPECTRUM PHARMACEUTICALS INC 13.9% SPPI Health Care 84763A10
SPECTRUM GROUP INTL INC 8.3% SPGZ Consumer Discretionary 84763M20
SPECTRUM BRANDS HOLDINGS INC 35.0% SPB Consumer Staples 84763R10
SPEED COMMERCE INC 7.7% SPDC Information Technology 84764T30
SPEEDWAY MOTORSPORTS INC 12.5% TRK Consumer Discretionary 84778810
UNION GAS LTD 35.0% SE2 Energy 84799Y00
0.7% 84841L10
SPHERIX INC 4.7% SPEX Industrials 84842R40
SPINDLE INC 2.6% SPDL Information Technology 84854310
SPINDLETOP OIL & GAS CO 17.5% SPND Energy 84855020
SPIRE CORP 0.0% SPIR Information Technology 84856510
SPINE INJURY SOLUTIONS INC 27.4% SPIN Health Care 84856X10
SPIRIT AEROSYSTEMS HOLDINGS 36.4% SPR Industrials 84857410
SPIRIT AIRLINES INC 35.0% SAVE Industrials 84857710
SPIRAL TOYS INC 7.2% STOY Information Technology 84857J10
SPIRE INC 6.6% SR Utilities 84857L10
SPIRIT REALTY CAPITAL INC 35.0% SRC 84860W10
SPLUNK INC 4.0% SPLK Information Technology 84863710
SPOK HOLDINGS INC 27.0% SPOK Telecommunication Services 84863T10
SPORT ENDURANCE INC 0.1% SENZ Consumer Staples 84918P20
SPORTSMANS WAREHOUSE HLDGS 35.0% SPWH Consumer Discretionary 84920Y10
SPOT COFFEE LTD CDA 20.6% SCFFF Consumer Discretionary 84921K10
SPRAGUE RESOURCES LP 34.3% SRLP Energy 84934310
SPRING BANK PHARMACEUTICALS 0.0% SBPH Health Care 84943110
SPRINT CORP 11.2% S Telecommunication Services 85207U10
SPROUTS FARMERS MARKET 35.0% SFM Consumer Staples 85208M10
SPY INC 25.1% XSPY Consumer Discretionary 85219W10
SPYR INC 3.9% SPYR Information Technology 85219Y10
SQUARE INC 0.9% SQ Information Technology 85223410
STAAR SURGICAL CO 3.6% STAA Health Care 85231230
ST JOSEPH INC 6.4% STJO Industrials 85231M10
STAFFING GROUP LTD TSGL Industrials 85238320
STAFFING 360 SOLUTIONS INC 2.9% STAF 85238720
STAGE STORES INC 36.7% SSI Consumer Discretionary 85254C30
STAG INDUSTRIAL INC 35.0% STAG 85254J10
STAMPS.COM INC 6.0% STMP Information Technology 85285720
STANADYNE CORP 36.0% 0118A Industrials 85286100
STANDARD FINANCIAL CORP STND Financials 85303B10
SPECIAL DIVERSIFIED OPPS INC SDOIA Consumer Staples 85336L10
STANDARD FINANCIAL CORP MD 34.0% STND 85339310
STANDARD METALS PROCESSING 2.3% SMPR Materials 85361610
STANDARD MOTOR PRODS 35.0% SMP Consumer Discretionary 85366610
STANDEX INTERNATIONAL CORP 35.0% SXI Industrials 85423110
STANLEY FURNITURE CO INC 23.3% STLY Consumer Discretionary 85430520
STANLEY BLACK & DECKER INC 35.0% SWK Industrials 85450210
STANTEC INC 35.0% STN Industrials 85472N10
STAPLES INC 35.5% SPLS Consumer Discretionary 85503010
STAR GROUP LP 30.2% SGU Utilities 85512C10
STAR MOUNTAIN RESOURCES INC 0.0% SMRS Materials 85515510
STARBUCKS CORP 35.0% SBUX Consumer Discretionary 85524410
STARRETT (L.S.) CO -CL A 34.1% SCX Industrials 85566810
STARTEK INC 13.2% SRT Information Technology 85569C10
STATE AUTO FINANCIAL CORP 27.7% STFC Financials 85570710
STARWOOD PROPERTY TRUST INC 35.0% STWD Financials 85571B10
START SCIENTIFIC INC 9.8% STSC Energy 85571H10
STATE BANK FINANCIAL CORP 35.0% STBZ Financials 85619010
STATE NATIONAL COS INC 35.0% SNC Financials 85711T30
STATE STREET CORP 35.0% STT Financials 85747710
STATER BROS HOLDINGS INC 31.5% 9490B Consumer Staples 85755593
STEEL DYNAMICS INC 35.3% STLD Materials 85811910
STEEL PARTNERS HOLDINGS LP 35.0% SPLP Financials 85814R10
STEELCASE INC 30.2% SCS Industrials 85815520
STEIN MART INC 2.6% SMRT Consumer Discretionary 85837510
STELLAR BIOTECHNOLOGIES INC 23.2% SBOT Health Care 85855A20
STELLUS CAPITAL INVESTMENT 35.0% SCM Financials 85856810
STENA AB 35.0% 0218B Industrials 85857793
STEMCELLS INC 0.1% STEM Health Care 85857R30
STEPAN CO 35.0% SCL Materials 85858610
STEMLINE THERAPEUTICS INC 0.0% STML Health Care 85858C10
STERICYCLE INC 35.0% SRCL Industrials 85891210
STEREOTAXIS INC 6.5% STXS Health Care 85916J40
STERLING BANCORP 35.0% STL Financials 85917A10
STERLING CONSTRUCTION CO INC 18.9% STRL Industrials 85924110
STEVIA CORP 0.4% STEV Consumer Staples 86031P10
STEWARDSHIP FINANCIAL CORP 34.3% SSFN Financials 86032610
STEWART INFORMATION SERVICES 35.7% STC Financials 86037210
STIFEL FINANCIAL CORP 37.0% SF Financials 86063010
STILLWATER MINING CO 34.6% SWC Materials 86074Q10
STOCK YARDS BANCORP INC 35.0% SYBT Financials 86102510
STONE ENERGY CORP 7.5% SGY Energy 86164240
STONECASTLE FINANCIAL CORP 34.0% BANX Financials 86178010
STONEGATE BANK/FL 34.7% SGBK Financials 86181110
STONEGATE MORTGAGE CORP 35.0% SGM Financials 86181Q30
STONERIDGE INC SRI Consumer Discretionary 86183P10
STONEMOR PARTNERS LP 8.3% STON Consumer Discretionary 86183Q10
STORE CAPITAL CORP 35.0% STOR 86212110
STRAIGHT PATH COMMUNICATIONS 1.4% STRP Telecommunication Services 86257810
7.8% 86270C10
STRATEGIC ENVIRONMTL& ENERGY 8.8% SENR Industrials 86271N10
4.1% 86272A10
STRATA SKIN SCIENCES INC SSKN Health Care 86272A20
STRATEX OIL & GAS HLDGS INC 2.1% STTX Energy 86280B10
STRATTEC SECURITY CORP 35.6% STRT Consumer Discretionary 86311110
STRATUS PROPERTIES INC 2.6% STRS 86316720
STRAYER EDUCATION INC 36.3% STRA Consumer Discretionary 86323610
STREAMLINE HEALTH SOLUTIONS 21.3% STRM Health Care 86323X10
STREET CAPITAL GROUP INC 33.8% CXSNF Financials 86326Q10
STRYKER CORP 35.0% SYK Health Care 86366710
STUDENT TRANSPORTATION INC 35.0% STB Industrials 86388A10
STURGIS BANCORP INC 34.3% STBI Financials 86408710
STURM RUGER & CO INC 35.0% RGR Consumer Discretionary 86415910
SUBURBAN PROPANE PRTNRS -LP 35.9% SPH Utilities 86448210
SUFFOLK BANCORP 35.2% SCNB Financials 86473910
SUCAMPO PHARMACEUTICALS INC 35.0% SCMP Health Care 86490910
SUGARMADE INC SGMD Materials 86504010
SUMMER ENERGY HOLDINGS INC 28.6% SUME Utilities 86563410
SUMMER INFANT INC 20.4% SUMR Consumer Discretionary 86564610
SUMMIT FINANCIAL GROUP INC 35.0% SMMF Financials 86606G10
SUMMIT HOTEL PROPERTIES INC 35.0% INN 86608210
SUMMIT MIDSTREAM PARTNERS LP 35.0% SMLP Energy 86614210
SUMMIT MATERIALS INC 35.0% SUM Materials 86614U10
SUMMIT STATE BANK 34.0% SSBI Financials 86626420
SUN BANCORP INC/NJ 6.7% SNBC Financials 86663B20
SUN COMMUNITIES INC 35.5% SUI 86667410
SUN LIFE FINANCIAL INC 35.6% SLF Financials 86679610
SUN HYDRAULICS CORP 35.3% SNHY Industrials 86694210
SUNCOR ENERGY INC 3.7% SU Energy 86722410
SUNCOKE ENERGY INC 35.0% SXC Materials 86722A10
SUNCOKE ENERGY PARTNERS LP 36.3% SXCP Materials 86722Y10
SUNDANCE STRATEGIES INC 28.3% SUND Financials 86726Q10
SUNESIS PHARMACEUTICALS INC 2.5% SNSS Health Care 86732870
SUNEDISON INC 1.9% SUNE Information Technology 86732Y10
SUNGARD DATA SYSTEMS INC 35.3% 0139A Information Technology 86736400
SUNGAME CORP 9.2% SGMZ Information Technology 86737J20
SUNLINK HEALTH SYSTEMS INC 1.8% SSY Health Care 86737U10
SUNOCO LOGISTICS PARTNERS LP 35.0% SXL Energy 86764L10
SUNPOWER CORP 0.8% SPWR Information Technology 86765240
SUNOCO LP 35.0% SUN Energy 86765K10
SUNOPTA INC 35.0% STKL Consumer Staples 8676EP10
SUNRISE REAL ESTATE GRP INC 31.8% SRRE 86770K10
SUNRUN INC 0.0% RUN Industrials 86771W10
SUNSHINE BANCORP INC 24.5% SBCP Financials 86777J10
SUNSHINE FINANCIAL INC SSNF Financials 86782T10
20.3% 86782U30
SUNSTONE HOTEL INVESTORS INC 35.3% SHO 86789210
SUNTRUST BANKS INC 35.2% STI Financials 86791410
SUPERCONDUCTOR TECHNOLOGIES 11.5% SCON Information Technology 86793150
SUPER MICRO COMPUTER INC 35.0% SMCI Information Technology 86800U10
SUNWIN STEVIA INTL INC 0.7% SUWN Health Care 86803D10
SUNVAULT ENERGY INC 24.0% SVLT Information Technology 86803W10
SUNWORKS INC 22.5% SUNW Industrials 86803X10
SUPERIOR DRILLING PRODUCTS 2.1% SDPI Energy 86815310
SUPERIOR ENERGY SERVICES INC 35.0% SPN Energy 86815710
SUPERIOR INDUSTRIES INTL 35.3% SUP Consumer Discretionary 86816810
SUPERIOR UNIFORM GROUP INC 35.0% SGC Consumer Discretionary 86835810
SUPERNUS PHARMACEUTICALS INC 32.0% SUPN Health Care 86845910
SUPERNOVA ENERGY INC 0.4% SPRN Energy 86845R20
SUPERVALU INC 36.9% SVU 86853610
SUPERVALU INC SVU Consumer Staples 86853630
SUPPORT.COM INC 12.0% SPRT Information Technology 86858W20
SUPREME INDUSTRIES INC 35.0% STS Industrials 86860710
SUREPURE INC 20.9% SURP Industrials 86867A10
SURGERY PARTNERS INC 11.0% SGRY Health Care 86881A10
SURGICAL CARE AFFILIATES INC 35.2% SCAI Health Care 86881L10
SURMODICS INC 34.6% SRDX Health Care 86887310
SURNA INC 0.0% SRNA Industrials 86887P10
SURREY BANCORP 34.0% SRYB Financials 86888W10
SURGE COMPONENTS INC 38.7% SPRS Information Technology 86890810
SUSSEX BANCORP 34.0% SBBX Financials 86924510
SUTOR TECHNOLOGY GROUP LTD 35.1% TOR Materials 86936220
0.3% 87073T10
SWIFT TRANSPORTATION CO 35.5% SWFT Industrials 87074U10
SYKES ENTERPRISES INC 36.1% SYKE Information Technology 87123710
SYLOGIST LTD 35.7% SYZLF Information Technology 87132P10
SYMANTEC CORP 4.1% SYMC Information Technology 87150310
8.6% 87150X10
SYNACOR INC 1.6% SYNC Information Technology 87156110
SYNALLOY CORP 19.4% SYNL Materials 87156510
SYNCHRONOSS TECHNOLOGIES 35.1% SNCR Information Technology 87157B10
SYNAPTICS INC 35.0% SYNA Information Technology 87157D10
SYNOPSYS INC 36.6% SNPS Information Technology 87160710
SYNOVUS FINANCIAL CORP 35.0% SNV Financials 87161C50
8.1% 87162810
SYNTEL INC 35.0% SYNT Information Technology 87162H10
SYNNEX CORP 35.0% SNX Information Technology 87162W10
SYNERGY PHARMACEUTICALS INC 1.2% SGYP Health Care 87163930
SYNUTRA INTERNATIONAL INC 33.2% SYUT Consumer Staples 87164C10
SYNDAX PHARMACEUTICALS INC SNDX Health Care 87164F10
SYNTHETIC BIOLOGICS INC 0.1% SYN Health Care 87164U10
SYPRIS SOLUTIONS INC 8.9% SYPR Consumer Discretionary 87165510
SYNCHRONY FINANCIAL 35.5% SYF Financials 87165B10
SYNERGY CHC CORP SNYR Consumer Staples 87165D10
SYSCO CORP 35.7% SYY Consumer Staples 87182910
SYROS PHARMACEUTICALS INC SYRS Health Care 87184Q10
SYSTEMAX INC 11.7% SYX Information Technology 87185110
SYSTEM ENERGY RESOURCES INC 3.9% ETR6 Utilities 87191100
TCF FINANCIAL CORP 35.0% TCF Financials 87227510
TC PIPELINES LP 35.0% TCP Energy 87233Q10
TD AMERITRADE HOLDING CORP 35.0% AMTD Financials 87236Y10
TEL OFFSHORE TRUST 11.5% TELOZ Energy 87238210
TESSCO TECHNOLOGIES INC 35.0% TESS Information Technology 87238610
TCP CAPITAL CORP 35.5% TCPC Financials 87238Q10
TFS FINANCIAL CORP 35.0% TFSL Financials 87240R10
THL CREDIT INC 35.0% TCRD Financials 87243810
0.8% 87243Y10
TICC CAPITAL CORP 35.4% TICC Financials 87244T10
T J T INC 15.1% AXLE Consumer Discretionary 87253810
TJX COMPANIES INC 35.0% TJX Consumer Discretionary 87254010
TMM INC 1.3% TMMI Information Technology 87258Q10
T-MOBILE US INC 35.0% TMUS Telecommunication Services 87259010
TRC COS INC 35.7% TRR Industrials 87262510
TRI POINTE GROUP INC 35.0% TPH Consumer Discretionary 87265H10
TPG SPECIALTY LENDING INC 35.0% TSLX Financials 87265K10
TPI COMPOSITES INC 35.0% TPIC Industrials 87266J10
TSR INC 20.6% TSRI Information Technology 87288520
TSS INC 0.6% TSSI Industrials 87288V10
TTM TECHNOLOGIES INC 37.1% TTMI Information Technology 87305R10
TABLEAU SOFTWARE INC 6.4% DATA Information Technology 87336U10
TABULA RASA HEALTHCARE INC TRHC Health Care 87337910
TACTILE SYSTEMS TECHNOLOGY 34.0% TCMD Health Care 87357P10
TAG OIL LTD 0.8% TAOIF Energy 87377N20
TAHOE RESOURCES INC 35.0% TAHO Materials 87386810
TAITRON COMPONENTS -CL A 11.7% TAIT Information Technology 87402810
TAILORED BRANDS INC 35.0% TLRD Consumer Discretionary 87403A10
TAKE-TWO INTERACTIVE SFTWR 5.6% TTWO Information Technology 87405410
TAKUNG ART CO LTD TKAT Information Technology 87407Q20
TALLGRASS ENERGY GROUP LP 35.0% TEGP Energy 87469610
TALLGRASS ENERGY PRT LP 35.0% TEP Energy 87469710
TALON INTERNATIONAL INC 3.4% TLN Consumer Discretionary 87484F10
TAMPA ELECTRIC CO 35.7% TE1 Utilities 87512700
2.3% 87537210
TANDY BRANDS ACCESSORIES INC 2.1% TBAC Consumer Discretionary 87537810
TANDY LEATHER FACTORY INC 34.0% TLF Consumer Discretionary 87538X10
TANGER FACTORY OUTLET CTRS 35.0% SKT 87546510
TANGOE INC 38.0% TNGO Information Technology 87582Y10
TANGO MINING LTD 27.4% FDGMF Energy 87583C10
TANZANIAN ROYALTY EXPLOR CP 0.6% TRX Materials 87600U10
TAPIMMUNE INC 2.2% TPIV Health Care 87603340
TARA GOLD RESOURCES CORP 3.0% TRGD Materials 87609C10
TARGET CORP 35.0% TGT Consumer Discretionary 87612E10
TARGA RESOURCES CORP 35.1% TRGP Energy 87612G10
TARGETED MEDICAL PHARMA INC 3.3% TRGM Health Care 87614010
TARSIER LTD 17.4% TAER Industrials 87649110
TASEKO MINES LTD 1.5% TGB Materials 87651110
AXON ENTERPRISE INC 35.0% AAXN 87651B10
TAUBMAN CENTERS INC 35.0% TCO 87666410
TAXUS CARDIUM PHARMACEUTICLS 10.9% CRXM Health Care 87676710
TAYLOR CALVIN B BANKSHARES 34.0% TYCB Financials 87683810
TAYLOR DEVICES INC 34.0% TAYD Industrials 87716310
TAYLOR MORRISON HOME CORP 33.8% TMHC Consumer Discretionary 87724P10
TEAM INC 36.5% TISI Industrials 87815510
TEARLAB CORP 6.0% TEAR Health Care 87819320
TECH DATA CORP 36.8% TECD Information Technology 87823710
TECHNICAL COMMUNICATIONS CP 3.3% TCCO Information Technology 87840910
TECHPRECISION CORP 0.8% TPCS Industrials 87873910
TECK RESOURCES LTD 34.6% TECK Materials 87874220
TECHTARGET INC 9.9% TTGT Information Technology 87874R10
TECOGEN INC 9.2% TGEN Industrials 87876P20
TEGNA INC 34.6% TGNA Consumer Discretionary 87901J10
TEJON RANCH CO 7.1% TRC 87908010
TEL-INSTRUMENT ELECTRONICS 22.0% TIK Industrials 87916520
TELADOC INC 0.2% TDOC Health Care 87918A10
TELEDYNE TECHNOLOGIES INC 35.8% TDY Industrials 87936010
TELEFLEX INC 36.6% TFX Health Care 87936910
TELEPHONE & DATA SYSTEMS INC 12.2% TDS Telecommunication Services 87943382
14.2% 87944X10
TELENAV INC 3.0% TNAV Information Technology 87945510
TELKONET INC 2.0% TKO Information Technology 87960410
TELIGENT INC 4.1% TLGT Health Care 87960W10
TELOS CORP/MD 14.1% 6534C Information Technology 87969B93
TELUS CORP 35.0% TU Telecommunication Services 87971M10
TELETECH HOLDINGS INC 35.0% TTEC 87993910
TEMPUR SEALY INTL INC 35.0% TPX Consumer Discretionary 88023U10
TENAX THERAPEUTICS INC 0.1% TENX 88032L10
TENET HEALTHCARE CORP 28.3% THC Health Care 88033G40
TENGASCO INC 0.0% TGC Energy 88033R50
TENNANT CO 35.0% TNC Industrials 88034510
TENNECO INC 37.0% TEN Consumer Discretionary 88034910
TENGION INC 23.3% TNGN Health Care 88034G20
TENNESSEE VALLEY AUTHORITY 35.2% 3015A Utilities 88059100
TERADATA CORP 37.1% TDC Information Technology 88076W10
TERADYNE INC 35.2% TER Information Technology 88077010
TEREX CORP 35.0% TEX Industrials 88077910
TERRA NITROGEN CO -LP 21.3% TNH Materials 88100520
TERRA TECH CORP 0.6% TRTC Health Care 88102J10
TERRAFORM GLOBAL INC 9.6% GLBL Utilities 88104M10
33.6% 88104R10
TERRAVIA HOLDINGS INC 1.9% TVIA Materials 88105A10
TERRITORIAL BANCORP INC 35.0% TBNK Financials 88145X10
TERRENO REALTY CORP 35.0% TRNO 88146M10
TESARO INC 0.0% TSRO Health Care 88156910
TESCO CORP 25.4% TESO Energy 88157K10
ANDEAVOR 35.1% ANDV 88160910
TESLA INC 2.3% TSLA Consumer Discretionary 88160R10
35.0% 88160T10
TETRA TECHNOLOGIES INC/DE 1.6% TTI Energy 88162F10
TETRA TECH INC 36.7% TTEK Industrials 88162G10
TETRAPHASE PHARMACEUTICALS 0.5% TTPH Health Care 88165N10
TETRALOGIC PHARMACEUTICALS 0.0% TLOG Health Care 88165U10
TETON ADVISORS INC 34.0% TETAA Financials 88165Y20
TEXAS CAPITAL BANCSHARES INC 35.0% TCBI Financials 88224Q10
TEXAS INSTRUMENTS INC 35.0% TXN Information Technology 88250810
TEXAS MINERAL RESOURCES CORP 23.2% TMRC Materials 88256L10
TEXAS NEW MEXICO POWER CO 33.7% PNM2 Utilities 88258700
TEXAS PACIFIC LAND TRUST 35.0% TPL Financials 88261010
TEXAS ROADHOUSE INC 35.0% TXRH Consumer Discretionary 88268110
TEXAS SOUTH ENERGY INC 23.9% TXSO Energy 88269V10
TEXCOM INC 33.4% TEXC Industrials 88289Q30
TEXTMUNICATION HOLDINGS INC 2.7% TXHD Information Technology 88317810
TEXTRON INC 35.1% TXT Industrials 88320310
TG THERAPEUTICS INC 0.0% TGTX Health Care 88322Q10
THEGLOBE.COM INC 17.8% TGLO Information Technology 88335R10
THERATECHNOLOGIES INC 4.0% THER Health Care 88338H10
THE ONE GROUP HOSPITALITY 35.0% STKS Consumer Discretionary 88338K10
THERAPEUTICSMD INC 1.0% TXMD Health Care 88338N10
TRADE DESK INC 35.0% TTD Information Technology 88339J10
THERMO FISHER SCIENTIFIC INC 35.0% TMO Health Care 88355610
THERMON GROUP HOLDINGS INC 35.0% THR Industrials 88362T10
THESTREET INC 14.3% TST Financials 88368Q10
THERMOENERGY CORP 3.5% TMEN Industrials 88390640
TEXTRON INC-PRE FASB 35.0% TXT.F Industrials 88399Z93
THIRD CENTURY BANCORP 34.0% 3TDCB Financials 88412010
37 CAPITAL INC 1.7% HHHEF Materials 88429G10
30DC INC 5.0% TDCH Information Technology 88430R10
THOMSON-REUTERS CORP 35.0% TRI Financials 88490310
THOR INDUSTRIES INC 35.0% THO Consumer Discretionary 88516010
3D SYSTEMS CORP 8.0% DDD Information Technology 88554D20
3M CO 35.0% MMM Industrials 88579Y10
THRESHOLD PHARMACEUTICALS 7.8% THLD Health Care 88580720
3POWER ENERGY GROUP INC 22.4% PSPW Utilities 88580V10
THT HEAT TRANSFER TECH INC 20.7% THTI Industrials 88603110
TIANYIN PHARMACEUTICAL CO 35.3% TPI Health Care 88630M10
TIDELANDS ROYALTY TRUST B 27.4% TIRTZ Energy 88641010
TIDEWATER INC NEW 36.8% TDW 88642310
TIDEWATER INC TDW Energy 88642R10
TIER REIT INC 5.9% TIER 88650V20
TIFFANY & CO 35.0% TIF Consumer Discretionary 88654710
TIGER OIL AND ENERGY INC 1.3% TGRO Energy 88674T10
TILE SHOP HOLDINGS INC 35.5% TTS Consumer Discretionary 88677Q10
TIGERLOGIC CORP 8.1% TIGR Information Technology 8867EQ10
TILLY'S INC 35.0% TLYS Consumer Discretionary 88688510
TIMBERLAND BANCORP INC 35.0% TSBK Financials 88709810
TIMBERLINE RESOURCES CORP 1.5% TLR Materials 88713320
TIME INC 35.6% TIME Consumer Discretionary 88722810
TIME WARNER INC 35.1% TWX Consumer Discretionary 88731730
TIMKEN CO 6.0% TKR Industrials 88738910
TIMKENSTEEL CORP 35.0% TMST Materials 88739910
8.0% 88741P10
TIPTREE INC 35.0% TIPT Financials 88822Q10
TITAN ENERGY LLC TTEN Energy 88829M10
TITAN INTERNATIONAL INC 16.8% TWI Industrials 88830M10
TITAN MACHINERY INC 6.0% TITN Industrials 88830R10
TITAN PHARMACEUTICALS INC 1.1% TTNP Health Care 88831430
TIVO CORP 35.1% TIVO Information Technology 88870P10
TIVITY HEALTH INC 36.6% TVTY Health Care 88870R10
TIX CORP 23.0% TIXC Consumer Discretionary 88873310
TN-K ENERGY GROUP INC 11.3% TNKY Energy 88874W10
TOACHI MINING INC 23.4% TIMGF Materials 88878510
TOFUTTI BRANDS INC 9.9% TOF Consumer Staples 88906B10
TOKAI PHARMACEUTICALS INC 0.2% TKAI Health Care 88907J10
TOLEDO EDISON CO 19.5% FE3 Utilities 88917500
TOLL BROTHERS INC 35.2% TOL Consumer Discretionary 88947810
TOMI ENVIRONMENTAL SOLUTINS 1.7% TOMZ Industrials 89002310
TOMPKINS FINANCIAL CORP 35.0% TMP Financials 89011010
TONIX PHARMACEUTICALS HLDG 2.2% TNXP Health Care 89026040
TOOTSIE ROLL INDUSTRIES INC 35.3% TR Consumer Staples 89051610
TOPBUILD CORP 35.0% BLD Consumer Discretionary 89055F10
TOR MINERALS INTL INC 28.1% TORM Materials 89087830
TOPS HOLDING II CORP 0186A Consumer Staples 89099A00
TORCHMARK CORP 35.1% TMK Financials 89102710
TORCHLIGHT ENERGY RESOURCES 0.5% TRCH Energy 89102U10
TORO CO 35.0% TTC Industrials 89109210
TOROTEL INC 33.3% TTLO Industrials 89130510
TOWER INTERNATIONAL INC 21.9% TOWR Consumer Discretionary 89182610
TOTAL SYSTEM SERVICES INC 35.0% TSS Information Technology 89190610
TOWERSTREAM CORP 3.5% TWER 89200020
TOWN & COUNTRY FINANCIAL CP 34.0% TWCF Financials 89203910
TOWN SPORTS INTL HOLDINGS 1.6% CLUB Consumer Discretionary 89214A10
TOWNEBANK 35.0% TOWN Financials 89214P10
TOWNSQUARE MEDIA INC 16.9% TSQ Consumer Discretionary 89223110
TOYOTA MOTOR CREDIT CORP 25.5% 5672A Financials 89233200
TOYS R US INC 36.4% 1231B Consumer Discretionary 89233593
TRACTOR SUPPLY CO 35.0% TSCO Consumer Discretionary 89235610
TOYS R US PROPERTY CO II LLC 35.0% 0166A Financials 89236M00
TRACON PHARMACEUTICALS INC 0.8% TCON Health Care 89237H10
TRACK GROUP INC 4.4% TRCK Information Technology 89237L10
TRANSACT TECHNOLOGIES INC 35.0% TACT Information Technology 89291810
TRANS ENERGY INC 5.0% TENG Energy 89323B30
TRANS-LUX CORP 16.9% TNLX Information Technology 89324730
TRANS WORLD ENTMT CORP 10.3% TWMC Consumer Discretionary 89336Q10
TRANS WORLD CORP/NV 34.0% TWOC Consumer Discretionary 89336R20
TRANSAKT LTD 13.5% TAKD Industrials 89345930
TRANSALTA RENEWABLES INC 2.4% TRSWF Utilities 89346310
TRANSALTA CORP 34.6% TAC Utilities 89346D10
TRANSCAT INC 34.4% TRNS Industrials 89352910
TRANSCANADA CORP 35.0% TRP Energy 89353D10
TRANSCONTINENTAL GAS PIPE LN 5.9% E1 Energy 89357000
TRANSCONTINENTAL RLTY INVS 31.4% TCI 89361720
TRANSDIGM GROUP INC 35.0% TDG Industrials 89364110
1.1% 89365K30
TRANSGENOMIC INC TBIOD Health Care 89365K40
TRANSGLOBE ENERGY CORP 12.7% TGA Energy 89366210
TRANSENTERIX INC 0.1% TRXC Health Care 89366M20
TRANSMONTAIGNE PARTNERS LP 35.0% TLP Energy 89376V10
TRANSUNION INTRMED HLDGS INC 38.2% 5141B Industrials 89399N94
TRANSUNION 35.0% TRU Industrials 89400J10
TRAVELCENTERS OF AMERICA LLC 35.3% TA Consumer Discretionary 89417410
TRAVELERS COS INC 35.0% TRV Financials 89417E10
TRAVELZOO 34.6% TZOO Information Technology 89421Q20
TRECORA RESOURCES 36.7% TREC Materials 89464810
TREDEGAR CORP 29.6% TG Materials 89465010
TREEHOUSE FOODS INC 35.0% THS Consumer Staples 89469A10
0.2% 89484Q10
TREX CO INC 35.0% TREX Industrials 89531P10
TREVENA INC 0.4% TRVN Health Care 89532E10
TRI CITY BANKSHARES CORP 38.1% TRCY Financials 89536410
TRIANGLE CAPITAL CORP 34.6% TCAP Financials 89584810
TRIANGLE PETROLEUM CORP 5.3% TPLM Energy 89600B20
TRIBUNE MEDIA CO 1.9% TRCO Consumer Discretionary 89604750
TRICO BANCSHARES 35.0% TCBK Financials 89609510
TRIDENT BRANDS INC 1.4% TDNT Consumer Staples 89616C20
PARAMOUNT RESOURCES (TEC) 21.7% TETZF Energy 89620H10
TRILLIUM THERAPEUTICS INC 7.6% TRIL Health Care 89620X50
TRIMAS CORP 35.0% TRS Industrials 89621520
TRILOGY METALS INC 1.9% TMQ Materials 89621C10
TRIMAX CORP 15.6% TMXN Financials 89622C20
TRIMBLE INC 35.3% TRMB Information Technology 89623910
TRIMEDYNE INC 7.7% TMED Health Care 89625930
TRIMOL GROUP INC 0.8% TMOL Information Technology 89627410
TRINET GROUP INC 20.9% TNET Industrials 89628810
TRINITY INDUSTRIES 35.5% TRN Industrials 89652210
TRINITY PLACE HOLDINGS INC 35.0% TPHS 89656D10
TRIO-TECH INTERNATIONAL 17.5% TRT Information Technology 89671220
TRIPLE-S MANAGEMENT CORP 35.0% GTS Health Care 89674910
TRIPLEPOINT VENTURE GWTH BDC TPVG Financials 89677Y10
TRISTATE CAPITAL HLDGS INC 35.0% TSC Financials 89678F10
TRISTAR WELLNESS SOLUTIONS 0.0% TWSI Consumer Staples 89678H10
TRITON EMISSION SOLUTIONS 30.6% DSOX Industrials 89678J10
TRIUMPH BANCORP INC 35.0% TBK Financials 89679E30
TRIUMPH GROUP INC 35.0% TGI Industrials 89681810
TRIPADVISOR INC 36.0% TRIP Consumer Discretionary 89694520
TRONC INC 4.8% TRNC Consumer Discretionary 89703P10
TROPICANA ENTERTAINMENT INC 18.5% TPCA Consumer Discretionary 89708X10
TROVAGENE INC 11.6% TROV Health Care 89723830
TRUECAR INC 9.5% TRUE Information Technology 89785L10
TRUEBLUE INC 35.0% TBI Industrials 89785X10
TRUETT-HURST INC 9.5% THST Consumer Staples 89787110
TRULI MEDIA GROUP INC 22.7% TRLI Information Technology 89788720
TRUPANION INC 9.9% TRUP Financials 89820210
TRUSTCO BANK CORP/NY 35.0% TRST Financials 89834910
TRUSTMARK CORP 35.0% TRMK Financials 89840210
TRXADE GROUP INC 19.4% TRXD Information Technology 89846A10
T2 BIOSYSTEMS INC 0.0% TTOO Health Care 89853L10
TUCOWS INC 37.1% TCX Information Technology 89869720
TUCSON ELECTRIC POWER CO 30.1% UNS1 Utilities 89881300
TUDOR CORP LTD 13.2% TDRLF Energy 89890110
TRUE VALUE CO 3.9% 2289B Consumer Discretionary 89899X93
TUESDAY MORNING CORP 35.0% TUES Consumer Discretionary 89903550
TUPPERWARE BRANDS CORP 35.0% TUP Consumer Discretionary 89989610
3.3% 9.73E+10
TURNING POINT BRANDS INC 35.3% TPB Consumer Staples 90041L10
TURNKEY CAPITAL INC TKCI Information Technology 90042T10
TURQUOISE HILL RESOURCES LTD 7.5% TRQ Materials 90043510
TURTLE BEACH CORP HEAR Consumer Discretionary 90045010
TUTOR PERINI CORP 35.0% TPC Industrials 90110910
TWENTY-FIRST CENTURY FOX INC 36.1% FOXA Consumer Discretionary 90130A10
21ST CENTURY ONCOLOGY HLDGS 35.6% ICC Health Care 90131G10
24/7 KID DOC INC 19.2% TVMD Health Care 90132N10
22ND CENTURY GROUP INC 10.9% XXII Consumer Staples 90137F10
TWILIO INC 0.0% TWLO Information Technology 90138F10
TWIN DISC INC 35.0% TWIN Industrials 90147610
TWINLAB CONSOLIDATED HLDGS 0.0% TLCC Consumer Staples 90177310
TWITTER INC 12.1% TWTR Information Technology 90184L10
35.9% 90187B10
TWO RIVERS WATER & FARMING 4.3% TURV Utilities 90207B10
TWO RIVER BANCORP 35.0% TRCB Financials 90207C10
II-VI INC 35.0% IIVI Information Technology 90210410
2U INC 0.0% TWOU Information Technology 90214J10
2050 MOTORS INC ETFM Consumer Discretionary 90214L10
TYLER TECHNOLOGIES INC 35.0% TYL Information Technology 90225210
TYSON FOODS INC -CL A 35.0% TSN Consumer Staples 90249410
UAN CULTURAL & CREATIVE CO 18.6% UCCC Consumer Discretionary 90255710
UDR INC 35.0% UDR 90265310
UCP INC 35.0% UCP Consumer Discretionary 90265Y10
UBI BLOCKCHAIN INTERNET 25.0% UBIA Information Technology 90266C10
UFP TECHNOLOGIES INC 34.9% UFPT Materials 90267310
UGI CORP 35.0% UGI Utilities 90268110
UGI UTILITIES INC 35.1% UGI1 Utilities 90269100
UMB FINANCIAL CORP 35.0% UMBF Financials 90278810
0.0% 90288A10
USA COMPRESSION PRTNRS LP 35.0% USAC Energy 90290N10
USA TRUCK INC 7.3% USAK Industrials 90292510
U S GLOBAL INVESTORS INC 26.5% GROW Financials 90295210
U S BANCORP 35.0% USB Financials 90297330
UMH PROPERTIES INC 38.0% UMH 90300210
UQM TECHNOLOGIES INC 0.1% UQM Consumer Discretionary 90321310
USANA HEALTH SCIENCES INC 35.0% USNA Consumer Staples 90328M10
USA TECHNOLOGIES INC 0.1% USAT Information Technology 90328S50
USG CORP 14.8% USG Industrials 90329340
USD PARTNERS LP 35.0% USDP Energy 90331810
U S CONCRETE INC 22.5% USCR Materials 90333L20
U S PHYSICAL THERAPY INC 35.0% USPH Health Care 90337L10
U S GEOTHERMAL INC 35.8% HTM Utilities 90338S20
UTG INC 30.7% UTGN Financials 90342M10
US AUTO PARTS NETWORK INC 9.1% PRTS Consumer Discretionary 90343C10
U S CHINA MINING GROUP INC 35.4% SGZH Energy 90345Q10
U S RARE EARTHS INC 2.8% UREE Materials 90346C20
U S SILICA HOLDINGS INC 35.7% SLCA Energy 90346E10
UBIQUITI NETWORKS INC 35.0% UBNT Information Technology 90347A10
U-SWIRL INC 0.5% SWRL Consumer Discretionary 90349P10
US-DADI FERTILIZER IND INTL 25.7% USDF Industrials 90349R10
US STEM CELL INC 18.5% USRM Health Care 90350U10
ULTA BEAUTY INC 35.0% ULTA Consumer Discretionary 90384S30
ULTIMATE SOFTWARE GROUP INC 35.0% ULTI Information Technology 90385D10
ULTRA CLEAN HOLDINGS INC 29.0% UCTT Information Technology 90385V10
ULTRALIFE CORP 6.3% ULBI Industrials 90389910
ULTRA PETROLEUM CORP 18.0% UPL 90391410
ULTRAGENYX PHARMACEUTICAL 0.2% RARE Health Care 90400D10
ULTRATECH INC 8.7% UTEK Information Technology 90403410
ULURU INC 4.3% ULU Health Care 90403T20
UMPQUA HOLDINGS CORP 35.0% UMPQ Financials 90421410
UNDER ARMOUR INC 35.0% UAA Consumer Discretionary 90431110
UNI CORE HOLDINGS CORP 5.9% UCHC Materials 90456P30
UNI-PIXEL INC 0.8% UNXL Information Technology 90457220
UNICO AMERICAN CORP 35.7% UNAM Financials 90460710
UNIFI INC 31.5% UFI Consumer Discretionary 90467720
UNIFIRST CORP 35.0% UNF Industrials 90470810
UNIFIEDONLINE INC 23.2% UOIP Information Technology 90470W10
UNILAVA CORP 1.9% UNLA Telecommunication Services 90476B10
UNILIFE CORP 0.9% UNIS Health Care 90478E30
UNIFIED GROCERS INC 2.4% 3089B Consumer Staples 90499X93
UNION BANK UBNC Financials 90520V10
UNION BANKSHARES CORP 35.0% UBSH Financials 90539J10
UNION BANKSHARES INC 35.0% UBSH Financials 90540010
UNION CARBIDE CORP 35.0% DOW2 Materials 90558100
UNION ELECTRIC CO 23.5% AEE1 Utilities 90699X00
DUKE ENERGY KENTUCKY 25.9% DUK7 Utilities 90699Z00
UNION PACIFIC CORP 35.0% UNP Industrials 90781810
UNIQUE FABRICATING INC 38.0% UFAB Consumer Discretionary 90915J10
UNIROYAL GLOBAL ENGINEERED UNIR Consumer Discretionary 90916U10
UNISYS CORP 18.8% UIS Information Technology 90921430
UNIT CORP 22.1% UNT Energy 90921810
UNITED AMERICAN HEALTHCARE 4.9% UAHC Health Care 90934C10
UTD ARTISTS THEATRE CIRCUIT 35.3% RGC1 Consumer Discretionary 90940800
UNITED BANCSHARES INC/OH 34.0% UBOH Financials 90945810
UNITED CANNABIS CORP 0.0% CNAB Health Care 90974710
UNITED COMMUNITY FINL CORP 34.7% UCFC Financials 90983910
UNITED COMMUNITY BANKS INC 31.0% UCBI Financials 90984P30
UNITED COMMUNITY BANCORP 32.5% UCBA Financials 90984R10
UNITED BANKSHARES INC/WV 35.0% UBSI Financials 90990710
UNITED BANCORP INC/OH 36.8% UBCP Financials 90991110
UNITED AIRLINES INC 29.2% UAL2 Industrials 91004700
UNITED CONTINENTAL HLDGS INC 29.4% UAL Industrials 91004710
UNITED DEV FUNDING III LP 35.0% UNDVL Financials 91018610
UNITED DEV FUNDING IV 35.0% UDF Financials 91018710
UNITED FINANCIAL BANCORP INC 35.0% UBNK Financials 91030410
UNITED FIRE GROUP INC 27.9% UFCS Financials 91034010
UNITED-GUARDIAN INC 34.0% UG Consumer Staples 91057110
UNITED HEALTH PRODUCTS INC 1.7% UEEC Health Care 91059D10
UNITED INSURANCE HOLDINGS CO 13.5% UIHC Financials 91071010
UNITED NATURAL FOODS INC 35.0% UNFI Consumer Staples 91116310
UNITED PARCEL SERVICE INC 36.2% UPS Industrials 91131210
UNITED REFINING CO 2.5% 0123A Energy 91135900
UNITED RENTALS INC 35.1% URI Industrials 91136310
UNITED SECURITY BANCSHARS CA 35.7% UBFO Financials 91146010
U S ANTIMONY CORP 6.4% UAMY Materials 91154910
US CELLULAR CORP 29.2% USM Telecommunication Services 91168410
U S ENERGY CORP/WY 1.7% USEG Energy 91180520
U S LIME & MINERALS 35.0% USLM Materials 91192210
US FOODS HOLDING CORP 35.0% USFD Consumer Staples 91200810
UNITED STATES OIL FUND LP USO 91232N10
UNITED STATES POSTAL SERVICE 0.8% 9352B Industrials 91239693
U S PRECIOUS METALS INC/DE 0.2% USPR Materials 91239R10
UNITED STATES STEEL CORP 1.8% X Materials 91290910
UNITED TECHNOLOGIES CORP 35.0% UTX Industrials 91301710
UNITED THERAPEUTICS CORP 35.0% UTHR Health Care 91307C10
UNITEDHEALTH GROUP INC 35.0% UNH Health Care 91324P10
UNITIL CORP 34.8% UTL Utilities 91325910
UNITI GROUP INC 35.0% UNIT 91325V10
UNITY BANCORP INC 38.0% UNTY Financials 91329010
UNIVAR INC 37.8% UNVR Industrials 91336L10
UNIVERSAL AMERICAN CORP 6.1% UAM Health Care 91338E10
UNIVERSAL CORP/VA 35.6% UVV Consumer Staples 91345610
UNIVERSAL DETECTION TECHNOL 0.1% UNDT Information Technology 91345930
UNIVERSAL DISPLAY CORP 35.0% OLED Information Technology 91347P10
UNIVERSAL ELECTRONICS INC 36.2% UEIC Consumer Discretionary 91348310
UNIVERSAL FOREST PRODS INC 35.0% UFPI Industrials 91354310
UNIVERSAL HEALTH RLTY INCOME 35.7% UHT 91359E10
UNIVERSAL INSURANCE HLDGS 35.1% UVE Financials 91359V10
UNIVERSAL POWER GROUP INC 34.5% UPG Industrials 91378810
UNIVERSAL POWER INDUSTRY CP 3.8% UPIN Information Technology 91378L10
UNIVERSAL SECURITY INSTRUMNT 1.3% UUU Information Technology 91382130
UNVL STAINLESS & ALLOY PRODS 21.5% USAP Materials 91383710
UNIVERSAL LOGISTICS HLDGS 35.0% ULH Industrials 91388P10
UNIVERSAL HEALTH SVCS INC 35.0% UHS Health Care 91390310
UNIVERSAL TECHNICAL INST 7.5% UTI Consumer Discretionary 91391510
UNIVERSAL HOSPITAL SERVICES 33.7% 0124A Health Care 91399O00
UNIVERSITY BANCORP INC 33.9% UNIB Financials 91409010
UNIVERSITY GENERAL HLTH SYS 26.2% UGHSQ Health Care 91427010
UNIVISION COMMUNICATIONS INC 35.0% 5952B Consumer Discretionary 91499R96
UNIVEST CORP OF PENNSYLVANIA 35.0% UVSP Financials 91527110
UNUM GROUP 35.0% UNM Financials 91529Y10
UPLAND SOFTWARE INC 2.0% UPLD Information Technology 91544A10
UPSNAP INC CDA 4.2% CEENF Information Technology 91674210
UR ENERGY INC 12.3% URG Energy 91688R10
URANIUM ENERGY CORP 0.0% UEC Energy 91689610
28.1% 91690170
URBAN OUTFITTERS INC 35.3% URBN Consumer Discretionary 91704710
URBAN BARNS FOODS INC 0.6% URBF Consumer Staples 91704A40
URBAN EDGE PROPERTIES 35.0% UE 91704F10
URBAN ONE INC UONEK Consumer Discretionary 91705J20
UROLOGIX INC 2.2% ULGX Health Care 91727310
URSTADT BIDDLE PROPERTIES 35.0% UBA 91728620
USELL.COM INC 25.2% USEL Consumer Discretionary 91729620
US HIGHLAND INC 10.3% UHLN Consumer Discretionary 91732H20
US ECOLOGY INC 35.0% ECOL Industrials 91732J10
UTAH MEDICAL PRODUCTS INC 38.0% UTMD Health Care 91748810
VSB BANCORP INC/NY 33.9% VSBN Financials 91792710
UWHARRIE CAPITAL CORP 34.0% UWHR Financials 91818310
VCA INC 35.2% WOOF Health Care 91819410
VF CORP 35.0% VFC Consumer Discretionary 91820410
VG LIFE SCIENCES INC 0.2% VGLS Health Care 91822T10
VWR FUNDING INC 35.0% 0149A Consumer Discretionary 91825100
VSE CORP 35.0% VSEC Industrials 91828410
VOC ENERGY TRUST 33.7% VOC Energy 91829B10
VOXX INTERNATIONAL CORP 18.9% VOXX Consumer Discretionary 91829F10
VR HOLDINGS INC 20.6% VRHD 91829Q10
VPR BRANDS LP 2.6% VPRB Consumer Staples 91831H10
VTV THERAPEUTICS INC 0.1% VTVT Health Care 91838510
VWR CORP 35.0% VWR Health Care 91843L10
VAALCO ENERGY INC 10.3% EGY Energy 91851C20
VAIL RESORTS INC 35.0% MTN Consumer Discretionary 91879Q10
VALHI INC 1.6% VHI Materials 91890510
VALEANT PHARMACEUTICALS INTL 35.0% VRX Health Care 91911K10
VALERO ENERGY CORP 35.0% VLO Energy 91913Y10
VALERO ENERGY PARTNERS LP 35.0% VLP Energy 91914J10
VALIDIAN CORP 1.1% VLDI Information Technology 91915P10
VALLEY COMMERCE BANCORP 34.0% VCBP Financials 91951810
VALLEY NATIONAL BANCORP 35.0% VLY Financials 91979410
VALLEY REPUBLIC BANCORP 34.0% VLLX Financials 92007L10
VALMONT INDUSTRIES INC 35.0% VMI Industrials 92025310
VALSPAR CORP 35.0% VAL Materials 92035510
VALUE LINE INC 8.1% VALU Financials 92043710
VALVOLINE INC 35.0% VVV Materials 92047W10
VANDA PHARMACEUTICALS INC 13.1% VNDA Health Care 92165910
VANGUARD NATURAL RESOURCES 0.8% VNR Energy 92205F10
VAPIR ENTERPRISES INC 3.9% VAPI Consumer Staples 92209710
VANTIV INC 35.0% VNTV 92210H10
VAREX IMAGING CORP 35.0% VREX Health Care 92214X10
VARIAN MEDICAL SYSTEMS INC 35.0% VAR Health Care 92220P10
VARONIS SYSTEMS INC 6.1% VRNS Information Technology 92228010
VASCO DATA SEC INTL INC 36.0% VDSI Information Technology 92230Y10
VASO CORPORATION 18.5% VASO Health Care 92233F10
VECTREN UTILITY HOLDINGS INC 36.2% VVC2 Utilities 92239M00
VECTREN CORP 35.2% VVC Utilities 92240G10
VECTOR GROUP LTD 35.5% VGR Consumer Staples 92240M10
VEECO INSTRUMENTS INC 5.7% VECO Information Technology 92241710
VECTRUS INC 38.3% VEC Industrials 92242T10
VEEVA SYSTEMS INC 35.0% VEEV Health Care 92247510
VENTAS INC 37.1% VTR 92276F10
VERA BRADLEY INC 36.0% VRA Consumer Discretionary 92335C10
VERACITY MANAGEMENT GLOBAL 14.5% VCMG 92336E20
VERASTEM INC 1.2% VSTM Health Care 92337C10
VERACYTE INC 0.0% VCYT Health Care 92337F10
VEREIT INC 33.4% VER 92339V10
VERIFONE SYSTEMS INC 21.6% PAY Information Technology 92342Y10
VERITEC INC 1.6% VRTC Information Technology 92343730
VERISIGN INC 9.0% VRSN Information Technology 92343E10
VERIZON COMMUNICATIONS INC 35.0% VZ Telecommunication Services 92343V10
VERINT SYSTEMS INC 18.4% VRNT Information Technology 92343X10
VERITEX HOLDINGS INC 35.0% VBTX Financials 92345110
VERITIV CORP 35.0% VRTV Industrials 92345410
VERISK ANALYTICS INC 35.0% VRSK Industrials 92345Y10
VERICEL CORP 0.1% VCEL Health Care 92346J10
VERIFYME INC 11.4% VRME Information Technology 92346X10
VERMILION ENERGY INC 1.8% VET Energy 92372510
VERMILLION INC 25.0% VRML Health Care 92407M20
VERSAR INC 22.4% VSR Industrials 92529710
VERSARTIS INC 0.3% VSAR Health Care 92529L10
VERSO CORP 0.0% VRS Materials 92531L20
VERTEX PHARMACEUTICALS INC 12.1% VRTX Health Care 92532F10
VERTICAL COMPUTER SYS INC 1.7% VCSY Information Technology 92532R20
VERSUM MATERIALS INC 35.0% VSM Information Technology 92532W10
VERTEX ENERGY INC 0.9% VTNR Energy 92534K10
VESTIN REALTY MORTGAGE I INC 4.7% VRTA Financials 92549020
VESTIN REALTY MORTGAGE II 15.4% VRTB Financials 92549X40
VET ONLINE SUPPLY INC VTNL Consumer Discretionary 92550T10
VIAD CORP 35.4% VVI Industrials 92552R40
VIASAT INC 36.4% VSAT Information Technology 92552V10
VIACOM INC 36.3% VIAB Consumer Discretionary 92553P20
VIASPACE INC 0.1% VSPC Industrials 92554W10
VIAVI SOLUTIONS INC 30.6% VIAV Information Technology 92555010
VICAL INC 8.1% VICL Health Care 92560220
VICON INDUSTRIES INC 3.1% VII Information Technology 92581110
VICOR CORP 17.4% VICR Industrials 92581510
VERSO PAPER HOLDINGS LLC 0.0% VRS1 Materials 92599X00
VIDEO DISPLAY CORP 12.3% VIDE Information Technology 92655510
VIKING ENERGY GROUP 2.3% VKIN Financials 92679510
VIKING THERAPEUTICS INC 10.7% VKTX Health Care 92686J10
VILLAGE BANK AND TRUST FINL 1.3% VBFC Financials 92705T20
VILLAGE SUPER MARKET -CL A 35.0% VLGEA Consumer Staples 92710740
28.9% 92719W10
VIOLIN MEMORY INC 9.0% VMEM Information Technology 92763A30
VIPER ENERGY PARTNERS LP 35.2% VNOM Energy 92763M10
VIRCO MFG. CORP 4.4% VIRC Industrials 92765110
VIRGINIA ELECTRIC & POWER CO 35.0% D1 Utilities 92780400
VIRGINIA ENERGY RESOURCES 4.0% VEGYF Energy 92780V10
VISTA GOLD CORP 15.4% VGZ Materials 92792630
VIRGINIA NATIONAL BANKSHARES 34.0% VABK Financials 92803110
VIRNETX HOLDING CORP 0.9% VHC Information Technology 92823T10
VIRTU FINANCIAL INC 36.4% VIRT Financials 92825410
VISA INC 35.1% V Information Technology 92826C83
2.0% 92827K20
VIRTUSA CORP 35.0% VRTU Information Technology 92827P10
VIRTUS INVESTMENT PTNRS INC 18.5% VRTS Financials 92828Q10
VISHAY INTERTECHNOLOGY INC 34.9% VSH Information Technology 92829810
VISCOUNT SYSTEMS INC 6.7% VSYS Information Technology 92829M10
VISKASE COMPANIES INC 4.9% VKSC Materials 92831R20
VIRTUS OIL & GAS CORP 6.5% VOIL Energy 92834V20
VISHAY PRECISION GROUP INC 34.1% VPG Information Technology 92835K10
VISTA OUTDOOR INC 35.0% VSTO Consumer Discretionary 92837710
VISTEON CORP 37.3% VC Consumer Discretionary 92839U20
VISTAGEN THERAPEUTICS INC 6.6% VTGN Health Care 92840H20
VISTRA ENERGY CORP 35.2% VST Utilities 92840M10
VISUALANT INC 26.3% VSUL Information Technology 92844920
VISUALMED CLINICAL SOLUTIONS 4.5% VMCS Health Care 92844G10
VITAL THERAPIES INC 0.2% VTL Health Care 92847R10
VITALITY BIOPHARMA INC 4.4% VBIO Health Care 92849B10
VITAMIN SHOPPE INC 35.0% VSI Consumer Discretionary 92849E10
VITRO DIAGNOSTICS INC 0.0% VODG Health Care 92850130
VIVEVE MEDICAL INC 0.0% VIVE Health Care 92852W20
VIVINT SOLAR INC 0.0% VSLR Industrials 92854Q10
VIVUS INC 2.8% VVUS Health Care 92855110
VMWARE INC -CL A 35.0% VMW Information Technology 92856340
VOCERA COMMUNICATIONS INC 1.9% VCRA Health Care 92857F10
VOICE MOBILITY INTL INC 21.1% VMII Information Technology 92862220
VOLITIONRX LTD 0.2% VNRX Health Care 92866110
VOLT INFO SCIENCES INC 8.5% VISI Industrials 92870310
VOLTARI CORP 19.6% VLTC 92870X30
VONAGE HOLDINGS CORP 16.6% VG Telecommunication Services 92886T20
24.8% 92897210
VISANT CORP 35.0% 0039A Consumer Discretionary 92899Q00
VORNADO REALTY TRUST 35.5% VNO 92904210
VOYA FINANCIAL INC 36.0% VOYA Financials 92908910
VOYAGER THERAPEUTICS INC VYGR Health Care 92915B10
VULCAN MATERIALS CO 35.0% VMC Materials 92916010
VU1 CORP 29.7% VUOC Industrials 92921220
VYCOR MEDICAL INC VYCO Health Care 92921M20
VUZIX CORP 0.8% VUZI Consumer Discretionary 92921W30
W&T OFFSHORE INC 8.1% WTI Energy 92922P10
WD-40 CO 35.0% WDFC Consumer Staples 92923610
WGL HOLDINGS INC 1.8% WGL Utilities 92924F10
WABCO HOLDINGS INC 35.7% WBC Industrials 92927K10
WPCS INTERNATIONAL INC 17.7% WPCS Information Technology 92931L40
WSFS FINANCIAL CORP 35.6% WSFS Financials 92932810
WSI INDUSTRIES INC 20.3% WSCI Industrials 92932Q10
W T B FINANCIAL CORP 35.0% WTBFA Financials 92933410
WVS FINANCIAL CORP 34.0% WVFC Financials 92935810
WMIH CORP 3.8% WMIH Financials 92936P10
W P CAREY INC 35.0% WPC 92936U10
WPT INDUSTRIAL REIT 10.7% WPTIF 92937G10
WEC ENERGY GROUP INC 34.7% WEC Utilities 92939U10
WCF BANCORP INC WCFB Financials 92940L10
WABASH NATIONAL CORP 35.0% WNC Industrials 92956610
WABTEC CORP 35.0% WAB Industrials 92974010
WADDELL&REED FINL INC -CL A 35.0% WDR Financials 93005910
WAFERGEN BIO-SYSTEMS INC 0.1% WGBS Health Care 93041P50
WAGEWORKS INC 34.9% WAGE Industrials 93042710
WALMART INC 35.0% WMT Consumer Staples 93114210
WALGREENS BOOTS ALLIANCE INC 35.0% WBA Consumer Staples 93142710
WALKER & DUNLOP INC 35.0% WD Financials 93148P10
WALKER INNOVATION INC 30.7% WLKR Industrials 93166110
WALL STREET MEDIA CO 23.5% WSCO Industrials 93208X10
WALTER ENERGY INC 35.8% WLT Materials 93317Q10
WALTER INVESTMENT MGMT CORP 35.0% WAC 93317W10
WARNER MUSIC GROUP CORP 35.0% 9394B Consumer Discretionary 93499V93
WASHINGTON FEDERAL INC 35.0% WAFD Financials 93882410
WASHINGTON GAS LIGHT CO 35.3% WGL1 Utilities 93883700
WASHINGTON PRIME GROUP INC 34.7% WPG 93964W10
WASHINGTON REIT 35.0% WRE 93965310
WASHINGTON TR BANCORP INC 35.0% WASH Financials 94061010
WASHINGTONFIRST BANKSHARES 35.0% WFBI Financials 94073010
WASTE CONNECTIONS INC 35.0% WCN Industrials 94106B10
WASTE MANAGEMENT INC 35.9% WM Industrials 94106L10
WATERS CORP 35.0% WAT Health Care 94184810
WATERSTONE FINANCIAL INC 35.2% WSBF Financials 94188P10
WATSCO INC 35.0% WSO Industrials 94262220
WATTS WATER TECHNOLOGIES INC 35.0% WTS Industrials 94274910
WAVE SYSTEMS CORP -CL A 3.2% WAVX Information Technology 94352660
WAYFAIR INC 0.5% W Consumer Discretionary 94419L10
WAYNE SAVINGS BANCSHARES INC 34.2% WAYN Financials 94624Q10
WAYSIDE TECHNOLOGY GROUP INC 34.4% WSTG Information Technology 94676010
WEB.COM GROUP INC 34.8% WEB Information Technology 94733A10
WEBCO INDUSTRIES INC 6.1% WEBC Materials 94762120
WEBMD HEALTH CORP 3.7% WBMD Information Technology 94770V10
WEBSTER FINANCIAL CORP 35.1% WBS Financials 94789010
1.6% 94850Q10
WEGENER CORP 5.3% WGNR Information Technology 94858510
WEIGHT WATCHERS INTL INC 35.1% WTW Consumer Discretionary 94862610
WEINGARTEN REALTY INVST 35.0% WRI 94874110
WEIS MARKETS INC 37.1% WMK Consumer Staples 94884910
WELBILT INC 35.0% WBT Industrials 94909010
WELLCARE HEALTH PLANS INC 35.0% WCG Health Care 94946T10
WELLESLEY BANCORP INC WEBK Financials 94948510
3.9% 94950410
WELLNESS CENTER USA INC 10.6% WCUI Health Care 94973A10
WELLS FARGO & CO 35.0% WFC Financials 94974610
WELLS FINANCIAL CORP 34.0% WEFP Financials 94975920
WELLS FARGO RL ESTATE INVEST 35.0% 0181A Financials 94999Q00
WELLTOWER INC 35.0% HCN 95040Q10
WENDY'S CO 35.0% WEN Consumer Discretionary 95058W10
WENTWORTH RESOURCES LTD 2.3% WENTF Energy 95067710
WERNER ENTERPRISES INC 18.6% WERN Industrials 95075510
WESBANCO INC 35.0% WSBC Financials 95081010
WESCO AIRCRAFT HOLDINGS INC 20.9% WAIR Industrials 95081410
WESCO INTL INC 35.0% WCC Industrials 95082P10
WEST BANCORPORATION INC 35.0% WTBA Financials 95123P10
WEST CORP 35.0% WSTC Industrials 95235520
WEST END INDIANA BANCSHARES WEIN Financials 95267810
WEST MARINE INC 13.1% WMAR Consumer Discretionary 95423510
WEST PHARMACEUTICAL SVSC INC 35.0% WST Health Care 95530610
WEST SUBURBAN BANCORP INC 35.0% WNRP Financials 95615240
WESTAIM CORP 31.5% WEDXF Financials 95690930
WESTAMERICA BANCORPORATION 35.0% WABC Financials 95709010
WESTAR ENERGY INC 8.9% WR Utilities 95709T10
WESTBURY BANCORP INC 34.0% WBB Financials 95727P10
WESTELL TECHNOLOGIES INC 14.9% WSTL 95754110
WESTELL TECH INC -CL A WSTL Information Technology 95754120
WESTERN ALLIANCE BANCORP 35.0% WAL Financials 95763810
WESTERN CAPITAL RESOURCES 34.0% WCRS Consumer Discretionary 95788130
WESTERN ASSET MTG CAPITAL CP 25.3% WMC Financials 95790D10
WESTERN COPPER AND GOLD CORP 17.7% WRN Materials 95805V10
WESTERN DIGITAL CORP 35.0% WDC Information Technology 95810210
WESTERN GAS PARTNERS LP 35.2% WES Energy 95825410
WESTERN GAS EQUITY PRTNRS LP 35.0% WGP Energy 95825R10
WESTERN MASSACHUSETTS EL CO 13.0% NU3 Utilities 95858700
WESTERN NEW ENG BANCORP INC 35.0% WNEB Financials 95889210
WESTERN REFINING INC 35.1% WNR Energy 95931910
WESTERN REFINING LGS LP 33.1% WNRL Energy 95931Q20
WESTERN UNION CO 35.0% WU Information Technology 95980210
WESTLAKE CHEMICAL CORP 35.0% WLK Materials 96041310
WESTLAKE CHEMICAL PRTNRS LP 36.2% WLKP Materials 96041710
WESTMORELAND COAL CO 35.0% WLB Energy 96087810
WESTPORT FUEL SYSTEMS INC 8.4% WPRT Industrials 96090830
WESTMORELAND RES PARTNERS LP 6.5% WMLP Energy 96108P10
2.3% 96111A10
WESTPORT ENERGY HOLDINGS INC 14.9% WPTH Energy 96131310
WESTROCK CO 35.0% WRK Materials 96145D10
WESTWOOD HOLDINGS GROUP INC 36.5% WHG Financials 96176510
WEX INC 35.0% WEX Information Technology 96208T10
WEYCO GROUP INC 35.0% WEYS Consumer Discretionary 96214910
WEYERHAEUSER CO 35.5% WY 96216610
2.7% 96302510
WHEELER REAL ESTATE INVT TR WHLR 96302570
WHERE FOOD COMES FROM INC 31.2% WFCF Information Technology 96327X10
WHIRLPOOL CORP 35.5% WHR Consumer Discretionary 96332010
WHITE MOUNTAIN TITANIUM CORP 3.4% WMTM Materials 96410910
WHITEHORSE FINANCE INC 35.9% WHF Financials 96524V10
WHITESTONE REIT 35.0% WSR 96608420
WHITEWAVE FOODS CO 35.0% WWAV Consumer Staples 96624410
4.2% 96638710
WHOLE FOODS MARKET INC 35.0% WFM Consumer Staples 96683710
WIDEPOINT CORP 16.6% WYY Information Technology 96759010
WILDHORSE RES DVLPT WRD Energy 96812T10
WILEY (JOHN) & SONS -CL A 35.0% JWA Consumer Discretionary 96822320
WILHELMINA INTERNATIONAL INC 0.8% WHLM Industrials 96823520
WILLAMETTE VALLEY VINEYARDS 33.9% WVVI Consumer Staples 96913610
WILLBROS GROUP INC 5.9% WG Energy 96920310
WILLDAN GROUP INC 34.3% WLDN Industrials 96924N10
WILLIAM PENN BANCORP INC 34.0% WMPN Financials 96925V10
WILLIAMS COS INC 4.8% WMB Energy 96945710
CLAYTON WILLIAMS ENERGY INC 0.1% CWEI Energy 96949010
WILLIAMS PARTNERS LP 36.1% WPZ Energy 96949L10
WILLIAMS-SONOMA INC 35.0% WSM Consumer Discretionary 96990410
WILLIS LEASE FINANCE CORP 35.0% WLFC Industrials 97064610
WINDSTREAM HOLDINGS INC 35.0% WIN Telecommunication Services 97382A20
WINDTREE THERAPEUTICS INC 3.7% WINT 97382D10
WINGSTOP INC 35.0% WING Consumer Discretionary 97415510
WINLAND ELECTRONICS INC 2.6% WEX 97424110
WINMARK CORP 35.0% WINA Consumer Discretionary 97425010
WINNEBAGO INDUSTRIES 34.9% WGO Consumer Discretionary 97463710
WINTRUST FINANCIAL CORP 35.0% WTFC Financials 97650W10
WIRELESS TELECOM GROUP INC 14.7% WTT Information Technology 97652410
WISCONSIN ELECTRIC POWER CO 2.4% WEC2 Utilities 97665600
WISCONSIN POWER & LIGHT 7.7% LNT1 Utilities 97682600
WISCONSIN PUBLIC SERVICE CP 2.3% WPS1 Utilities 97684300
WISDOMTREE INVESTMENTS INC 35.0% WETF Financials 97717P10
WIZARD WORLD INC 3.7% 3WIZD Consumer Discretionary 97751C10
WOLVERINE BANCORP INC 34.0% WBKC Financials 97788010
WOLVERINE WORLD WIDE 35.0% WWW Consumer Discretionary 97809710
WONHE HIGH-TECH INTL INC 33.8% WHHT Information Technology 97819610
WOODWARD INC 35.0% WWD Industrials 98074510
WORDLOGIC CORP 4.4% WLGC Information Technology 98136R10
WORKDAY INC 1.5% WDAY Information Technology 98138H10
WORKHORSE GROUP INC 0.0% WKHS Consumer Discretionary 98138J20
WORKIVA INC 1.7% WK Information Technology 98139A10
WORLD ACCEPTANCE CORP/DE 35.0% WRLD Financials 98141910
WORLD FUEL SERVICES CORP 35.0% INT Energy 98147510
WORLD WRESTLING ENTMT INC 11.6% WWE Consumer Discretionary 98156Q10
WORLD SURVEILLANCE GROUP INC 4.5% WSGI Industrials 98157K10
WORLD POINT TERMINALS LP 35.0% WPT Energy 98159G10
3.9% 98159J10
WORTHINGTON INDUSTRIES 35.1% WOR Materials 98181110
WOUND MANAGEMENT TECH INC 2.0% WNDM Health Care 98211X10
WPX ENERGY INC 31.8% WPX Energy 98212B10
WRIGHT INVESTORS SERVICE 12.2% WISH Financials 98234510
WYNDHAM WORLDWIDE CORP 35.0% WYN Consumer Discretionary 98310W10
WYNN RESORTS LTD 35.1% WYNN Consumer Discretionary 98313410
XG TECHNOLOGY INC 2.3% XGTI Information Technology 98372A70
XO GROUP INC 33.5% XOXO Information Technology 98377210
XPO LOGISTICS INC 35.0% XPO Industrials 98379310
XACTLY CORP 0.0% XTLY Information Technology 98386L10
XCEL ENERGY INC 34.9% XEL Utilities 98389B10
XILINX INC 35.5% XLNX Information Technology 98391910
XPLORE TECHNOLOGIES CORP 18.1% XPLR Information Technology 98395070
WYNN LAS VEGAS LLC 39.0% WYNN1 Consumer Discretionary 98399X00
XBIOTECH INC 0.0% XBIT Health Care 98400H10
XCERRA CORP 4.3% XCRA Information Technology 98400J10
XCELMOBILITY INC 11.2% XCLL Information Technology 98400L10
XCEL BRANDS INC 3.4% XELB Consumer Discretionary 98400M10
XENIA HOTELS & RESORTS INC 35.0% XHR 98401710
XENCOR INC 30.1% XNCR Health Care 98401F10
XENITH BANKSHARES INC 9.6% XBKS Financials 98410220
XENONICS HOLDINGS INC 1.8% XNN Industrials 98411710
XEROX CORP 35.1% XRX 98412110
XEROX CORP XRX Information Technology 98412160
XTERA COMMUNICATIONS INC 23.1% XCOM Information Technology 98415E30
XERIUM TECHNOLOGIES INC 22.2% XRM Industrials 98416J11
XTREME GREEN PRODUCTS INC 3.4% XTRGQ Consumer Discretionary 98416Q10
XOMA CORP 9.2% XOMA Health Care 98419J20
XYLEM INC 35.1% XYL Industrials 98419M10
XENON PHARMACEUTICALS INC 23.4% XENE Health Care 98420N10
XTANT MEDICAL HOLDINGS INC 4.9% XTNT 98420P10
XPERI CORPORATION 34.2% XPER Information Technology 98421B10
YRC WORLDWIDE INC 30.5% YRCW Industrials 98424960
YADKIN FINANCIAL CORP 35.0% YDKN Financials 98430510
YAHOO INC 31.1% YHOO 98433210
YAMANA GOLD INC 9.6% AUY Materials 98462Y10
YANGTZE RIVER DEVELOPMENT LTD 0.0% YERR 98475210
YANZHOU COAL MINING CO LTD 36.3% YZC Energy 98484610
YAPPN CORP 0.5% YPPN Information Technology 98484T20
YASHENG GROUP 35.0% HERB Consumer Staples 98508U10
YELP INC 1.1% YELP Information Technology 98581710
YEW BIO-PHARM GROUP INC YEWB Consumer Staples 98584C10
20.7% 98585K10
YIELD10 BIOSCIENCE INC YTEN Materials 98585K20
YORK WATER CO 38.0% YORW Utilities 98718410
YOSEN GROUP INC 15.7% YOSN Information Technology 98740Q20
5.3% 98753710
YOUNGEVITY INTERNATIONAL INC YGYI Consumer Staples 98753720
YUM BRANDS INC 35.0% YUM Consumer Discretionary 98849810
YUM CHINA HOLDINGS INC 34.0% YUMC Consumer Discretionary 98850P10
YUS INTERNATIONAL GROUP LTD YUSG Consumer Discretionary 98871Y10
YUME INC 6.7% YUME Information Technology 98872B10
ZAGG INC 39.2% ZAGG Consumer Discretionary 98884U10
ZAFGEN INC 1.4% ZFGN Health Care 98885E10
ZAP 1.2% ZP Consumer Discretionary 98912M20
ZAZA ENERGY CORP 1.1% ZAZA Energy 98919T40
ZAYO GROUP HOLDINGS INC 35.0% ZAYO Telecommunication Services 98919V10
ZEBRA TECHNOLOGIES CP -CL A 35.6% ZBRA Information Technology 98920710
ZEDGE INC 34.0% ZDGE Information Technology 98923T10
ZELTIQ AESTHETICS INC 24.4% ZLTQ Health Care 98933Q10
ZENDESK INC 0.1% ZEN Information Technology 98936J10
ZENYATTA VENTURES LTD 0.5% ZENYF Materials 98943A10
ZIEGLER COS INC 35.3% ZGCO Financials 98950630
ZILLOW GROUP INC 0.2% ZG 98954M10
ZIMMER BIOMET HOLDINGS INC 35.0% ZBH Health Care 98956P10
ZION OIL & GAS INC 1.7% ZN Energy 98969610
ZIONS BANCORPORATION 35.2% ZION Financials 98970110
ZIOPHARM ONCOLOGY INC 2.0% ZIOP Health Care 98973P10
ZIX CORP 24.7% ZIXI Information Technology 98974P10
ZOOM TECHNOLOGIES INC 1.7% ZOOM Information Technology 98976E40
ZOOM TELEPHONICS INC 2.4% ZMTP Information Technology 98978K10
ZOGENIX INC 9.4% ZGNX Health Care 98978L20
ZIVO BIOSCIENCE INC 0.1% ZIVO Consumer Staples 98978N10
ZOETIS INC 35.0% ZTS Health Care 98978V10
ZOSANO PHARMA CORP 1.6% ZSAN 98979H10
ZOE'S KITCHEN INC 34.9% ZOES Consumer Discretionary 98979J10
ZUMIEZ INC 35.0% ZUMZ Consumer Discretionary 98981710
ZYNEX INC 2.3% ZYXI Health Care 98986M10
ZYNGA INC 3.3% ZNGA Information Technology 98986T10
ZYNERBA PHARMACEUTICALS INC 0.0% ZYNE Health Care 98986X10
ZTEST ELECTRONICS INC 2.9% ZTSTF Information Technology 98993030
EURONAV 35.0% EURN Energy B3856410
DAIMLER AG 36.8% DAI Consumer Discretionary D1668R12
DEUTSCHE BANK AG 30.2% DB Financials D1819089
ADIENT PLC 35.0% ADNT Consumer Discretionary G0084W10
AIRCASTLE LTD 35.0% AYR Industrials G0129K10
ALKERMES PLC 5.1% ALKS Health Care G0176710
ALLEGION PLC 35.0% ALLE Industrials G0176J10
ALLERGAN PLC 35.1% AGN Health Care G0177J10
AMDOCS 35.0% DOX Information Technology G0260210
AMIRA NATURE FOODS LTD 35.3% ANFI Consumer Staples G0335L10
AMBARELLA INC 35.0% AMBA Information Technology G037AX10
ANPULO FOOD INC 34.0% ANPFF Consumer Staples G0392610
22.7% G0404E11
AON PLC 35.0% AON Financials G0408V10
AQUAVENTURE HOLDINGS LTD 10.2% WAAS Utilities G0443N10
ARCH CAPITAL GROUP LTD 35.0% ACGL Financials G0450A10
ARCOS DORADOS HOLDINGS INC 34.9% ARCO Consumer Discretionary G0457F10
ARGO GROUP INTL HOLDINGS LTD 35.0% AGII Financials G0464B10
ASIA PACIFIC WIRE&CABLE CORP 38.2% APWC Industrials G0535E10
ASPEN INSURANCE HOLDINGS LTD 3.8% AHL Financials G0538410
ARRIS INTERNATIONAL PLC 35.0% ARRS Information Technology G0551A10
ASSURED GUARANTY LTD 35.5% AGO Financials G0585R10
ATLAS FINANCIAL HOLDINGS INC 35.1% AFH Financials G0620711
ATLASSIAN CORP PLC 35.6% TEAM Information Technology G0624210
AUTOCHINA INTERNATIONAL LTD 34.8% AUTC G0675010
ATHENE HOLDING LTD 35.0% ATH Financials G0684D10
AXIS CAPITAL HOLDINGS LTD 35.0% AXS Financials G0692U10
CHC GROUP LTD 35.2% HELI Energy G0702112
AXALTA COATING SYSTEMS LTD 23.2% AXTA Materials G0750C10
ATLANTICA YIELD PLC 35.0% AY Utilities G0751N10
BANK OF NT BUTTERFIELD & SON 35.0% NTB Financials G0772R20
ENERGY XXI LTD 5.9% EXXI Energy G1008214
ACCENTURE PLC 35.0% ACN Information Technology G1151C10
BELMOND LTD 35.2% BEL Consumer Discretionary G1154H10
BLUE CAP REINSURANCE 35.1% BCRH Financials G1190F10
MIMECAST LTD 28.6% MIME Information Technology G1483810
BROOKFIELD BUSINESS PRTNR LP 35.7% BBU Industrials G1623410
BROOKFIELD PROPERTY PRTRS LP 35.0% BPY G1624910
BROOKFIELD INFRS PTRS LP 35.0% BIP Utilities G1625210
BROOKFIELD RENEWABLE PRTS LP 35.0% BEP Utilities G1625810
BUNGE LTD 18.3% BG Consumer Staples G1696210
6.1% G1757E10
CARIBBEAN UTILITIES CO LTD 35.0% CUPUF Utilities G1899E14
CARDTRONICS PLC 35.0% CATM Information Technology G1991C10
CENTRAL EUROPEAN MEDIA 25.2% CETV Consumer Discretionary G2004520
CHINA YUCHAI INTERNATIONAL 36.1% CYD Industrials G2108210
CHINA ENTERPRISES LTD 23.8% CSH Consumer Discretionary G2109M10
CHINA GERUI ADV MATERIALS GP 36.9% CHOP Materials G2110113
CHINA CORD BLOOD CORP 35.0% CO Health Care G2110710
CHINA NATURAL RESOURCES INC 10.1% CHNR Materials G2110U10
CHINA NETWORKS INTL HOLDINGS 16.9% CNR Consumer Discretionary G2112510
CHINA CERAMICS CO LTD 36.6% CCCL Industrials G2113X13
CHINA INFORMATION TECHNOLOGY 21.4% CNIT Information Technology G2117410
CHINA CUSTOMER RELATNS CTRS 34.0% CCRC Industrials G2118P10
CHINA BIOLOGIC PRODUCTS HLDG CBPO Health Care G2151510
CONSOLIDATED WATER CO INC 35.7% CWCO Utilities G2377310
CREDICORP LTD 35.0% BAP Financials G2519Y10
COSAN LTD 35.2% CZZ Energy G2534310
COCA-COLA EUROPEAN PARTNERS 18.0% CCE Consumer Staples G2583910
5.1% G2782310
DRAGON JADE INTL LTD 28.5% DGJI Consumer Staples G2830W10
EATON CORP PLC 35.1% ETN Industrials G2918310
ENDURANCE SPECIALTY HOLDINGS 16.3% ENH Financials G3039710
ENDO INTERNATIONAL PLC 35.0% ENDP Health Care G3040110
ENSTAR GROUP LTD 35.0% ESGR Financials G3075P10
ASA GOLD AND PRECIOUS METALS 24.9% ASA Financials G3156P10
ENSCO PLC 35.2% ESV Energy G3157S10
ESSENT GROUP LTD 34.9% ESNT Financials G3198U10
EURO TECH HOLDINGS CO LTD 0.3% CLWT Industrials G3203012
EVEREST RE GROUP LTD 35.2% RE Financials G3223R10
EXCEED CO LTD 4.0% EDS Consumer Discretionary G3233510
FABRINET 35.0% FN Information Technology G3323L10
FERROGLOBE PLC 37.6% GSM Materials G3385610
FRESH DEL MONTE PRODUCE INC 35.0% FDP Consumer Staples G3673810
FUWEI FILMS HOLDINGS CO 0.1% FFHL Materials G3704F11
FULING GLOBAL INC 35.0% FORK Consumer Discretionary G3729B10
GASLOG LTD 35.0% GLOG Energy G3758510
EROS INTERNATIONAL PLC 34.6% EROS Consumer Discretionary G3788M11
GEOPARK LTD 3.9% GPRK Energy G3832710
GENPACT LTD 35.0% G Information Technology G3922B10
GLOBAL SOURCES LTD 37.0% GSOL Information Technology G3930010
GLOBAL INDEMNITY LTD 25.7% GBLI Financials G3933F10
GOLDEN OCEAN GROUP 6.0% GOGL Industrials G3963720
GREENFIELDS PETROLEUM CORP 30.7% GEEPF Energy G4091510
GREENLIGHT CAPITAL RE LTD 21.1% GLRE Financials G4095J10
HELEN OF TROY LTD 35.0% HELE Consumer Discretionary G4388N10
HERBALIFE LTD 35.0% HLF Consumer Staples G4412G10
HIGHWAY HOLDINGS LTD 33.5% HIHO Industrials G4481U10
HOLLYSYS AUTOMATION TECH LTD 35.0% HOLI Information Technology G4566710
HORIZON PHARMA PLC 32.1% HZNP Health Care G4617B10
ICON PLC 35.0% ICLR Health Care G4705A10
35.0% G4720410
IHS MARKIT LTD 35.0% INFO Industrials G4756710
INGERSOLL-RAND PLC 35.3% IR Industrials G4779110
INNOCOLL HOLDINGS PLC 1.1% INNL Health Care G4783X10
WEATHERFORD INTL PLC 10.5% WFT Energy G4883310
INVESCO LTD 35.0% IVZ Financials G491BT10
JAMES RIVER GROUP HLDGS LTD 35.0% JRVR Financials G5005R10
JAZZ PHARMACEUTICALS PLC 35.0% JAZZ Health Care G5087110
JOHNSON CONTROLS INTL PLC 35.1% JCI Industrials G5150210
KOSMOS ENERGY LTD 6.0% KOS Energy G5315B10
LAZARD LTD 35.0% LAZ Financials G5405010
AMERICAN OVERSEAS GROUP LTD 21.6% AOREF Financials G5462420
LIANLUO SMART LTD 1.7% LLIT Health Care G5478K10
LIBERTY GLOBAL PLC GLOBAL GP 35.0% LBTYK Consumer Discretionary G5480U12
LIVANOVA PLC 21.5% LIVN Health Care G5509L10
LOMBARD MEDICAL TECH PLC 0.6% EVAR Health Care G5559810
LUXOFT HOLDING INC 35.0% LXFT Information Technology G5727910
MAIDEN HOLDINGS LTD 16.2% MHLD Financials G5753U11
MANCHESTER UNITED PLC 8.8% MANU Consumer Discretionary G5784H10
MALLINCKRODT PLC 35.0% MNK Health Care G5785G10
MARVELL TECHNOLOGY GROUP LTD 10.4% MRVL Information Technology G5876H10
MEDTRONIC PLC 35.0% MDT Health Care G5960L10
MICHAEL KORS HOLDINGS LTD 35.0% KORS Consumer Discretionary G6075410
ALPHA AND OMEGA SEMICONDUCTR 1.9% AOSL Information Technology G6331P10
MULTI PACKAGING SOLUTNS INTL 35.0% MPSX Materials G6331W10
NABORS INDUSTRIES LTD 36.6% NBR Energy G6359F10
NAM TAI PROPERTY INC 21.3% NTP G6390710
NEWLEAD HOLDINGS LTD 16.4% NEWLF Industrials G6462630
NEXVET BIOPHARMA PLC 0.1% NVET Health Care G6503X10
NIELSEN HOLDINGS PLC 35.1% NLSN Industrials G6518L10
NOBLE CORP PLC 35.2% NE Energy G6543110
NOMAD FOODS LTD 35.5% NOMD Consumer Staples G6564A10
NORDIC AMERICAN TANKERS LTD 8.7% NAT Energy G6577310
NORD ANGLIA EDUCATION INC 35.0% NORD Consumer Discretionary G6583A10
NORTH ATLANTIC DRILLING LTD 20.8% NADL Energy G6613P12
NORWEGIAN CRUISE LINE HLDGS 35.0% NCLH Consumer Discretionary G6672110
NOVOCURE LTD 0.1% NVCR Health Care G6674U10
35.0% G6696410
OM ASSET MANAGEMENT PLC 34.2% OMAM Financials G6750610
ONEBEACON INSURANCE GROUP 33.3% OB Financials G6774210
ORIGIN AGRITECH LTD 8.4% SEED Consumer Staples G6782810
OXFORD IMMUNOTEC GLOBAL PLC 1.6% OXFD Health Care G6855A10
OXBRIDGE RE HOLDINGS LTD 34.0% OXBR Financials G6856M10
PANGAEA LOGISTICS SOLUTIONS 24.2% PANL Industrials G6891L10
PARAGON OFFSHORE PLC 26.0% PGN Energy G6S01W10
PETROMAROC CORP PLC 16.0% LNGRF Energy G7041710
PINGTAN MARINE ENTERPRISE 35.2% PME Consumer Staples G7114V10
PLASTEC TECHNOLOGIES LTD 35.0% PLTYF Materials G7121810
PORTAGE BIOTECH INC 0.3% PTGEF Health Care G7185A10
PRESBIA PLC 0.4% LENS Health Care G7234P10
PRIME ACQUISITION CORP 8.5% PACQ G7243610
PRIMUS GUARANTY LTD 30.7% PRS Financials G7245710
PROTHENA CORP PLC 2.6% PRTA Health Care G7280010
QUOTIENT LTD 14.3% QTNT Health Care G7326810
RECON TECHNOLOGY LTD 14.9% RCON Energy G7415M10
RENAISSANCERE HOLDINGS LTD 35.0% RNR Financials G7496G10
ROWAN COMPANIES PLC 35.2% RDC Energy G7665A10
SEADRILL LTD 30.6% SDRL Energy G7945E10
SEAGATE TECHNOLOGY PLC 35.6% STX Information Technology G7945M10
PENTAIR PLC 35.0% PNR Industrials G7S00T10
SGOCO GROUP LTD 34.2% SGOC Information Technology G8075112
SHIP FINANCE INTL LTD 35.0% SFL Energy G8107510
SHOAL GAMES LTD 10.3% SGLDF Information Technology G8111D10
SIEM INDUSTRIES INC 35.6% SEMUF Financials G8122610
SIGNET JEWELERS LTD 35.0% SIG Consumer Discretionary G8127610
SINA CORP 35.0% SINA Information Technology G8147710
STERIS PLC 35.0% STE Health Care G8472010
DELTA TECHNOLOGY HOLDINGS 34.0% DELT Materials G8477B10
TANTECH HOLDINGS LTD 35.0% TANH Materials G8675X10
TECHNIPFMC PLC 35.0% FTI Energy G8711010
TECNOGLASS INC 35.0% TGLS Materials G8726410
TEXTAINER GROUP HOLDINGS LTD 25.5% TGH Industrials G8766E10
THERAVANCE BIOPHARMA INC 0.7% TBPH Health Care G8807B10
THIRD POINT REINSURANCE LTD 34.0% TPRE Financials G8827U10
THUNDERBIRD RESORTS INC 19.7% THRSF Consumer Discretionary G8857610
TONGXIN INTERNATIONAL LTD 5.2% TXIC Consumer Discretionary G8918T10
TRANSATLANTIC PETROLEUM LTD 3.7% TAT Energy G8998211
TRAVELPORT WORLDWIDE LTD 35.0% TVPT Information Technology G9019D10
TRI-TECH HOLDING INC 11.6% TRIT Utilities G9103F10
TSAKOS ENERGY NAVIGATION LTD 35.0% TNP Energy G9108L10
UMEWORLD LTD 5.4% UMEWF Information Technology G9160X10
UTSTARCOM HOLDINGS CORP 8.3% UTSI Information Technology G9310A11
VALIDUS HOLDINGS LTD 35.0% VR Financials G9319H10
VANTAGE DRILLING CO 35.0% VTG Energy G9320511
VIEWTRAN GROUP INC 34.0% VIEW Financials G9363W10
GOLAR LNG LTD 1.9% GLNG Energy G9456A10
WHITE MTNS INS GROUP LTD 35.4% WTM Financials G9618E10
WILLIS TOWERS WATSON PLC 35.0% WLTW Financials G9662910
WINS FINANCE HOLDINGS INC 32.1% WINS Financials G9722310
PERRIGO CO PLC 35.0% PRGO Health Care G9782210
WOWJOINT HOLDINGS LTD 32.3% BWOW Industrials G9796W10
XL GROUP LTD 35.2% XL Financials G9829410
XTRA-GOLD RESOURCES CORP 23.8% XTGRF Materials G9829R10
34.9% G9884711
AC IMMUNE SA 36.4% ACIU Health Care H0026310
ALLIED WORLD ASSURANCE CO AG 30.2% AWH Financials H0153110
AURIS MEDICAL HOLDING AG 4.0% EARS Health Care H0357910
CHUBB LTD 35.0% CB Financials H1467J10
GARMIN LTD 35.4% GRMN Consumer Discretionary H2906T10
UBS GROUP AG 36.3% UBS Financials H4209710
LOGITECH INTERNATIONAL SA 35.1% LOGI Information Technology H5043023
TCP INTL HOLDINGS LTD 29.5% TCPI Industrials H8468910
TE CONNECTIVITY LTD 35.8% TEL Information Technology H8498910
TRANSOCEAN LTD 35.2% RIG Energy H8817H10
ADECOAGRO SA 35.0% AGRO Consumer Staples L0084910
ALTISOURCE PORTFOLIO SOLTNS 35.0% ASPS L0175J10
ATENTO SA 34.9% ATTO Industrials L0427L10
GLOBANT SA 35.0% GLOB Information Technology L4438510
INTELSAT SA 35.0% I Telecommunication Services L5140P10
MILLICOM INTL CELLULAR SA 36.7% MICC Telecommunication Services L6388F11
PACIFIC DRILLING SA 35.0% PACD Energy L7257P11
ORION ENGINEERED CARBONS SA 34.1% OEC Materials L7296710
TRINSEO SA 35.0% TSE Materials L9340P10
ALLOT COMMUNICATIONS LTD 3.5% ALLT Information Technology M0854Q10
ATTUNITY LTD 14.0% ATTU Information Technology M1533212
AUDIOCODES LTD 6.1% AUDC Information Technology M1534210
B COMMUNICATIONS LTD 35.0% BCOM Telecommunication Services M1562910
BOS BETTER ONLINE SOLUTIONS 2.4% BOSC Information Technology M2011518
0.6% M2015610
CAESARSTONE LTD 35.0% CSTE Industrials M2059810
CAMTEK LTD 6.9% CAMT Information Technology M2079110
CELLCOM ISRAEL LTD 35.6% CEL Telecommunication Services M2196U10
CERAGON NETWORKS LTD 22.4% CRNT Information Technology M2201310
ALCOBRA LTD 0.3% ADHD Health Care M2239P10
CHECK POINT SOFTWARE TECHN 35.0% CHKP Information Technology M2246510
CHECK-CAP LTD 1.0% CHEK Health Care M2361E11
COMPUGEN LTD 0.0% CGEN Health Care M2572210
CYBERARK SOFTWARE LTD 34.9% CYBR Information Technology M2682V10
CYREN LTD 12.7% CYRN Information Technology M2689510
ELBIT VISION SYSTEMS LTD 13.5% EVSNF Industrials M3757613
ELBIT IMAGING LTD 6.5% EMITF M3760512
ELBIT SYSTEMS LTD 35.0% ESLT Industrials M3760D10
ELLOMAY CAPITAL LTD 33.2% ELLO Utilities M3992712
33.2% M4018410
ENZYMOTEC LTD 34.5% ENZY Health Care M4059L10
EVOGENE LTD 0.0% EVGN Health Care M4119S10
EVIATION AIRCRAFT LTD 2.6% EVTNF Industrials M4120410
FOAMIX PHARMACEUTICALS LTD 3.8% FOMX Health Care M4613510
GALMED PHARMACEUTICALS LTD 5.0% GLMD Health Care M4723810
GAZIT GLOBE 35.0% GZT M4793C10
MELLANOX TECHNOLOGIES LTD 30.5% MLNX Information Technology M5136311
GILAT SATELLITE NETWORKS LTD 27.6% GILT Information Technology M5147411
HADERA PAPER LTD 9.9% AIP Materials M5251410
G WILLI-FOOD INTL LTD 24.7% WILC Consumer Staples M5252310
INTEC PHARMA LTD 0.3% NTEC Health Care M5364410
INTERNET GOLD-GOLDEN LINES 34.8% IGLD Telecommunication Services M5659510
ICL-ISRAEL CHEMICALS LTD 35.9% ICL Materials M5920A10
ITURAN LOCATION & CONTROL 35.0% ITRN Information Technology M6158M10
JACADA LTD 1.0% JCDA Information Technology M6184R11
KAMADA LTD 19.8% KMDA Health Care M6240T10
KORNIT DIGITAL LTD 34.0% KRNT Industrials M6372Q11
MAGAL SECURITY SYSTEMS 9.6% MAGS Information Technology M6786D10
MAGICJACK VOCALTEC LTD 36.3% CALL Telecommunication Services M6787E10
MEDIWOUND LTD 1.5% MDWD Health Care M6883010
0.0% M6967612
METALINK LTD 27.0% MTLK Information Technology M6989711
MIND CTI LTD 35.8% MNDO Information Technology M7024010
BLUEPHOENIX SOLUTIONS LTD 8.7% MDSY Information Technology M7037810
NEURODERM LTD 5.7% NDRM Health Care M7423110
NOVA MEASURING INSTRUMENTS 35.8% NVMI Information Technology M7516K10
OPTIBASE LTD 35.6% OBAS M7524R11
ORBOTECH LTD 35.0% ORBK Information Technology M7525310
PERION NETWORK LTD 35.5% PERI Information Technology M7867310
POINTER TELOCATION LTD 12.5% PNTR Industrials M7946T10
RADA ELECTRONIC INDS 7.6% RADA Industrials M8186312
RADCOM 6.5% RDCM Information Technology M8186511
RADWARE LTD 34.7% RDWR Information Technology M8187310
RIT TECHNOLOGIES LTD 7.3% RITT Information Technology M8215Q11
REWALK ROBOTICS LTD 0.0% RWLK Health Care M8216Q10
ROSETTA GENOMICS LTD 1.5% ROSG Health Care M8218320
10.9% M8238220
SILICOM LTD 38.0% SILC Information Technology M8411610
STEADYMED LTD 1.2% STDY Health Care M8492010
STRATASYS LTD 35.2% SSYS Information Technology M8554810
SUPERCOM LTD 30.0% SPCB Information Technology M8709511
SYNERON MEDICAL LTD 1.7% ELOS Health Care M8724510
TARO PHARMACEUTICL INDS LTD 35.0% TARO Health Care M8737E10
TAT TECHNOLOGIES LTD 29.0% TATT Industrials M8740S22
TEFRON LTD 31.4% TFRFF Consumer Discretionary M8748211
TOP IMAGE SYSTEMS LTD 19.5% TISA Information Technology M8789610
TIKCRO TECHNOLOGIES LTD 27.0% TIKRF Health Care M8790M11
TOWER SEMICONDUCTOR LTD 20.1% TSEM Information Technology M8791527
ON TRACK INNOVATIONS 4.0% OTIV Information Technology M8791A10
JAZZ TECHNOLOGIES INC 36.2% TSEM1 Information Technology M8799X00
SODASTREAM INTERNATIONAL LTD 35.0% SODA Consumer Discretionary M9068E10
VASCULAR BIOGENICS LTD 2.8% VBLT Health Care M9688310
WIX.COM LTD 2.8% WIX Information Technology M9806810
AERCAP HOLDINGS NV 35.0% AER Industrials N0098510
AFFIMED NV 20.5% AFMD Health Care N0104510
ASM INTERNATIONAL NV 35.0% ASMI Information Technology N0704510
AVG TECHNOLOGIES NV 31.6% AVG Information Technology N0783110
CIMPRESS NV 35.0% CMPR Industrials N2014610
CNH INDUSTRIAL NV 5.9% CNHI Industrials N2094410
CNOVA NV 29.1% CNV Consumer Discretionary N2094710
CONSTELLIUM NV 36.5% CSTM Materials N2203510
CORE LABORATORIES NV 35.0% CLB Energy N2271710
FERRARI NV 35.0% RACE Consumer Discretionary N3167Y10
FIAT CHRYSLER AUTOMOBILES NV 7.4% FCAU Consumer Discretionary N3173810
FRANK'S INTL NV 35.9% FI Energy N3346210
ICTS INTERNATIONAL NV 17.9% ICTS Industrials N4383710
INTERXION HOLDING NV 35.0% INXN Information Technology N4727910
MOBILEYE NV 35.0% MBLY Information Technology N5148811
LYONDELLBASELL INDUSTRIES NV 35.1% LYB Materials N5374510
MYLAN NV 35.0% MYL Health Care N5946510
NXP SEMICONDUCTORS NV 35.0% NXPI Information Technology N6596X10
ORTHOFIX INTERNATIONAL NV 19.7% OFIX Health Care N6748L10
PROQR THERAPEUTICS NV 0.4% PRQR Health Care N7154210
QIAGEN NV 35.0% QGEN Health Care N7248212
RETAIL HOLDINGS NV 35.9% RHDGF Consumer Discretionary N7410810
SAPIENS INTERNATIONAL CORP 35.0% SPNS Information Technology N7716A15
SENSATA TECHNOLOGIES HLDG NV 34.9% ST Industrials N7902X10
UNIQURE NV 0.7% QURE Health Care N9006410
WRIGHT MEDICAL GROUP NV 5.8% WMGI Health Care N9661711
YANDEX N.V. 35.0% YNDX Information Technology N9728410
BANCO LATINOAMERICANO DE COM 31.6% BLX Financials P1699413
COPA HOLDINGS SA 35.0% CPA Industrials P3107610
NYMOX PHARMACEUTICAL CORP 0.7% NYMX Health Care P7339810
SINOVAC BIOTECH LTD 14.9% SVA Health Care P8696W10
ULTRAPETROL BAHAMAS LTD 36.0% ULTR Industrials P9439810
MISSION NEWENERGY LTD 21.7% MNEL Energy Q6216311
PARNELL PHARMACEUTICAL HLDGS 4.5% PARN Health Care Q7362210
TRONOX LTD 23.8% TROX Materials Q9235V10
BANKGUAM HOLDING CO 38.0% BKGMF Financials U0664B10
GI DYNAMICS INC 25.9% GIDYL Health Care U3762T12
PLANET PAYMENT INC 35.0% PLPM Information Technology U7260311
XPEL TECHNOLOGIES CORP 29.6% XPLT Consumer Discretionary U9840910
AZURE POWER GLOBAL LTD 34.0% AZRE Utilities V0393H10
MAKEMYTRIP LTD 17.3% MMYT Consumer Discretionary V5633W10
ROYAL CARIBBEAN CRUISES LTD 35.0% RCL Consumer Discretionary V7780T10
AEGEAN MARINE PETROLM NETWK 35.0% ANW Energy Y0017S10
ARDMORE SHIPPING CORP 33.0% ASC Energy Y0207T10
BOX SHIPS INC 34.7% TEUFF Industrials Y0967520
BROADCOM LTD 2.6% AVGO Information Technology Y0982710
CAPITAL PRODUCT PARTNERS LP 35.0% CPLP Energy Y1108210
COSTAMARE INC 36.1% CMRE Industrials Y1771G10
CREATIVE TECHNOLOGY LTD 22.6% CREAF Information Technology Y1775U10
DANAOS CORP 35.1% DAC Industrials Y1968P10
DHT HOLDINGS INC 11.5% DHT Energy Y2065G12
DIANA SHIPPING INC 0.6% DSX Industrials Y2066G10
12.0% Y2069P12
DORIAN LPG LTD 35.0% LPG Energy Y2106R11
2.7% Y2109Q40
EAGLE BULK SHIPPING INC 0.4% EGLE Industrials Y2187A14
DYNAGAS LNG PARTNERS LP 35.0% DLNG Energy Y2188B10
EUROSEAS LTD 22.5% ESEA Industrials Y2359230
FLEX LTD 31.6% FLEX Information Technology Y2573F10
13.5% Y2649623
GENCO SHIPPING & TRADING 10.6% GNK Industrials Y2685T13
GASLOG PARTNERS LP 35.0% GLOP Energy Y2687W10
GENER8 MARITIME INC 35.0% GNRT Energy Y2688910
GIGAMEDIA LTD 8.2% GIGM Information Technology Y2711Y11
GLOBAL SHIP LEASE INC 35.7% GSL Industrials Y2718310
GLOBUS MARITIME LTD 36.5% GLBS Industrials Y2726530
GOLAR LNG PARTNERS LP 35.0% GMLP Energy Y2745C10
HOEGH LNG PARTNERS LP 35.4% HMLP Energy Y3262R10
INTERNATIONAL SEAWAYS INC 10.4% INSW Energy Y4105310
KBS FASHION GROUP LTD 34.0% KBSF Consumer Discretionary Y4600220
KENON HOLDINGS LTD 35.0% KEN Utilities Y4671710
KNOT OFFSHORE PRTNRS LP 35.0% KNOP Energy Y4812510
NAVIGATOR HOLDINGS LTD 35.0% NVGS Energy Y6213210
NAVIOS MARITIME MIDSTR PN LP 35.0% NAP Energy Y6213410
NAVIOS MARITIME ACQUISITION 35.0% NNA Energy Y6215910
NAVIOS MARITIME HOLDINGS INC 21.4% NM Industrials Y6219610
NAVIOS MARITIME PARTNERS LP 35.4% NMM Industrials Y6226710
PARAGON SHIPPING INC 7.8% PRGN Y6728Q14
PYXIS TANKERS INC 34.0% PXS Industrials Y7172610
SEANERGY MARITIME HLDGS CORP 21.9% SHIP Industrials Y7376013
SAFE BULKERS INC 35.5% SB Industrials Y7388L10
SCORPIO TANKERS INC 37.1% STNG Energy Y7542C10
SEADRILL PARTNERS LLC 35.0% SDLP Energy Y7545W10
SCORPIO BULKERS 18.3% SALT Industrials Y7546A12
SEASPAN CORP 27.2% SSW Industrials Y7563810
STAR BULK CARRIERS CORP 17.8% SBLK Industrials Y8162K20
STEALTHGAS INC 11.7% GASS Energy Y8166910
TEEKAY LNG PARTNERS LP 12.0% TGP Energy Y8564M10
TEEKAY CORP 35.0% TK Energy Y8564W10
TEEKAY OFFSHORE PARTNERS LP 29.3% TOO Energy Y8565J10
TEEKAY TANKERS LTD 10.8% TNK Energy Y8565N10
8.8% Y8897Y15
VTTI ENERGY PARTNRS LP 36.4% VTTI Energy Y9384M10
WAVE LIFE SCIENCES LTD 0.6% WVE Health Care Y9530810