There are currently 576 preferred stocks traded on U.S. stock exchanges.
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Symbol | Name | Market cap | Liquidation Value | Last EOD Price | Coupon Rate | Fixed To Floating | Current Yield | 20 Day Average Volume | Issuer Symbol | Issuer Name | Type | Issuer Market Cap | Action |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
AAIC-B | Arlington Asset 7.00% Series B Cumulative Preferred Stock | $7,767,741 | $25 | $22.44 | 7.00% | N | 7.80% | 1,320 | AAIC | Arlington Asset Investment Corp Class A | Mortgage REITs | $136,289,401 | Analyze |
AAIC-C | Arlington Asset Investment Corp 8.250% Series C Fixed-to-Floating Rate Cumulative Preferred | $26,400,000 | $25 | $22.00 | 8.25% | Y | 9.37% | 4,641 | AAIC | Arlington Asset Investment Corp Class A | Mortgage REITs | $136,289,401 | Analyze |
ABR-A | Arbor Realty Trust 8.250% Series A Cumulative Preferred | $36,316,000 | $25 | $25.94 | 8.25% | N | 7.95% | 2,397 | ABR | Arbor Realty Trust Inc | Mortgage REITs | $2,067,011,838 | Analyze |
ABR-B | Arbor Realty Trust 7.75% Cumulative Redeemable Preferred Series B | $30,519,600 | $25 | $25.43 | 7.75% | N | 7.62% | 1,639 | ABR | Arbor Realty Trust Inc | Mortgage REITs | $2,067,011,838 | Analyze |
ABR-C | Arbor Realty Trust 8.5% Cumulative Redeemable Preferred Series C | $23,399,910 | $25 | $26.00 | 8.50% | N | 8.17% | 2,208 | ABR | Arbor Realty Trust Inc | Mortgage REITs | $2,067,011,838 | Analyze |
ACGLO | Arch Capital ADRs of 5.45% Non-Cumulative Preferred Series F | $158,792,909 | $25 | $25.76 | 5.45% | N | 5.29% | 15,958 | ACGL | Arch Capital Group Ltd | Common stocks | $14,657,637,911 | Analyze |
ACGLP | Arch Capital Group Ltd. ADRs of 5.25% Non-Cumulative Preferred Series E | $213,127,031 | $25 | $25.31 | 5.25% | N | 5.19% | 32,023 | ACGL | Arch Capital Group Ltd | Common stocks | $14,657,637,911 | Analyze |
ACR-C | ACRES Commercial Realty Corp. 8.625% Fixed-to-Floating Series C Cumulative Preferred | $115,824,000 | $25 | $24.13 | 8.25% | Y | 8.94% | 38,964 | ARC | Arc Document Solutions Inc | Common stocks | $92,989,596 | Analyze |
AEL-A | American Equity Investment Life ADRs of 5.95% Fixed-Rate Reset Non-Cumulative Preferred, Series A | $411,680,000 | $25 | $25.73 | 5.95% | Y | 5.78% | 20,280 | AEL | American Equity Investment Life Holding | Common stocks | $2,668,334,388 | Analyze |
AEL-B | American Equity Investment Life Holding ADRs of 6.625% Fixed-Rate Reset Non-Cumulative Preferred Series B | $321,120,000 | $25 | $26.76 | 6.63% | Y | 6.19% | 0 | AEL | American Equity Investment Life Holding | Common stocks | $2,668,334,388 | Analyze |
AFINO | American Finance Trust, Inc. - 7.375% Series C Cumulative Redeemable Preferred Stock | $92,220,800 | $25 | $25.06 | 7.38% | N | 7.36% | 14,903 | AFIN | American Finance Trust, Inc | REITs | $992,548,684 | Analyze |
AFINP | American Finance Trust 7.50% Series A Cumulative Preferred Stock | $30,360,000 | $25 | $25.30 | 7.50% | N | 7.41% | 16,570 | AFIN | American Finance Trust, Inc | REITs | $992,548,684 | Analyze |
AGM-C | Federal Agricultural Mortgage 6.000% Fixed-to-Floating Rate Non-Cumulative Preferred Series C | $79,580,400 | $25 | $26.53 | 6.00% | Y | 5.65% | 978 | AGM | Federal Agricultural Mortgage Corp | Common stocks | $897,968,887 | Analyze |
AGM-D | Federal Agricultural Mortgage Corporation 5.700% Non-Cumulative Preferred Series D | $106,800,000 | $25 | $26.70 | 5.70% | N | 5.34% | 7,154 | AGM | Federal Agricultural Mortgage Corp | Common stocks | $897,968,887 | Analyze |
AGM-E | Federal Agricultural Mortgage Corporation 5.750% Non-Cumulative Preferred, Series E | $80,310,000 | $25 | $26.77 | 5.75% | N | 5.37% | 0 | AGM | Federal Agricultural Mortgage Corp | Common stocks | $897,968,887 | Analyze |
AGM-F | Federal Agricultural Mortgage Corporation 5.250% Non-Cumulative Preferred, Series F | $126,048,000 | $25 | $26.26 | 5.25% | N | 5.00% | 0 | AGM | Federal Agricultural Mortgage Corp | Common stocks | $897,968,887 | Analyze |
AGNCM | AGNC Investment Corp ADRs of 6.875% Series D Fixed-to-Floating Cumulative Redeemable Preferred Stock | $257,715,000 | $25 | $24.90 | 6.88% | Y | 6.90% | 20,963 | AGNC | AGNC Investment Corp | Mortgage REITs | $8,681,702,820 | Analyze |
AGNCN | AGNC Investment Corp. ADRs of 7.00% Series C Fixed-To-Floating Rate Cumulative Redeemable Preferred | $333,840,000 | $25 | $25.68 | 7.00% | Y | 6.81% | 31,468 | AGNC | AGNC Investment Corp | Mortgage REITs | $8,681,702,820 | Analyze |
AGNCO | AGNC Investment Corp. ADRs of 6.5% Series E Fixed-to-Floating Cumulative Redeemable Preferred | $345,660,000 | $25 | $24.69 | 6.50% | Y | 6.58% | 47,748 | AGNC | AGNC Investment Corp | Mortgage REITs | $8,681,702,820 | Analyze |
AGNCP | AGNC Investment Corp. ADRs of 6.125% Series F Fixed-to-Floating Rate Cumulative Preferred | $471,800,000 | $25 | $23.59 | 6.13% | Y | 6.49% | 57,191 | AGNC | AGNC Investment Corp | Mortgage REITs | $8,681,702,820 | Analyze |
AHH-A | Armada Hoffler Properties, Inc. 6.75% Series A Cumulative Redeemable Perpetual Preferred Stock | $55,286,000 | $25 | $25.13 | 6.75% | N | 6.72% | 11,472 | AHH | Armada Hoffler Properties, Inc | REITs | $732,286,291 | Analyze |
AHL-C | Aspen Insurance 5.95% Fixed-to-Floating Rate Non-Cumulative Preferred | $290,620,000 | $25 | $26.42 | 5.95% | Y | 5.63% | 14,907 | n/a | Not a public company | $0 | Analyze | |
AHL-D | Aspen Insurance 5.625% Non-Cumulative Preference Shares | $259,100,000 | $25 | $25.91 | 5.63% | N | 5.43% | 11,813 | n/a | Not a public company | $0 | Analyze | |
AHL-E | Aspen Insurance Holdings ADRs of 5.625% Perpetual Non-Cumulative Preference Shares | $258,100,000 | $25 | $25.81 | 5.63% | N | 5.45% | 16,776 | n/a | Not a public company | $0 | Analyze | |
AHT-D | Ashford Hospitality Trust Inc 8.45% Series D Cumulative Preferred Stock | $173,101,600 | $25 | $21.64 | 8.45% | N | 9.76% | 9,483 | AHT | Ashford Hospitality Trust, Inc | REITs | $234,383,342 | Analyze |
AHT-F | Ashford Hospitality Trust Inc 7.375% Series F Cumulative Preferred Stock | $103,248,000 | $25 | $21.51 | 7.38% | N | 8.57% | 12,332 | AHT | Ashford Hospitality Trust, Inc | REITs | $234,383,342 | Analyze |
AHT-G | Ashford Hospitality Trust Inc 7.375% Series G Cumulative Preferred Stock | $131,254,000 | $25 | $21.17 | 7.38% | N | 8.71% | 24,083 | AHT | Ashford Hospitality Trust, Inc | REITs | $234,383,342 | Analyze |
AHT-H | Ashford Hospitality Trust Inc 7.50% Series H Cumulative Preferred Stock | $80,294,000 | $25 | $21.13 | 7.50% | N | 8.87% | 11,266 | AHT | Ashford Hospitality Trust, Inc | REITs | $234,383,342 | Analyze |
AHT-I | Ashford Hospitality Trust Inc 7.50% Series I Cumulative Preferred Stock | $114,102,000 | $25 | $21.13 | 7.50% | N | 8.87% | 19,598 | AHT | Ashford Hospitality Trust, Inc | REITs | $234,383,342 | Analyze |
AIG-A | AIG ADRs of Series A 5.85% Non-Cumulative Preferred Stock | $539,800,000 | $25 | $26.99 | 5.85% | N | 5.42% | 36,871 | AIG | American International Group Inc | Common stocks | $39,745,779,147 | Analyze |
AIRTP | Air T, Inc. - Air T Funding Trust 8% Preferred Securities | $21,058,800 | $25 | $25.07 | 8.00% | N | 7.98% | 893 | AIRT | Air T Inc | Common stocks | $76,830,201 | Analyze |
AIZP | Assurant Inc. 6.50% Series D Mandatory Convertible Preferred Stock | $295,112,500 | $100 | $118.05 | 6.50% | N | 5.51% | 66,534 | AIZ | Assurant Inc | Common stocks | $7,332,842,885 | Analyze |
AL-A | Air Lease Corp 6.150% Fixed-to-Floating Rate Non-Cumulative Preferred Series A | $260,100,000 | $25 | $26.01 | 6.15% | Y | 5.91% | 13,207 | AL | Air Lease Corp | Common stocks | $5,110,661,126 | Analyze |
ALIN-A | Altera Infrastructure L.P. 7.25% Series A Preferred Units | $121,200,000 | $25 | $20.20 | 7.25% | N | 8.97% | 7,455 | n/a | Not a public company | $0 | Analyze | |
ALIN-B | Altera Infrastructure L.P. 8.50% Series B Preferred | $112,225,000 | $25 | $22.45 | 8.50% | N | 9.47% | 12,723 | n/a | Not a public company | $0 | Analyze | |
ALIN-E | Altera Infrastructure L.P. 8.875% Series E Fixed to Floating Preferred | $107,016,000 | $25 | $22.30 | 8.88% | Y | 9.95% | 11,460 | n/a | Not a public company | $0 | Analyze | |
ALL-G | Allstate Corporation ADRs of 5.625% Non-cumulative Preferred Stock, Series G | $289,848,915 | $25 | $26.81 | 5.63% | N | 5.25% | 26,880 | ALL | Allstate Corp | Common stocks | $33,464,484,839 | Analyze |
ALL-H | Allstate Corporation ADRs of 5.1% Noncumulative Perpetual Preferred Stock, Series H | $1,214,400,000 | $25 | $26.40 | 5.10% | N | 4.83% | 117,985 | ALL | Allstate Corp | Common stocks | $33,464,484,839 | Analyze |
ALL-I | Allstate Corporation ADRs of 4.75% Noncumulative Preferred Stock, Series I | $311,610,000 | $25 | $25.97 | 4.75% | N | 4.57% | 26,250 | ALL | Allstate Corp | Common stocks | $33,464,484,839 | Analyze |
ALLY-A | GMAC Capital Trust I Fixed Rate Floating Rate Trust Preferred Series 2 | $2,780,080,800 | $25 | $26.06 | 8.13% | Y | 5.74% | 168,489 | ALLY | Ally Financial Inc | Common stocks | $16,259,052,411 | Analyze |
ALP-Q | Alabama Power Company 5.00% Class A Cumulative Preferred Stock | $265,200,000 | $25 | $26.52 | 5.00% | N | 4.71% | 16,003 | SO | Southern Co | Common stocks | $61,103,736,638 | Analyze |
ALTG-A | Alta Equipment Group Inc. ADRs of 10% Series A Cumulative Perpetual Preferred Stock | $31,249,400 | $25 | $26.26 | 10.00% | N | 9.52% | 0 | ALTG | Alta Equipment Group Inc. Class A | Common stocks | $322,999,082 | Analyze |
AMH-D | American Homes 4 Rent 6.5% Series D Cumulative Preferred | $263,718,000 | $25 | $25.48 | 6.50% | N | 6.38% | 15,200 | AMH | American Homes 4 Rent Class A | REITs | $9,606,842,218 | Analyze |
AMH-E | American Homes 4 Rent 6.35% Series E Cumulative Preferred Shares | $234,600,000 | $25 | $25.50 | 6.35% | N | 6.23% | 22,288 | AMH | American Homes 4 Rent Class A | REITs | $9,606,842,218 | Analyze |
AMH-F | American Homes 4 Rent 5.875% Series F Cumulative Preferred Shares | $159,960,000 | $25 | $25.80 | 5.88% | N | 5.69% | 6,269 | AMH | American Homes 4 Rent Class A | REITs | $9,606,842,218 | Analyze |
AMH-G | American Homes 4 Rent 5.875% Series G cumulative preferred shares | $118,956,000 | $25 | $25.86 | 5.88% | N | 5.68% | 4,487 | AMH | American Homes 4 Rent Class A | REITs | $9,606,842,218 | Analyze |
AMH-H | American Homes 4 Rent 6.25% Series H cumulative preferred | $122,360,000 | $25 | $26.60 | 6.25% | N | 5.87% | 6,771 | AMH | American Homes 4 Rent Class A | REITs | $9,606,842,218 | Analyze |
ANH-A | Anworth Mortgage 8.625% Series A Cumulative Preferred Stock | $47,900,082 | $25 | $25.54 | 8.63% | N | 8.45% | 6,492 | ANH | Anworth Mortgage Asset Corp | Mortgage REITs | $287,981,548 | Analyze |
ANH-B | Anworth Mortgage 6.25% Series B Cumulative Convertible Preferred Stock | $24,760,000 | $25 | $24.76 | 6.25% | N | 6.31% | 2,284 | ANH | Anworth Mortgage Asset Corp | Mortgage REITs | $287,981,548 | Analyze |
ANH-C | Anworth Mortgage 7.625% Series C Cumulative Preferred Stock | $7,515,000 | $25 | $25.05 | 7.63% | N | 7.61% | 10,156 | ANH | Anworth Mortgage Asset Corp | Mortgage REITs | $287,981,548 | Analyze |
APO-A | Apollo Global Management LLC 6.375% Series A Preferred Shares | $284,020,000 | $25 | $25.82 | 6.38% | N | 6.17% | 23,409 | APO | Apollo Global Management LLC | MLPs | $11,582,063,079 | Analyze |
APO-B | Apollo Global Management LLC 6.375% Series B Preferred Shares | $316,200,000 | $25 | $26.35 | 6.38% | N | 6.05% | 19,458 | APO | Apollo Global Management LLC | MLPs | $11,582,063,079 | Analyze |
APTV-A | Aptiv PLC 5.50% Series A Mandatory Convertible Preferred Shares | $1,791,300,000 | $100 | $179.13 | 5.50% | N | 3.07% | 0 | APTV | Aptiv Plc | Common stocks | $41,640,612,925 | Analyze |
ARES-A | Ares Management 7.00% Series A Preferred | $321,284,000 | $25 | $25.91 | 7.00% | N | 6.75% | 22,404 | ARES | Ares Management Corporation Class A | Common stocks | $7,776,050,932 | Analyze |
ARGO-A | Argo Group International ADRs of 7.00% Resettable Fixed Rate Preference Share, Series A | $157,920,000 | $25 | $26.32 | 7.00% | Y | 6.65% | 34,029 | ARGO | Argo Group International Holdings | Common stocks | $1,633,648,616 | Analyze |
ARR-C | ARMOUR Residential REIT, Inc. 7% Series C Cumulative Preferred | $161,261,000 | $25 | $24.62 | 7.00% | N | 7.11% | 0 | ARR | Armour Residential REIT Inc | Mortgage REITs | $803,076,016 | Analyze |
ASB-C | Associated Banc-Corp ADRs of 6.125% Non-Cumulative Preferred Series C | $67,080,000 | $25 | $25.80 | 6.13% | N | 5.94% | 0 | ASB | Associated Bancorp | Common stocks | $3,148,337,099 | Analyze |
ASB-D | Associated Banc-Corp ADRs of Series D 5.375% Non-Cumulative Preferred | $101,320,000 | $25 | $25.33 | 5.38% | N | 5.30% | 2,200 | ASB | Associated Bancorp | Common stocks | $3,148,337,099 | Analyze |
ASB-E | Associated Banc-Corp ADRs of 5.875% Non-Cumulative Preferred Series E | $104,679,200 | $25 | $26.17 | 5.88% | N | 5.61% | 4,074 | ASB | Associated Bancorp | Common stocks | $3,148,337,099 | Analyze |
ASB-F | Associated Banc-Corp ADRs of 5.625% Non-Cumulative Perpetual Preferred Stock, Series F | $105,200,000 | $25 | $26.30 | 5.63% | N | 5.35% | 0 | ASB | Associated Bancorp | Common stocks | $3,148,337,099 | Analyze |
ASRVP | AmeriServ Financial Inc. 8.45% Beneficial Unsecured Securities, Series A | $39,095,400 | $25 | $28.33 | 8.45% | N | 7.46% | 496 | ASRV | Ameriserv Financial Inc | Common stocks | $63,799,329 | Analyze |
ATCO-D | Atlas Corp. 7.95% Cumulative Preferred Series D | $128,361,946 | $25 | $25.20 | 7.95% | N | 7.89% | 9,455 | ATCO | Atlas Corp. | Common stocks | $3,400,112,119 | Analyze |
ATCO-E | Atlas Corp. 8.25% Cumulative Preferred Series E | $137,510,640 | $25 | $25.39 | 8.25% | N | 8.12% | 8,513 | ATCO | Atlas Corp. | Common stocks | $3,400,112,119 | Analyze |
ATCO-G | Atlas Corp. 8.20% Cumulative Preferred Series G | $198,140,320 | $25 | $25.40 | 8.20% | N | 8.07% | 9,824 | ATCO | Atlas Corp. | Common stocks | $3,400,112,119 | Analyze |
ATCO-H | Atlas Corp. 7.875% Cumulative Preferred Series H | $228,335,157 | $25 | $25.30 | 7.88% | N | 7.78% | 16,157 | ATCO | Atlas Corp. | Common stocks | $3,400,112,119 | Analyze |
ATCO-I | Atlas Corp. Series I 8% Fixed-to-Floating Cumulative Preferred | $152,640,000 | $25 | $25.44 | 8.00% | Y | 7.86% | 16,350 | ATCO | Atlas Corp. | Common stocks | $3,400,112,119 | Analyze |
ATH-A | Athene Holding Ltd. ADRs of 6.35% Fixed-to-Floating Rate Perpetual Non-Cumulative Preference Share, Series A | $822,300,000 | $25 | $27.41 | 6.35% | Y | 5.79% | 44,319 | ATH | Athene Holding Ltd | Common stocks | $8,965,616,627 | Analyze |
ATH-B | Athene Holding Ltd. ADRs of 5.625% Fixed Rate Perpetual Non- Cumulative Preference Share, Series B | $311,400,000 | $25 | $25.95 | 5.63% | N | 5.42% | 26,978 | ATH | Athene Holding Ltd | Common stocks | $8,965,616,627 | Analyze |
ATH-C | Athene Holding Ltd. ADRs of 6.375% Fixed-Rate Reset Non-Cumulative Preferred, Series C | $663,120,000 | $25 | $27.63 | 6.38% | Y | 5.77% | 0 | ATH | Athene Holding Ltd | Common stocks | $8,965,616,627 | Analyze |
ATH-D | Athene Holding Ltd. ADRs 4.875% Fixed-Rate Perpetual Non-Cumulative Preference, Series D | $598,440,000 | $25 | $24.94 | 4.88% | N | 4.89% | 0 | ATH | Athene Holding Ltd | Common stocks | $8,965,616,627 | Analyze |
AUBAP | Atlantic Union Bankshares ADRs of 6.875% Non-Cumulative Preferred, Series A | $161,940,000 | $25 | $26.99 | 6.88% | N | 6.37% | 22,538 | AUB | Atlantic Union Bankshares Corporation | Common stocks | $2,928,949,426 | Analyze |
AVGOP | Broadcom Inc. - 8.00% Mandatory Convertible Preferred Stock, Series A | $4,992,812,500 | $1,000 | $1,536.25 | 8.00% | N | 5.21% | 8,321 | AVGO | Broadcom Inc. | Common stocks | $196,145,503,403 | Analyze |
AVTR-A | Avantor, Inc. 6.250% Series A Mandatory Convertible Preferred Stock | $1,625,400,000 | $50 | $90.30 | 6.25% | N | 3.46% | 33,991 | AVTR | Avantor, Inc. | Common stocks | $16,692,134,664 | Analyze |
AXS-E | Axis Capital Holdings Limited ADRs of 5.5% Preferred Series E | $559,020,000 | $25 | $25.41 | 5.50% | N | 5.41% | 30,742 | AXS | Axis Capital Holdings Ltd | Common stocks | $4,205,169,544 | Analyze |
AZUL | Azul S.A. ADRs of preferred shares | $400,958,441 | $25 | $20.69 | 0.00% | Y | 0.00% | 1,104,320 | BS:AZUL4 | Azul S.A | Common stocks | $13,102,094,336 | Analyze |
BAC-A | Bank of America ADRs of 6.000% Non-Cumulative Preferred Series EE | $410,473,585 | $25 | $25.37 | 6.00% | N | 5.91% | 75,875 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-B | Bank of America ADRs of 6.000% Non-Cumulative Preferred Series GG | $647,606,190 | $25 | $26.79 | 6.00% | N | 5.60% | 113,443 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-E | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series E | $313,975,340 | $25 | $24.74 | 4.00% | Y | 4.13% | 22,970 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-K | Bank of America ADRs of 5.875% Non- Cumulative Preferred Series HH | $410,290,095 | $25 | $26.66 | 5.88% | N | 5.51% | 80,526 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-L | Bank of America 7.25% Non Cumulative Convertible Preferred Series L | $8,524,139,400 | $1,000 | $1,420.69 | 7.25% | N | 5.10% | 7,424 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-M | Bank of America Corporation ADRs of 5.375% Non-Cumulative Preferred Stock, Series KK | $1,391,780,000 | $25 | $26.26 | 5.38% | N | 5.12% | 122,133 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-N | Bank of America ADRs of 5.000% Non-Cumulative Preferred Stock, Series LL | $1,353,492,000 | $25 | $25.83 | 5.00% | N | 4.84% | 96,523 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-O | Bank of America ADRs of 4.375% Non-Cumulative Preferred, Series NN | $1,103,080,000 | $25 | $25.07 | 4.38% | N | 4.36% | 0 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BAC-P | Bank of America ADRs of 4.125% Non-Cumulative Preferred, Series PP | $916,098,000 | $25 | $25.03 | 4.13% | N | 4.12% | 0 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BANC-D | Banc of California ADRs of 7.375% Non-Cumulative Preferred Series D | $100,000,000 | $25 | $25.00 | 7.38% | N | 7.38% | 14,110 | BANC | Banc Of California Inc | Common stocks | $952,094,604 | Analyze |
BANC-E | Banc of California ADRs of 7.000% Non-Cumulative Preferred Series E | $126,450,000 | $25 | $25.29 | 7.00% | N | 6.92% | 4,536 | BANC | Banc Of California Inc | Common stocks | $952,094,604 | Analyze |
BANFP | BancFirst Corporation 7.2% Cumulative Trust Preferred Securities | $28,500,000 | $25 | $28.50 | 7.20% | N | 6.32% | 1,010 | BANF | Bancfirst Corp | Common stocks | $2,135,072,648 | Analyze |
BCV-A | Bancroft Fund Limited 5.375% Series A Cumulative Preferred Shares | $30,960,000 | $25 | $25.80 | 5.38% | N | 5.21% | 1,494 | BCV | Bancroft Fund CEF | Convertible bonds | $170,654,246 | Analyze |
BDXB | Becton, Dickinson ADRs of 6.00% Mandatory Convertible Preferred, Series B | $1,599,900,000 | $50 | $53.33 | 6.00% | N | 5.63% | 97,359 | BDX | Becton Dickinson | Common stocks | $71,108,746,597 | Analyze |
BEP-A | Brookfield Renewable Partners L.P. 5.25% Class A Preferred Limited Partnership Units, Series 17 | $203,040,000 | $25 | $25.38 | 5.25% | N | 5.17% | 10,466 | BEP | Brookfield Renewable Partners L.P. | MLPs | $11,749,336,299 | Analyze |
BFS-D | Saul Centers ADRs of 6.125% Series D Cumulative Preferred | $72,300,000 | $25 | $24.10 | 6.13% | N | 6.35% | 2,934 | BFS | Saul Centers, Inc | REITs | $844,355,000 | Analyze |
BFS-E | Saul Centers, Inc. ADRs of 6.000% Series E Cumulative Redeemable Preferred Stock | $96,200,000 | $25 | $24.05 | 6.00% | N | 6.24% | 9,659 | BFS | Saul Centers, Inc | REITs | $844,355,000 | Analyze |
BHFAN | Brighthouse Financial, Inc. ADRs of 5.375% Non-Cumulative Preferred, Series C | $506,200,000 | $25 | $25.31 | 5.38% | N | 5.31% | 84,646 | BHF | Brighthouse Financial | Common stocks | $3,668,782,241 | Analyze |
BHFAO | Brighthouse Financial, Inc. ADRs of 6.750% Non-Cumulative Preferred, Series B | $380,660,000 | $25 | $27.19 | 6.75% | N | 6.21% | 29,785 | BHF | Brighthouse Financial | Common stocks | $3,668,782,241 | Analyze |
BHFAP | Brighthouse Financial ADRs of 6.6% Non-Cumulative Preferred Series A | $454,580,000 | $25 | $26.74 | 6.60% | N | 6.17% | 17,616 | BHF | Brighthouse Financial | Common stocks | $3,668,782,241 | Analyze |
BHR-B | Braemar Hotels 5.50% Series B Cumulative Convertible Preferred Stock | $83,724,231 | $25 | $16.86 | 5.50% | N | 8.16% | 14,930 | BHR | Braemar Hotels & Resorts, Inc | REITs | $238,463,739 | Analyze |
BHR-D | Braemar Hotels 8.25% Series D Cumulative Preferred Stock | $44,141,600 | $25 | $23.99 | 8.25% | N | 8.60% | 6,883 | BHR | Braemar Hotels & Resorts, Inc | REITs | $238,463,739 | Analyze |
BIP-A | Brookfield Infrastructure Partners LP 5.125% Class A Preferred Limited Partnership Units, Series 13 | $202,960,000 | $25 | $25.37 | 5.13% | N | 5.05% | 0 | BIP | Brookfield Infrastructure Partners LP | MLPs | $15,083,132,566 | Analyze |
BIP-B | Brookfield Infrastructure Partners LP 5.000% Class A Preferred Limited Partnership Units, Series 14 | $201,600,000 | $25 | $25.20 | 5.00% | N | 4.96% | 0 | BIP | Brookfield Infrastructure Partners LP | MLPs | $15,083,132,566 | Analyze |
BKEPP | Blueknight Energy Partners L.P. Series A Preferred Units | $261,682,755 | $25 | $7.45 | 5.20% | N | 17.45% | 34,002 | BKEP | Blueknight Energy Partners LP | MLPs | $96,815,507 | Analyze |
BML-G | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 1 | $86,906,400 | $25 | $22.17 | 0.00% | Y | 3.38% | 0 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BML-H | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 2 | $262,880,800 | $25 | $21.98 | 0.00% | Y | 3.49% | 0 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BML-J | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 4 | $207,564,000 | $25 | $24.71 | 0.00% | Y | 4.14% | 0 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BML-L | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 5 | $418,961,600 | $25 | $24.82 | 4.00% | Y | 4.12% | 0 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
BPYPN | Brookfield Property Partners L.P. - 5.750% Class A Cumulative Preferred Units, Series 3 | $220,000,000 | $25 | $22.00 | 5.75% | N | 6.53% | 20,954 | BPY | Brookfield Property Partners LP | MLPs | $7,529,822,394 | Analyze |
BPYPO | Brookfield Property Partners L.P. - 6.375% Class A Cumulative Preferred Units, Series 2 | $238,000,000 | $25 | $23.80 | 6.38% | N | 6.70% | 17,700 | BPY | Brookfield Property Partners LP | MLPs | $7,529,822,394 | Analyze |
BPYPP | Brookfield Property Partners L.P. 6.50% Class A Cumulative Preferred Units | $157,120,000 | $25 | $24.55 | 6.50% | N | 6.62% | 16,064 | BPY | Brookfield Property Partners LP | MLPs | $7,529,822,394 | Analyze |
BPYUP | Brookfield Property REIT Inc. - 6.375% Series A Cumulative Preferred | $248,500,000 | $25 | $24.85 | 6.38% | N | 6.41% | 37,444 | BPYU | Brookfield Property REIT Inc. - Class A | REITs | $665,790,239 | Analyze |
BRG-C | Bluerock Residential 7.625% Series C Cumulative Preferred Stock | $59,348,575 | $25 | $25.54 | 7.63% | N | 7.46% | 0 | BRG | Bluerock Residential Growth REIT, Inc Class A | REITs | $247,788,030 | Analyze |
BRG-D | Bluerock Residential 7.125% Series D, Cumulative Preferred Stock | $73,830,592 | $25 | $25.90 | 7.13% | N | 6.88% | 0 | BRG | Bluerock Residential Growth REIT, Inc Class A | REITs | $247,788,030 | Analyze |
BSX-A | Boston Scientific Corporation 5.50% Mandatory Convertible Preferred Series A | $969,062,500 | $100 | $110.75 | 5.50% | N | 4.97% | 0 | BSX | Boston Scientific Corp | Common stocks | $54,929,342,803 | Analyze |
BXP-B | Boston Properties ADRs of 5.25% Series B Cumulative Preferred Stock | $200,672,000 | $25 | $25.08 | 5.25% | N | 5.23% | 157,368 | BXP | Boston Properties, Inc | REITs | $15,797,134,448 | Analyze |
BXS-A | BancorpSouth Bank 5.50% Series A Non-Cumulative Perpetual Preferred Stock | $157,320,000 | $25 | $26.22 | 5.50% | N | 5.24% | 12,780 | BXS | Bancorpsouth Inc | Common stocks | $3,164,576,256 | Analyze |
C-J | Citigroup Inc. ADRs of Series J Fixed to Floating Rate Preferred | $996,120,000 | $25 | $27.67 | 7.13% | Y | 6.44% | 62,200 | C | Citigroup Inc | Common stocks | $143,837,080,072 | Analyze |
C-K | Citigroup ADRs of 6.875% Fixed Rate/Floating Rate Noncumulative Preferred Series K | $5,370,560,000 | $25 | $103.28 | 6.88% | Y | 1.66% | 45,974 | C | Citigroup Inc | Common stocks | $143,837,080,072 | Analyze |
CAI-A | CAI 8.50% Series A Fixed-to-Floating Rate Cumulative Preferred | $41,792,000 | $25 | $26.12 | 8.50% | Y | 8.13% | 3,587 | CAI | CAI International, Inc. | Common stocks | $785,812,800 | Analyze |
CAI-B | CAI 8.50% Series B Fixed-to-Floating Rate Cumulative Preferred | $44,455,000 | $25 | $26.15 | 8.50% | Y | 8.13% | 1,946 | CAI | CAI International, Inc. | Common stocks | $785,812,800 | Analyze |
CBB-B | Cincinnati Bell Inc. ADRs of 6.75% Cumulative Convertible Preferred Stock | $155,462,680 | $50 | $49.99 | 6.75% | N | 6.75% | 3,231 | CBB | Cincinnati Bell Inc | Common stocks | $777,374,108 | Analyze |
CCNEP | CNB Financial ADRs of 7.125% Series A Fixed- Rate Non-Cumulative Preferred | $54,915,000 | $25 | $26.15 | 7.13% | N | 6.81% | 4,634 | CCNE | CNB Financial Corp | Common stocks | $396,080,843 | Analyze |
CDMOP | Avid Bioservices Inc. 10.50% Series E Convertible Preferred Stock | $21,602,000 | $25 | $30.86 | 10.50% | N | 8.51% | 5,134 | CDMO | Avid Bioservices Inc | Common stocks | $1,224,721,551 | Analyze |
CDR-B | Cedar Realty Trust 7.25% Series B Cumulative Preferred Stock | $10,048,000 | $25 | $25.12 | 7.25% | N | 7.22% | 5,935 | CDR | Cedar Realty Trust, Inc | REITs | $206,796,574 | Analyze |
CDR-C | Cedar Realty Trust 6.50% Series C Cumulative Preferred Stock | $111,900,000 | $25 | $22.38 | 6.50% | N | 7.26% | 11,649 | CDR | Cedar Realty Trust, Inc | REITs | $206,796,574 | Analyze |
CEQP- | Crestwood Equity Partners LP 9.25% Cumulative Preferred Units | $568,634,411 | $9 | $7.98 | 9.25% | N | 10.58% | 223,916 | CEQP | Crestwood Equity Partners LP | MLPs | $1,735,063,476 | Analyze |
CETXP | Cemtrex Inc. 10% Preferred Stock Series 1 | $5,120,538 | $10 | $2.31 | 10.00% | N | 43.29% | 4,901 | CETX | Cemtrex Inc | Common stocks | $34,319,218 | Analyze |
CFG-D | Citizens Financial ADRs of 6.350% Fixed-to-Floating Rate Non-Cumulative Preferred Series D | $332,523,600 | $25 | $27.71 | 6.35% | Y | 5.73% | 18,802 | CFG | Citizens Financial Group Inc | Common stocks | $18,900,231,389 | Analyze |
CFG-E | Citizens Financial Group ADRs of 5.000% Non-Cumulative Perpetual Preferred, Series E | $463,680,000 | $25 | $25.76 | 5.00% | N | 4.85% | 34,299 | CFG | Citizens Financial Group Inc | Common stocks | $18,900,231,389 | Analyze |
CFR-B | Cullen/Frost Bankers, Inc. ADRs of 4.450% non-cumulative perpetual preferred Series B | $152,190,000 | $25 | $25.37 | 4.45% | N | 4.39% | 0 | CFR | Cullen Frost Bankers Inc | Common stocks | $6,674,117,447 | Analyze |
CHMI-A | Cherry Hill Mortgage 8.20% Series A Cumulative Preferred Stock | $60,912,000 | $25 | $25.38 | 8.20% | N | 8.08% | 6,667 | CHMI | Cherry Hill Mortgage Investment Corporation | Mortgage REITs | $173,671,646 | Analyze |
CHMI-B | Cherry Hill Mortgage 8.250% Series B Fixed-to-Floating Rate Cumulative Preferred | $44,730,000 | $25 | $24.85 | 8.25% | Y | 8.30% | 4,045 | CHMI | Cherry Hill Mortgage Investment Corporation | Mortgage REITs | $173,671,646 | Analyze |
CHSCL | CHS Inc Class B Cumulative Redeemable Preferred Stock Series 4 | $597,609,000 | $25 | $28.87 | 7.50% | N | 6.49% | 23,096 | n/a | Not a public company | $0 | Analyze | |
CHSCM | CHS Inc Class B Reset Rate Cumulative Preferred Stock Series 3 | $539,583,000 | $25 | $27.39 | 6.75% | Y | 6.16% | 21,109 | n/a | Not a public company | $0 | Analyze | |
CHSCN | CHS Inc Class B Reset Rate Cumulative Preferred Stock Series 2 | $463,344,000 | $25 | $27.58 | 7.10% | Y | 6.44% | 16,639 | n/a | Not a public company | $0 | Analyze | |
CHSCO | CHS Inc Class B Cumulative Redeemable Preferred Stock | $593,866,359 | $25 | $28.60 | 7.88% | N | 6.88% | 19,763 | n/a | Not a public company | $0 | Analyze | |
CHSCP | CHS Inc 8% Cumulative Redeemable Preferred Stock | $40,963,014 | $25 | $29.77 | 8.00% | N | 6.72% | 15,206 | n/a | Not a public company | $0 | Analyze | |
CIM-A | Chimera Investment 8.00% Series A Cumulative Preferred Stock | $147,030,000 | $25 | $25.35 | 8.00% | N | 7.89% | 31,653 | CIM | Chimera Investment Corp | Mortgage REITs | $2,759,791,350 | Analyze |
CIM-B | Chimera Investment 8.00% Series B Fixed-to-Floating Rate Cumulative Preferred | $307,710,000 | $25 | $23.67 | 8.00% | N | 8.45% | 29,400 | CIM | Chimera Investment Corp | Mortgage REITs | $2,759,791,350 | Analyze |
CIM-C | Chimera Investment 7.75% Series C Fixed-to-Floating Rate Cumulative Preferred | $239,614,960 | $25 | $23.04 | 7.75% | Y | 8.41% | 25,124 | CIM | Chimera Investment Corp | Mortgage REITs | $2,759,791,350 | Analyze |
CIM-D | Chimera Investment 8.00% Series D Fixed-to-Floating Rate Cumulative Preferred | $170,422,000 | $25 | $23.03 | 8.00% | Y | 8.68% | 0 | CIM | Chimera Investment Corp | Mortgage REITs | $2,759,791,350 | Analyze |
CIO-A | City Office REIT Inc. 6.625% Series A Cumulative Preferred Stock | $113,792,000 | $25 | $25.40 | 6.63% | N | 6.52% | 4,201 | CIO | City Office REIT, Inc | REITs | $451,763,988 | Analyze |
CIT-B | CIT Group Inc 5.625 % Non-Cumulative Perpetual Preferred Stock, Series B | $203,360,000 | $25 | $25.42 | 5.63% | N | 5.53% | 17,214 | CIT | CIT Group Inc | Common stocks | $4,659,013,210 | Analyze |
CLNY-G | Colony Capital Inc. 7.50% Series G cumulative preferred stock | $86,232,750 | $25 | $25.00 | 7.50% | N | 7.50% | 6,224 | CLNY | Colony Capital, Inc | REITs | $2,865,686,267 | Analyze |
CLNY-H | Colony Capital 7.125% Series H cumulative preferred stock | $280,140,000 | $25 | $24.36 | 7.13% | N | 7.31% | 23,190 | CLNY | Colony Capital, Inc | REITs | $2,865,686,267 | Analyze |
CLNY-I | Colony Capital Inc. 7.15% Series I Cumulative Preferred Stock | $334,374,000 | $25 | $24.23 | 7.15% | N | 7.38% | 20,730 | CLNY | Colony Capital, Inc | REITs | $2,865,686,267 | Analyze |
CLNY-J | Colony Capital 7.125% Series J Cumulative Preferred Stock | $306,747,000 | $25 | $24.35 | 7.13% | N | 7.32% | 22,855 | CLNY | Colony Capital, Inc | REITs | $2,865,686,267 | Analyze |
CMCTP | CIM Commercial Trust Corporation Series L Preferred Stock | $211,590,000 | $25 | $23.51 | 7.13% | N | 7.58% | 677 | CMCT | CIM Commercial Trust Corporation | REITs | $179,559,935 | Analyze |
CMO-E | Capstead Mortgage 7.50% Series E Cumulative Preferred Stock | $170,918,000 | $25 | $25.14 | 7.50% | N | 7.46% | 16,663 | CMO | Capstead Mortgage Corp | Mortgage REITs | $564,242,657 | Analyze |
CMRE-B | Costamare Inc. 7.625% Cumulative Series B Preferred Stock | $50,420,200 | $25 | $25.21 | 7.63% | N | 7.57% | 3,473 | CMRE | Costamare Inc | Common stocks | $1,209,808,344 | Analyze |
CMRE-C | Costamare 8.50% Series C Cumulative Preferred Stock | $102,280,000 | $25 | $25.57 | 8.50% | N | 8.31% | 7,379 | CMRE | Costamare Inc | Common stocks | $1,209,808,344 | Analyze |
CMRE-D | Costamare Inc. 8.75% Series D Cumulative Preferred Stock | $103,200,000 | $25 | $25.80 | 8.75% | N | 8.48% | 7,310 | CMRE | Costamare Inc | Common stocks | $1,209,808,344 | Analyze |
CMRE-E | Costamare Inc. 8.875% Series E Cumulative Preferred Stock | $119,600,000 | $25 | $26.00 | 8.88% | N | 8.53% | 14,320 | CMRE | Costamare Inc | Common stocks | $1,209,808,344 | Analyze |
CMS-B | CMS Energy Cumulative Preferred Stock, $100 par value: $4.50 Series | $835,687,500 | $100 | $111.43 | 4.50% | N | 4.04% | 280 | CMS | CMS Energy Corp | Common stocks | $15,857,211,268 | Analyze |
CNP-B | CenterPoint Energy ADRs of 7.00% Series B Mandatory Convertible Preferred | $717,485,000 | $50 | $36.70 | 7.00% | N | 9.54% | 48,893 | CNP | Centerpoint Energy Inc | Common stocks | $10,794,419,074 | Analyze |
CODI-A | Compass Diversified Holdings 7.250% Series A Preferred Shares | $99,800,400 | $25 | $24.95 | 7.25% | N | 7.26% | 7,939 | CODI | Compass Diversified Holdings | MLPs | $1,558,249,000 | Analyze |
CODI-B | Compass Diversified 7.875% Series B Fixed-to-Floating Rate Cumulative Preferred | $100,839,600 | $25 | $25.21 | 7.88% | Y | 7.81% | 8,183 | CODI | Compass Diversified Holdings | MLPs | $1,558,249,000 | Analyze |
CODI-C | Compass Diversified Holdings 7.875% Series C Cumulative Preferred Shares | $100,760,000 | $25 | $25.19 | 7.88% | N | 7.82% | 11,863 | CODI | Compass Diversified Holdings | MLPs | $1,558,249,000 | Analyze |
COF-G | Capital One Financial ADRs of Fixed Rate Non-Cumulative Preferred Series G | $246,005,476 | $25 | $25.52 | 5.20% | N | 5.09% | 32,644 | COF | Capital One Financial Corp | Common stocks | $56,697,367,920 | Analyze |
COF-H | Capital One Financial ADRs of Fixed Rate Non-Cumulative Preferred Series H | $208,667,359 | $25 | $25.74 | 6.00% | N | 5.83% | 34,566 | COF | Capital One Financial Corp | Common stocks | $56,697,367,920 | Analyze |
COF-I | Capital One Financial ADRs of 5% Non-Cumulative Preferred, Series I | $1,502,400,000 | $25 | $25.04 | 5.00% | N | 4.99% | 137,791 | COF | Capital One Financial Corp | Common stocks | $56,697,367,920 | Analyze |
COF-J | Capital One Financial ADRs of Fixed Rate Non- Cumulative Perpetual Preferred Stock, Series J | $1,240,500,000 | $25 | $24.81 | 4.80% | N | 4.84% | 239,156 | COF | Capital One Financial Corp | Common stocks | $56,697,367,920 | Analyze |
COF-K | Capital One Financial Corporation ADRs of Fixed Rate Non-Cumulative Perpetual Preferred, Series K | $127,800,000 | $25 | $25.56 | 4.63% | N | 4.52% | 0 | COF | Capital One Financial Corp | Common stocks | $56,697,367,920 | Analyze |
CORR-A | CorEnergy ADRs of 7.375% Series A Cumulative Preferred Stock | $38,100,000 | $25 | $19.05 | 7.38% | N | 9.68% | 33,653 | CORR | CorEnergy Infrastructure Trust, Inc | REITs | $104,843,681 | Analyze |
CSR-C | Centerspace 6.625% Series C Cumulative Preferred | $108,315,498 | $25 | $26.30 | 6.63% | N | 6.30% | 0 | CSR | Centerspace | REITs | $910,059,692 | Analyze |
CSSEP | Chicken Soup for the Soul 9.75% Series A Cumulative Preferred Stock | $15,762,000 | $25 | $26.27 | 9.75% | N | 9.28% | 7,376 | CSSE | Chicken Soup For The Soul Entertainment Inc. Class A | Common stocks | $171,890,450 | Analyze |
CTA-A | Corteva $3.50 Series Cumulative Preferred Stock | $60,200,000 | $100 | $86.00 | 3.50% | N | 4.07% | 759 | CTVA | Corteva, Inc. | Common stocks | $34,063,158,360 | Analyze |
CTA-B | Corteva $4.50 Series Cumulative Preferred Stock | $175,631,540 | $100 | $104.98 | 4.50% | N | 4.29% | 1,303 | CTVA | Corteva, Inc. | Common stocks | $34,063,158,360 | Analyze |
CUBI-C | Customers Bancorp Fixed-to-Floating Rate Non-Cumulative Preferred Series C | $50,160,000 | $25 | $25.08 | 7.00% | Y | 5.71% | 0 | CUBI | Customers Bancorp Inc | Common stocks | $875,356,315 | Analyze |
CUBI-D | Customers Bancorp Fixed-to-Floating Non-Cumulative Preferred Series D | $24,886,600 | $25 | $24.89 | 6.50% | Y | 6.53% | 1,530 | CUBI | Customers Bancorp Inc | Common stocks | $875,356,315 | Analyze |
CUBI-E | Customers Bancorp Fixed-to-Floating Non-Cumulative Preferred Series E | $49,998,200 | $25 | $25.00 | 6.45% | Y | 6.45% | 5,481 | CUBI | Customers Bancorp Inc | Common stocks | $875,356,315 | Analyze |
CUBI-F | Customers Bancorp Fixed-to-Floating Non-Cumulative Preferred Series F | $74,550,000 | $25 | $24.85 | 6.00% | Y | 6.04% | 4,475 | CUBI | Customers Bancorp Inc | Common stocks | $875,356,315 | Analyze |
CYCCP | Cyclacel Pharmaceuticals Inc. 6% Convertible Preferred Stock | $2,682,184 | $10 | $8.00 | 6.00% | N | 7.50% | 641 | CYCC | Cyclacel Pharmaceuticals Inc | Common stocks | $52,353,901 | Analyze |
DCOMP | Dime Community Bancshares, Inc. 5.50% Non-Cumulative Preferred, Series A | $65,043,520 | $25 | $24.94 | 5.50% | N | 5.51% | 24,148 | DCOM | Dime Community Bancshares Inc | Common stocks | $591,803,344 | Analyze |
DCP-B | DCP Midstream LP 7.875% Series B Fixed-to-Floating Rate Cumulative Preferred Units | $156,147,000 | $25 | $22.63 | 7.88% | Y | 8.70% | 10,767 | DCP | DCP Midstream Partners LP | MLPs | $5,015,232,686 | Analyze |
DCP-C | DCP Midstream LP 7.95% Series C Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred | $105,294,000 | $25 | $22.89 | 7.95% | Y | 8.68% | 8,719 | DCP | DCP Midstream Partners LP | MLPs | $5,015,232,686 | Analyze |
DDT | Dillards Capital Trust I Preferred 7.5% | $205,760,000 | $25 | $25.72 | 7.50% | N | 7.29% | 8,425 | DDS | Dillards Inc Class A | Common stocks | $1,550,356,329 | Analyze |
DHR-A | Danaher Corporation 4.75% Mandatory Convertible Preferred Stock, Series A | $2,306,550,000 | $1,000 | $1,537.70 | 4.75% | N | 3.09% | 7,999 | DHR | Danaher Corp | Common stocks | $159,597,838,730 | Analyze |
DHR-B | Danaher Corporation 5.00% Mandatory Convertible Preferred Stock, Series B | $2,043,551,000 | $1,000 | $1,318.42 | 5.00% | N | 3.79% | 5,420 | DHR | Danaher Corp | Common stocks | $159,597,838,730 | Analyze |
DLNG-A | Dynagas LNG Partners 9.00% Series A Cumulative Preferred Units | $73,815,000 | $25 | $24.61 | 9.00% | N | 9.14% | 7,432 | DLNG | Dynagas LNG Partners LP | MLPs | $104,344,859 | Analyze |
DLNG-B | Dynagas LNG Partners LP 8.75% Series B Fixed to Floating Rate Cumulative Preferred Units | $45,738,000 | $25 | $20.79 | 0.88% | Y | 10.52% | 9,271 | DLNG | Dynagas LNG Partners LP | MLPs | $104,344,859 | Analyze |
DLR-C | Digital Realty Trust Inc. 6.625% Series C Cumulative Preferred Stock | $205,515,695 | $25 | $25.53 | 6.63% | N | 6.49% | 16,680 | DLR | Digital Realty Trust, Inc | REITs | $36,735,258,795 | Analyze |
DLR-J | Digital Realty 5.250% Series J Cumulative Preferred Stock | $208,560,000 | $25 | $26.07 | 5.25% | N | 5.03% | 10,557 | DLR | Digital Realty Trust, Inc | REITs | $36,735,258,795 | Analyze |
DLR-K | Digital Realty 5.850% Series K Cumulative Preferred Stock | $218,100,000 | $25 | $27.26 | 5.85% | N | 5.36% | 14,826 | DLR | Digital Realty Trust, Inc | REITs | $36,735,258,795 | Analyze |
DLR-L | Digital Realty Trust, Inc. 5.200% Series L Cumulative Redeemable Preferred | $363,078,000 | $25 | $26.31 | 5.20% | N | 4.94% | 20,773 | DLR | Digital Realty Trust, Inc | REITs | $36,735,258,795 | Analyze |
DRH-A | Diamondrock Hospitality Company 8.250% Series A Cumulative Preferred | $118,030,000 | $25 | $26.83 | 8.25% | N | 7.69% | 0 | DRH | DiamondRock Hospitality Company | REITs | $1,875,477,472 | Analyze |
DS-B | Drive Shack Inc. 9.75% Series B Cumulative Redeemable Preferred Stock | $51,825,000 | $25 | $20.73 | 9.75% | N | 11.76% | 4,169 | DS | Drive Shack Inc | Common stocks | $173,578,780 | Analyze |
DS-C | Drive Shack Inc. 8.050% Series C Preferred Stock | $32,096,000 | $25 | $20.06 | 8.05% | N | 10.03% | 1,031 | DS | Drive Shack Inc | Common stocks | $173,578,780 | Analyze |
DS-D | Drive Shack Inc. 8.375% Cumulative Preferred Series D | $40,500,000 | $25 | $20.25 | 8.38% | N | 10.34% | 2,220 | DS | Drive Shack Inc | Common stocks | $173,578,780 | Analyze |
DSX-B | Diana Shipping Inc. 8.875% Series B Cumulative Preferred | $61,439,040 | $25 | $25.60 | 8.88% | N | 8.67% | 5,665 | DSX | Diana Shipping Inc. | Common stocks | $260,812,950 | Analyze |
DTLA- | Brookfield DTLA Inc. 7.625% Series A Cumulative Preferred | $123,750,000 | $25 | $13.75 | 7.63% | N | 13.86% | 8,723 | BPY | Brookfield Property Partners LP | MLPs | $7,529,822,394 | Analyze |
DUK-A | Duke Energy ADRs of 5.75% Series A Cumulative Preferred Stock | $1,080,800,000 | $25 | $27.02 | 5.75% | N | 5.32% | 83,401 | DUK | Duke Energy Corp | Common stocks | $67,058,210,719 | Analyze |
DX-C | Dynex Capital, Inc. 6.900% Series C Fixed-to-Floating Rate Cumulative Preferred | $101,120,000 | $25 | $25.28 | 6.90% | Y | 6.82% | 10,777 | DX | Dynex Capital Inc. | Mortgage REITs | $515,452,419 | Analyze |
ECCB | Eagle Point Credit Company 7.75% Series B Term Preferred due 2026 | $72,701,160 | $25 | $25.60 | 7.75% | N | 7.57% | 17,623 | ECC | Eagle Point Credit CEF | Bank loans | $270,762,249 | Analyze |
ECF-A | Ellsworth Growth and Income Fund 5.25% Series A Cumulative Preferred | $31,344,000 | $25 | $26.12 | 5.25% | N | 5.02% | 949 | ECF | Ellsworth Growth & Income Fund Ltd. CEF | US | $191,869,478 | Analyze |
EFC-A | Ellington Financial 6.750% Series A Fixed-to-Floating Cumulative Preferred | $93,029,600 | $25 | $23.26 | 6.75% | Y | 7.26% | 8,746 | EFC | Ellington Financial | Mortgage REITs | $698,317,860 | Analyze |
ENR-A | Energizer Holdings 7.50% Series A Mandatory Convertible Preferred | $167,212,500 | $100 | $89.18 | 7.50% | N | 8.41% | 27,539 | ENR | Energizer Holdings Inc | Common stocks | $2,882,351,708 | Analyze |
EPR-C | EPR Properties 5.75% Series C Cumulative Convertible Preferred | $132,300,000 | $25 | $24.50 | 5.75% | N | 5.87% | 21,633 | EPR | EPR Properties | REITs | $3,499,078,986 | Analyze |
EPR-E | EPR Properties Series E Cumulative Convertible Preferred | $98,730,000 | $25 | $32.91 | 9.00% | N | 6.84% | 5,090 | EPR | EPR Properties | REITs | $3,499,078,986 | Analyze |
EPR-G | EPR Properties 5.750% Series G Cumulative Preferred | $141,299,400 | $25 | $23.55 | 5.75% | N | 6.10% | 15,595 | EPR | EPR Properties | REITs | $3,499,078,986 | Analyze |
EQC-D | Equity Commonwealth 6 1/2% Series D Cumulative Convertible Preferred | $151,535,493 | $25 | $30.83 | 6.50% | N | 5.27% | 5,822 | EQC | Equity Commonwealth | REITs | $3,409,709,939 | Analyze |
EQH-A | AXA Equitable Holdings ADRs of 5.25% Noncumulative Preferred, Series A | $748,200,000 | $25 | $25.80 | 5.25% | N | 5.09% | 50,377 | EQH | AXA Equitable Holdings Inc | Common stocks | $13,482,827,339 | Analyze |
EQH-C | Equitable Holdings, Inc. ADRs of 4.3% Noncumulative Preferred Stock, Series C | $304,200,000 | $25 | $25.35 | 4.30% | N | 4.24% | 0 | EQH | AXA Equitable Holdings Inc | Common stocks | $13,482,827,339 | Analyze |
ESGRO | Enstar Group ADRs of 7.00% Non-Cumulative Preference Shares, Series E | $116,864,000 | $25 | $26.56 | 7.00% | N | 6.59% | 12,066 | ESGR | Enstar Group Ltd | Common stocks | $4,233,074,021 | Analyze |
ESGRP | Enstar Group ADRs of 7.00% Fixed-to-Floating Non-Cumulative Preferred Series D | $443,040,000 | $25 | $27.69 | 7.00% | Y | 6.32% | 15,644 | ESGR | Enstar Group Ltd | Common stocks | $4,233,074,021 | Analyze |
ETI- | Entergy Texas Inc 5.375% Series A Preferred Stock, Cumulative | $37,856,000 | $25 | $27.04 | 5.38% | N | 4.97% | 2,856 | ETR | Entergy Corp | Common stocks | $17,794,604,356 | Analyze |
ETP-C | Energy Transfer Partners L.P. Series C Fixed-to-Floating Rate Cumulative Preferred Units | $380,340,000 | $25 | $21.13 | 7.38% | Y | 8.73% | 0 | ET | Energy Transfer Operating LP | MLPs | $21,565,441,730 | Analyze |
ETP-D | Energy Transfer Partners L.P. 7.625% Series D Fixed-to-Floating Rate Cumulative Preferred Units | $391,066,000 | $25 | $21.97 | 7.63% | Y | 8.68% | 0 | ET | Energy Transfer Operating LP | MLPs | $21,565,441,730 | Analyze |
ETP-E | Energy Transfer Operating, L.P. Series E Fixed-to-Floating Rate Cumulative Preferred Units | $622,440,000 | $25 | $22.23 | 7.60% | Y | 8.55% | 0 | ET | Energy Transfer Operating LP | MLPs | $21,565,441,730 | Analyze |
FATBP | FAT Brands Inc. - 8.25% Series B Cumulative Preferred Stock | $7,149,600 | $25 | $19.86 | 8.25% | N | 10.39% | 6,700 | FAT | Fat Brands Inc. | Common stocks | $116,638,862 | Analyze |
FBIOP | Fortress Biotech Inc. 9.375% Series A Cumulative Preferred | $22,950,000 | $25 | $22.95 | 9.38% | N | 10.21% | 18,618 | FBIO | Fortress Biotech Inc | Common stocks | $458,206,990 | Analyze |
FCNCP | First Citizens BancShares ADRs of 5.375% Non-Cumulative Perpetual Preferred Stock, Series A | $315,480,000 | $25 | $26.29 | 5.38% | N | 5.11% | 12,604 | FCNCA | First Citizens Bancshares Inc Class A | Common stocks | $6,747,984,725 | Analyze |
FGFPP | FG Financial Group, Inc. - 8.00% Cumulative Series A Preferred Stock | $16,070,400 | $25 | $25.11 | 8.00% | N | 7.96% | 1,133 | FGF | FG Financial Group, Inc. | Common stocks | $25,728,719 | Analyze |
FHN-A | First Horizon National ADRs of Non-Cumulative Preferred Series A | $102,239,600 | $25 | $25.56 | 6.20% | N | 6.06% | 5,528 | FHN | First Horizon National Corp | Common stocks | $9,265,216,815 | Analyze |
FHN-B | First Horizon National ADRs of 6.625% Fixed to Float Non-Cumulative Preferred, Series B | $86,432,000 | $25 | $27.01 | 6.63% | Y | 6.13% | 0 | FHN | First Horizon National Corp | Common stocks | $9,265,216,815 | Analyze |
FHN-C | First Horizon National ADRs of 6.6% Fixed-To-Floating Non-Cumulative Preferred, Series C | $62,146,000 | $25 | $27.02 | 6.60% | Y | 6.11% | 0 | FHN | First Horizon National Corp | Common stocks | $9,265,216,815 | Analyze |
FHN-D | First Horizon National ADRs of 6.1% Fixed-To-Floating Non-Cumulative Preferred, Series D | $103,880,000 | $25 | $25.97 | 6.10% | Y | 5.87% | 0 | FHN | First Horizon National Corp | Common stocks | $9,265,216,815 | Analyze |
FHN-E | First Horizon National ADRs of 6.5% Non-Cumulative Perpetual Preferred Stock, Series E | $164,700,000 | $25 | $27.45 | 6.50% | N | 5.92% | 0 | FHN | First Horizon National Corp | Common stocks | $9,265,216,815 | Analyze |
FITBI | Fifth Third Bancorp ADRs of 6.625% Fixed-to-Floating Rate Non-Cumulative Preferred Series I | $503,100,000 | $25 | $27.95 | 6.63% | Y | 5.93% | 35,405 | FITB | Fifth Third Bancorp | Common stocks | $25,753,980,108 | Analyze |
FITBO | Fifth Third Bancorp ADRs of Non-Cumulative Perpetual Preferred Stock, Series K | $256,400,000 | $25 | $25.64 | 4.95% | N | 4.83% | 19,937 | FITB | Fifth Third Bancorp | Common stocks | $25,753,980,108 | Analyze |
FITBP | Fifth Third Bancorp ADRs of 6.00% Non-Cumulative Perpetual Class B Preferred Stock, Series A | $212,160,000 | $25 | $26.52 | 6.00% | N | 5.66% | 7,160 | FITB | Fifth Third Bancorp | Common stocks | $25,753,980,108 | Analyze |
FMBIO | First Midwest Bancorp ADRs of 7% Non-Cumulative Preferred, Series C | $121,616,000 | $25 | $27.64 | 7.00% | N | 6.33% | 9,121 | FMBI | First Midwest Bancorp Inc | Common stocks | $2,289,468,459 | Analyze |
FMBIP | First Midwest Bancorp ADRs of 7% Non-Cumulative Preferred, Series A | $110,480,000 | $25 | $27.62 | 7.00% | N | 6.34% | 6,961 | FMBI | First Midwest Bancorp Inc | Common stocks | $2,289,468,459 | Analyze |
FNB-E | F.N.B. Corporation ADRs of Fixed-to-Floating Rate Non-Cumulative Preferred Series E | $109,080,000 | $25 | $27.27 | 7.25% | Y | 6.65% | 7,440 | FNB | FNB Corp | Common stocks | $3,929,012,539 | Analyze |
FPI-B | Farmland Partners Inc. Series B Fixed to Floating Rate Participating Preferred | $135,975,000 | $25 | $25.90 | 6.00% | Y | 5.79% | 7,782 | FPI | Farmland Partners Inc | REITs | $358,966,044 | Analyze |
FRC-G | First Republic Bank ADRs of 5.50% Noncumulative Series G Preferred | $101,280,000 | $25 | $25.32 | 5.50% | N | 5.43% | 8,556 | FRC | First Republic Bank | Common stocks | $28,500,093,000 | Analyze |
FRC-H | First Republic Bank ADRs of 5.125% Noncumulative Series H Preferred | $205,280,000 | $25 | $25.66 | 5.13% | N | 4.99% | 9,673 | FRC | First Republic Bank | Common stocks | $28,500,093,000 | Analyze |
FRC-I | First Republic Bank ADRs of 5.50% Noncumulative Series I Preferred | $150,030,890 | $25 | $26.63 | 5.50% | N | 5.16% | 17,279 | FRC | First Republic Bank | Common stocks | $28,500,093,000 | Analyze |
FRC-J | FIRST REPUBLIC BANK ADRs of 4.70% Noncumulative Perpetual Series J Preferred Stock | $10,276,000 | $25 | $25.69 | 4.70% | N | 4.57% | 40,151 | FRC | First Republic Bank | Common stocks | $28,500,093,000 | Analyze |
FRC-K | FIRST REPUBLIC BANK ADRs of 4.125% Noncumulative Perpetual Series K Preferred | $496,200,000 | $25 | $24.81 | 4.13% | N | 4.16% | 0 | FRC | First Republic Bank | Common stocks | $28,500,093,000 | Analyze |
FRC-L | FIRST REPUBLIC BANK ADRs of 4.250% Noncumulative Perpetual Series L Preferred | $646,100,000 | $25 | $24.85 | 4.25% | N | 4.28% | 0 | FRC | First Republic Bank | Common stocks | $28,500,093,000 | Analyze |
FRGAP | Franchise Group, Inc. - 7.50% Series A Cumulative Perpetual Preferred | $30,324,000 | $25 | $25.27 | 7.50% | N | 7.42% | 31,209 | FRG | Franchise Group, Inc. | Common stocks | $1,443,160,512 | Analyze |
FRT-C | Federal Realty Investment ADRs of 5.000% Series C Cumulative Preferred | $155,520,000 | $25 | $25.92 | 5.00% | N | 4.82% | 9,132 | FRT | Federal Realty Investment Trust | REITs | $7,793,753,612 | Analyze |
FTAI-A | Fortress Transportation and Infrastructure 8.25% Fixed to Floating Series A Cumulative Preferred | $74,940,000 | $25 | $24.98 | 8.25% | Y | 8.26% | 19,174 | FTAI | Fortress Transportation And Infrastructure Investors LLC | Common stocks | $2,439,420,353 | Analyze |
FTAI-B | Fortress Transportation and Infrastructure 8.00% Fixed-to-Floating Series B Cumulative Preferred | $99,800,000 | $25 | $24.95 | 8.00% | Y | 8.02% | 26,350 | FTAI | Fortress Transportation And Infrastructure Investors LLC | Common stocks | $2,439,420,353 | Analyze |
FTV-A | Fortive Corporation 5.00% Mandatory Convertible Preferred Stock Series A | $1,331,782,800 | $1,000 | $965.06 | 5.00% | N | 5.18% | 6,724 | FTV | Fortive Corp | Common stocks | $23,019,374,569 | Analyze |
FULTP | Fulton Financial Corporation ADRs of 5.125% Non-Cumulative Preferred, Series A | $202,480,000 | $25 | $25.31 | 5.13% | N | 5.06% | 16,609 | FULT | Fulton Financial Corp | Common stocks | $2,594,486,200 | Analyze |
GAB-G | Gabelli Equity Trust Series G Cumulative Preferred Stock | $71,784,747 | $25 | $25.49 | 5.00% | N | 4.90% | 2,168 | GAB | The Gabelli Equity Trust Inc. CEF | Broad market | $1,725,231,937 | Analyze |
GAB-H | Gabelli Equity Trust Inc. 5% Cumulative Preferred Series H | $107,310,000 | $25 | $25.55 | 5.00% | N | 4.89% | 3,111 | GAB | The Gabelli Equity Trust Inc. CEF | Broad market | $1,725,231,937 | Analyze |
GAB-J | Gabelli Equity Trust 5.45% Series J Cumulative Preferred Stock | $109,200,000 | $25 | $26.00 | 5.45% | N | 5.24% | 2,725 | GAB | The Gabelli Equity Trust Inc. CEF | Broad market | $1,725,231,937 | Analyze |
GAB-K | Gabelli Equity Trust, Inc. (The) 5.00% Series K Cumulative Preferred Stock | $104,005,600 | $25 | $26.00 | 5.00% | N | 4.81% | 8,069 | GAB | The Gabelli Equity Trust Inc. CEF | Broad market | $1,725,231,937 | Analyze |
GAINL | Gladstone Investment 6.375% Series E Cumulative Term Preferred due 2025 | $76,633,700 | $25 | $25.63 | 6.38% | N | 6.22% | 6,109 | GAIN | Gladstone Investment Corp | BDCs | $402,444,879 | Analyze |
GAM-B | General American Investors 5.95% Cumulative Preferred Series B | $213,600,000 | $25 | $26.70 | 5.95% | N | 5.57% | 0 | GAM | General American Investors Fund CEF | Broad market | $945,356,561 | Analyze |
GDL-C | The GDL Fund Series C Cumulative Puttable and Callable Preferred Shares | $135,137,550 | $50 | $51.50 | 6.00% | N | 5.83% | 2,316 | GDL | The GDL Fund CEF | Market Neutral | $123,679,641 | Analyze |
GDV-G | Gabelli Dividend 5.25% Series G Cumulative Preferred Shares | $103,076,000 | $25 | $25.77 | 5.25% | N | 5.09% | 7,715 | GDV | The Gabelli Dividend & Income Trust CEF | Broad Market | $1,908,310,662 | Analyze |
GDV-H | The Gabelli Dividend & Income Trust 5.375% Series H Cumulative Preferred Shares | $54,540,000 | $25 | $27.27 | 5.38% | N | 4.93% | 3,616 | GDV | The Gabelli Dividend & Income Trust CEF | Broad Market | $1,908,310,662 | Analyze |
GFNCP | General Finance Cumulative Preferred Series C | $41,010,250 | $100 | $102.50 | 9.00% | N | 8.78% | 1,140 | GFN | General Finance Corp | Common stocks | $321,320,504 | Analyze |
GGN-B | GAMCO Global Gold Natural Resources 5.00% Series B Cumulative Preferred | $101,560,000 | $25 | $25.39 | 5.00% | N | 4.92% | 0 | GGN | GAMCO Global Gold Natural Resources & Income Trust CEF | Single sector | $567,036,902 | Analyze |
GGO-A | Gabelli Go Anywhere Series A Cumulative Puttable and Callable Preferred | $11,956,054 | $40 | $40.98 | 8.00% | Y | 4.88% | 661 | GGO | The Gabelli Go Anywhere Trust CEF | US | $21,853,971 | Analyze |
GGT-E | Gabelli Multi-Media Trust 5.125% Series E Cumulative Preferred Stock | $51,600,000 | $25 | $25.80 | 5.13% | N | 4.97% | 1,995 | GGT | The Gabelli Multimedia Trust Inc. CEF | Single sector | $242,262,551 | Analyze |
GGT-G | Gabelli Multi-Media Trust Inc. (The) 5.125% Series G Cumulative Preferred Shares | $52,000,000 | $25 | $26.00 | 5.13% | N | 4.93% | 3,229 | GGT | The Gabelli Multimedia Trust Inc. CEF | Single sector | $242,262,551 | Analyze |
GGZ-A | Gabelli Global Small and Mid Cap 5.450% Series A Cumulative Preferred | $31,140,000 | $25 | $25.95 | 5.45% | N | 5.25% | 912 | GGZ | Gabelli Global Small & Mid Cap Value Trust CEF | Global ex-US | $133,483,454 | Analyze |
GLOG-A | GasLog LP. 8.75% Series A Cumulative Preference Shares | $98,360,000 | $25 | $24.59 | 8.75% | N | 8.90% | 0 | GLOG | GasLog Ltd. | Common stocks | $552,613,304 | Analyze |
GLOP-A | GasLog Partners LP 8.625% Series A Cumulative Fixed to Floating Rate Preference Units | $107,200,000 | $25 | $21.44 | 8.63% | Y | 10.06% | 31,952 | GLOP | GasLog Partners LP | MLPs | $138,606,015 | Analyze |
GLOP-B | GasLog Partners LP 8.200% Series B Cumulative Fixed to Floating Rate Preference Units | $93,012,000 | $25 | $20.22 | 8.20% | Y | 10.14% | 22,900 | GLOP | GasLog Partners LP | MLPs | $138,606,015 | Analyze |
GLOP-C | GasLog Partners LP 8.500% Series C Cumulative Fixed to Floating Rate Preference Units | $95,682,300 | $25 | $20.80 | 8.50% | Y | 10.22% | 21,627 | GLOP | GasLog Partners LP | MLPs | $138,606,015 | Analyze |
GLP-A | Global Partners LP 9.75% Series A Fixed-to-Floating Rate Cumulative Preferred Units | $61,662,480 | $25 | $25.69 | 9.75% | Y | 9.49% | 6,556 | GLP | Global Partners LP | MLPs | $688,070,195 | Analyze |
GLU-A | Gabelli Global Utility and Income Series A Cumulative Puttable and Callable Preferred | $2,157,318 | $50 | $46.52 | 0.00% | Y | 4.08% | 0 | GLU | Gabelli Global Utility & Income Trust CEF | Global | $100,728,019 | Analyze |
GLU-B | Gabelli Global Utility and Income Trust Series B Cumulative Puttable and Callable Preferred | $71,399,559 | $50 | $52.10 | 7.00% | Y | 3.84% | 848 | GLU | Gabelli Global Utility & Income Trust CEF | Global | $100,728,019 | Analyze |
GMLPP | Golar LNG Partners LP 8.75% Series A Cumulative Preferred Units | $137,172,000 | $25 | $24.85 | 8.75% | N | 8.80% | 19,992 | GMLP | Golar LNG Partners LP | MLPs | $247,583,095 | Analyze |
GMRE-A | Global Medical REIT Series A Cumulative Preferred Stock | $71,603,730 | $25 | $26.52 | 7.50% | N | 7.07% | 5,392 | GMRE | Global Medical REIT Inc | REITs | $649,096,765 | Analyze |
GNE-A | Genie Energy Ltd. Series 2012 - A Preferred Stock | $21,068,000 | $9 | $9.16 | 7.50% | Y | 6.96% | 5,076 | GNE | Genie Energy Ltd Class B | Common stocks | $193,466,186 | Analyze |
GNL-A | Global Net Lease Inc. 7.25% Series A Cumulative Preferred Stock | $138,865,716 | $25 | $25.67 | 7.25% | N | 7.06% | 8,349 | GNL | Global Net Lease, Inc | REITs | $1,635,774,874 | Analyze |
GNL-B | Global Net Lease, Inc. 6.875% Series B Cumulative Redeemable Perpetual Preferred | $76,020,000 | $25 | $25.34 | 6.88% | N | 6.78% | 8,601 | GNL | Global Net Lease, Inc | REITs | $1,635,774,874 | Analyze |
GNT-A | GAMCO Natural Resources 5.20% Series A Cumulative Preferred | $30,864,120 | $25 | $25.72 | 5.20% | N | 5.05% | 948 | GNT | GAMCO Natural Resources, Gold & Income Trust CEF | Options | $99,363,425 | Analyze |
GOODM | Gladstone Commercial 7.00% Series D Cumulative Preferred Stock | $75,783,784 | $25 | $25.20 | 7.00% | N | 6.94% | 7,809 | GOOD | Gladstone Commercial Corporation | REITs | $679,308,454 | Analyze |
GOODN | Gladstone Commercial Corporation - 6.625% Series E Cumulative Redeemable Preferred Stock | $61,584,000 | $25 | $25.66 | 6.63% | N | 6.45% | 5,697 | GOOD | Gladstone Commercial Corporation | REITs | $679,308,454 | Analyze |
GS-A | Goldman Sachs ADRs of Floating Rate Non-Cumulative Preferred Series A | $662,200,000 | $25 | $23.65 | 3.75% | Y | 4.05% | 47,051 | GS | Goldman Sachs Group Inc | Common stocks | $114,437,185,829 | Analyze |
GS-C | Goldman Sachs ADRs of Floating Rate Non-Cumulative Preferred Series C | $195,040,000 | $25 | $24.38 | 4.00% | Y | 4.19% | 12,075 | GS | Goldman Sachs Group Inc | Common stocks | $114,437,185,829 | Analyze |
GS-D | Goldman Sachs ADRs of Floating Rate Non-Cumulative Preferred, Series D | $718,500,000 | $25 | $23.95 | 4.00% | Y | 4.27% | 99,912 | GS | Goldman Sachs Group Inc | Common stocks | $114,437,185,829 | Analyze |
GS-J | Goldman Sachs ADRs of 5.50% Fixed-to-Floating Rate Non-Cumulative Preferred, Series J | $1,061,600,000 | $25 | $26.54 | 5.00% | Y | 5.18% | 82,208 | GS | Goldman Sachs Group Inc | Common stocks | $114,437,185,829 | Analyze |
GS-K | Goldman Sachs ADRs of Fixed to Floating Rate Non Cumulative Series K Preferred | $363,104,907 | $25 | $27.52 | 6.38% | Y | 5.79% | 42,514 | GS | Goldman Sachs Group Inc | Common stocks | $114,437,185,829 | Analyze |
GS-N | Goldman Sachs ADRs of 6.30% Non-Cumulative Preferred Series N | $684,720,000 | $25 | $25.36 | 6.30% | N | 6.21% | 54,341 | GS | Goldman Sachs Group Inc | Common stocks | $114,437,185,829 | Analyze |
GSL-B | Global Ship Lease Inc. ADRs of 8.75% Cumulative Preferred Series B | $35,219,800 | $25 | $25.16 | 8.75% | N | 8.70% | 19,683 | GSL | Global Ship Lease Inc New Class A | Common stocks | $528,087,347 | Analyze |
GUT-A | Gabelli Utility Trust 5.625% Series A Cumulative Preferred Shares | $32,997,840 | $25 | $27.50 | 5.63% | N | 5.11% | 1,092 | GUT | The Gabelli Utility Trust CEF | Single sector | $400,380,762 | Analyze |
GUT-C | Gabelli Utility Trust 5.375% Series C Cumulative Preferred | $51,840,000 | $25 | $25.92 | 5.38% | N | 5.18% | 1,624 | GUT | The Gabelli Utility Trust CEF | Single sector | $400,380,762 | Analyze |
HBANN | Huntington Bancshares ADRs of 5.875% Series C Non-Cumulative Preferred | $102,200,000 | $25 | $25.55 | 5.88% | N | 5.75% | 4,094 | HBAN | Huntington Bancshares Inc | Common stocks | $16,011,443,855 | Analyze |
HBANO | Huntington Bancshares ADRs of 6.250% Series D Non-Cumulative Preferred | $126,750,000 | $25 | $25.35 | 6.25% | N | 6.16% | 104,921 | HBAN | Huntington Bancshares Inc | Common stocks | $16,011,443,855 | Analyze |
HBANP | Huntington Bancshares ADRs of 4.500% Series H Non-Cumulative Perpetual Preferred | $495,400,000 | $25 | $24.77 | 4.50% | N | 4.54% | 187,803 | HBAN | Huntington Bancshares Inc | Common stocks | $16,011,443,855 | Analyze |
HFRO-A | Highland Income Fund 5.375% Series A Cumulative Preferred Shares | $140,130,000 | $25 | $25.95 | 5.38% | N | 5.18% | 0 | HFRO | Highland Floating Rate Opportunities Fund CEF | Bank loans | $763,695,799 | Analyze |
HIG-G | Hartford Financial Services ADRs of 6.000% Non-Cumulative Preferred Series G | $333,600,000 | $25 | $27.80 | 6.00% | N | 5.40% | 27,646 | HIG | Hartford Financial Services Group | Common stocks | $18,447,738,654 | Analyze |
HL-B | Hecla Mining Company Series B Cumulative Convertible Preferred Stock | $8,545,736 | $50 | $54.15 | 7.00% | N | 6.46% | 440 | HL | Hecla Mining | Common stocks | $3,269,997,403 | Analyze |
HMLP-A | Hoegh LNG Partners LP 8.75% Series A Cumulative Preferred Units | $105,680,000 | $25 | $26.42 | 8.75% | N | 8.28% | 29,215 | HMLP | Hoegh LNG Partners LP | MLPs | $522,927,522 | Analyze |
HOVNP | Hovnanian Enterprises ADRs of 7.625% Series A Preferred | $81,500,000 | $25 | $16.30 | 7.63% | N | 11.69% | 31,720 | HOV | Hovnanian Enterprises Inc Class A | Common stocks | $484,259,777 | Analyze |
HT-C | Hersha Hospitality 6.875% Series C Cumulative Preferred | $73,050,000 | $25 | $24.35 | 6.88% | N | 7.06% | 12,872 | HT | Hersha Hospitality Trust | REITs | $417,955,866 | Analyze |
HT-D | Hersha Hospitality 6.50% Series D Cumulative Preferred | $183,722,000 | $25 | $23.86 | 6.50% | N | 6.81% | 29,294 | HT | Hersha Hospitality Trust | REITs | $417,955,866 | Analyze |
HT-E | Hersha Hospitality 6.50% Series E Cumulative Preferred Shares | $95,360,000 | $25 | $23.84 | 6.50% | N | 6.82% | 17,161 | HT | Hersha Hospitality Trust | REITs | $417,955,866 | Analyze |
HTIA | Healthcare Trust, Inc. - 7.375% Series A Cumulative Redeemable Perpetual Preferred Stock | $34,888,000 | $25 | $24.92 | 7.38% | N | 7.40% | 4,294 | n/a | Not a public company | $0 | Analyze | |
HTLFP | Heartland Financial USA, Inc. ADRs of 7.00% Fixed-Rate Reset Non-Cumulative Preferred, Series E | $111,560,000 | $25 | $27.89 | 7.00% | N | 6.27% | 8,910 | HTLF | Heartland Financial USA Inc | Common stocks | $2,050,719,598 | Analyze |
HWM- | Howmet Aerospace Inc. $3.75 Cumulative Class A Preferred Stock | $42,862,884 | $100 | $78.50 | 3.75% | N | 4.78% | 413 | HWM | Howmet Aerospace Inc. | Common stocks | $12,566,153,050 | Analyze |
IIPR-A | Innovative Industrial Properties 9.00% Series A Cumulative Preferred | $20,496,000 | $25 | $34.16 | 9.00% | N | 6.59% | 2,414 | IIPR | Innovative Industrial Properties, Inc | REITs | $4,570,883,600 | Analyze |
IIVIP | II-VI Incorporated - 6.00% Series A Mandatory Convertible Preferred Stock | $704,920,000 | $200 | $352.46 | 6.00% | N | 3.40% | 6,287 | IIVI | Ii Vi Inc | Common stocks | $8,899,535,043 | Analyze |
INN-D | Summit Hotel Properties 6.45% Series D Cumulative Preferred Stock | $72,780,000 | $25 | $24.26 | 6.45% | N | 6.65% | 0 | INN | Summit Hotel Properties, Inc | REITs | $1,076,115,452 | Analyze |
INN-E | Summit Hotel 6.250% Series E Cumulative Preferred Stock | $146,208,000 | $25 | $22.85 | 6.25% | N | 6.84% | 10,693 | INN | Summit Hotel Properties, Inc | REITs | $1,076,115,452 | Analyze |
IPLDP | Interstate Power & Light 5.10% Cumulative Preferred Series D | $202,640,000 | $25 | $25.33 | 5.10% | N | 5.03% | 9,156 | LNT | Alliant Energy Corp | Common stocks | $11,771,896,266 | Analyze |
IVR-A | Invesco Mortgage 7.75% Series A Cumulative Preferred Stock | $139,468,000 | $25 | $24.91 | 7.75% | N | 7.78% | 9,998 | IVR | Invesco Mortgage Capital | Mortgage REITs | $920,980,211 | Analyze |
IVR-B | Invesco Mortgage 7.75% Cumulative Fixed To Floating Rate Preferred Series B | $151,838,000 | $25 | $24.49 | 7.75% | Y | 7.91% | 0 | IVR | Invesco Mortgage Capital | Mortgage REITs | $920,980,211 | Analyze |
IVR-C | Invesco Mortgage 7.5% Fixed-to-Floating Series C Cumulative Preferred | $280,887,500 | $25 | $24.43 | 7.50% | Y | 7.68% | 35,570 | IVR | Invesco Mortgage Capital | Mortgage REITs | $920,980,211 | Analyze |
JPM-C | J P Morgan Chase ADRs of 6.00% Non-Cumulative Preferred Series EE | $2,020,200,000 | $25 | $27.30 | 6.00% | N | 5.49% | 182,706 | JPM | JP Morgan Chase & Co | Common stocks | $457,756,480,464 | Analyze |
JPM-D | J P Morgan Chase ADRs of 5.75% Non-Cumulative Preferred Series DD | $1,172,160,000 | $25 | $26.64 | 5.75% | N | 5.40% | 116,404 | JPM | JP Morgan Chase & Co | Common stocks | $457,756,480,464 | Analyze |
JPM-G | J P Morgan Chase ADRs of 6.10% Non-Cumulative Preferred Series AA | $652,972,190 | $25 | $25.54 | 6.10% | N | 5.97% | 89,361 | JPM | JP Morgan Chase & Co | Common stocks | $457,756,480,464 | Analyze |
JPM-H | JP Morgan Chase & Co ADRs of 6.15% Non-Cumulative Preferred Series BB | $524,497,005 | $25 | $25.46 | 6.15% | N | 6.04% | 80,256 | JPM | JP Morgan Chase & Co | Common stocks | $457,756,480,464 | Analyze |
JPM-J | J P Morgan Chase ADRs of 4.75% Non-Cumulative Preferred Stock, Series GG | $937,800,000 | $25 | $26.05 | 4.75% | N | 4.56% | 85,720 | JPM | JP Morgan Chase & Co | Common stocks | $457,756,480,464 | Analyze |
KEY-I | KeyCorp ADRs of Fixed-to-Floating Rate Non-Cumulative Preferred, Series E | $261,196,079 | $25 | $28.02 | 6.13% | Y | 5.46% | 44,538 | KEY | Keycorp | Common stocks | $20,006,032,889 | Analyze |
KEY-J | KeyCorp ADRs of Non-Cumulative Preferred Stock, Series F | $206,487,639 | $25 | $25.99 | 5.65% | N | 5.43% | 19,536 | KEY | Keycorp | Common stocks | $20,006,032,889 | Analyze |
KEY-K | KeyCorp ADRs of 5.625% Perpetual Non-Cumulative Preferred Stock, Series G | $475,740,000 | $25 | $26.43 | 5.63% | N | 5.32% | 23,961 | KEY | Keycorp | Common stocks | $20,006,032,889 | Analyze |
KIM-L | Kimco Realty ADRs of 5.125% Class L Cumulative Redeemable Preferred Stock | $233,280,000 | $25 | $25.92 | 5.13% | N | 4.94% | 14,252 | KIM | Kimco Realty Corporation | REITs | $7,848,782,733 | Analyze |
KIM-M | Kimco Realty ADRs of 5.25% Class M Cumulative Redeemable Preferred | $275,185,800 | $25 | $26.01 | 5.25% | N | 5.05% | 9,255 | KIM | Kimco Realty Corporation | REITs | $7,848,782,733 | Analyze |
KKR-A | KKR & Co. L.P. 6.75% Series A Preferred Units | $350,520,000 | $25 | $25.40 | 6.75% | N | 6.64% | 17,064 | KKR | KKR & Co Inc. | Common stocks | $26,783,589,032 | Analyze |
KKR-B | KKR & Co. L.P. 6.50% Series B Preferred Unit | $158,211,600 | $25 | $25.52 | 6.50% | N | 6.37% | 11,487 | KKR | KKR & Co Inc. | Common stocks | $26,783,589,032 | Analyze |
KKR-C | KKR & Co. Inc. 6.00% Series C Mandatory Convertible Preferred | $1,330,400,000 | $50 | $66.52 | 6.00% | N | 4.51% | 0 | KKR | KKR & Co Inc. | Common stocks | $26,783,589,032 | Analyze |
KSU- | Kansas City Southern 4% Noncumulative Preferred Stock | $9,246,051 | $25 | $38.18 | 4.00% | N | 2.62% | 337 | KSU | Kansas City Southern | Common stocks | $19,090,766,569 | Analyze |
LANDM | Gladstone Land Corporation 5.00% Series D Cumulative Term Preferred Stock | $53,844,000 | $25 | $25.64 | 5.00% | N | 4.88% | 15,001 | LAND | Gladstone Land Corporation | REITs | $495,283,453 | Analyze |
LANDO | Gladstone Land Corporation - 6.00% Series B Cumulative Preferred Stock | $507,000,000 | $25 | $25.35 | 6.00% | N | 5.92% | 31,250 | LAND | Gladstone Land Corporation | REITs | $495,283,453 | Analyze |
LBRDP | Liberty Broadband Corporation - Series A Cumulative Redeemable Preferred Stock | $200,241,093 | $25 | $27.80 | 5.00% | N | 4.50% | 4,460 | LBRDA | Liberty Broadband Corp Series A | Common stocks | $29,061,230,149 | Analyze |
LEVLP | Level One Bancorp, Inc. ADRs of 7.50% Non-Cumulative Perpetual Preferred, Series B | $26,150,000 | $25 | $26.15 | 7.50% | N | 7.17% | 1,311 | LEVL | Level One Bancorp Inc. | Common stocks | $171,005,859 | Analyze |
LMRKN | Landmark Infrastructure Partners LP Series C Floating-to-Fixed Rate Cumulative Convertible Preferred Units | $52,160,000 | $25 | $26.08 | 7.00% | Y | 6.71% | 9,219 | LMRK | Landmark Infrastructure Partners LP | MLPs | $330,195,424 | Analyze |
LMRKO | Landmark Infrastructure 7.90% Series B Cumulative Preferred Units | $40,480,000 | $25 | $25.30 | 7.90% | N | 7.81% | 4,880 | LMRK | Landmark Infrastructure Partners LP | MLPs | $330,195,424 | Analyze |
LMRKP | Landmark Infrastructure 8.00% Series A Cumulative Preferred Units | $20,264,000 | $25 | $25.33 | 8.00% | N | 7.90% | 3,180 | LMRK | Landmark Infrastructure Partners LP | MLPs | $330,195,424 | Analyze |
LXP-C | Lexington Realty Trust 6.5% Cumulative Preferred Convertible Series C | $149,625,900 | $50 | $55.42 | 6.50% | N | 5.86% | 2,959 | LXP | Lexington Realty Trust | REITs | $2,947,631,339 | Analyze |
MAA-I | Mid-America Apartment Communities 8.50% Series I Cumulative Preferred | $65,990,000 | $50 | $65.99 | 8.50% | N | 6.44% | 0 | MAA | Mid-America Apartment Communities, Inc | REITs | $15,476,880,679 | Analyze |
MBINO | Merchants Bancorp ADRs of 6.00% Fixed-to-Floating Rate Series B Non-Cumulative Perpetual Preferred | $129,150,000 | $25 | $25.83 | 6.00% | Y | 5.81% | 13,454 | MBIN | Merchants Bancorp | Common stocks | $1,052,376,929 | Analyze |
MBINP | Merchants Bancorp 7.00% Fixed-to-Floating Rate Series A Non-Cumulative Preferred | $53,940,000 | $25 | $26.97 | 7.00% | Y | 6.49% | 2,537 | MBIN | Merchants Bancorp | Common stocks | $1,052,376,929 | Analyze |
MBNKP | Medallion Bank - Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series F | $47,619,200 | $25 | $25.88 | 8.00% | Y | 7.73% | 25,471 | MFIN | Medallion Financial | Common stocks | $173,450,580 | Analyze |
MDRRP | Medalist Diversified REIT, Inc. - Series A Cumulative Redeemable Preferred | $3,800,000 | $25 | $19.00 | 8.00% | N | 10.53% | 1,056 | MDRR | Medalist Diversified REIT, Inc | REITs | $10,411,591 | Analyze |
MER-K | Merrill Lynch & Co. Inc. 6.45% Trust Preferred Securities | $1,078,000,000 | $25 | $26.95 | 6.45% | N | 5.98% | 89,513 | BAC | Bank of America Corp | Common stocks | $307,362,557,828 | Analyze |
MET-A | MetLife Inc. Preferred Series A Floating Rate | $603,120,000 | $25 | $25.13 | 4.00% | Y | 3.98% | 37,694 | MET | Metlife Inc | Common stocks | $52,144,178,129 | Analyze |
MET-E | MetLife Inc. ADRs of 5.625% Non-Cumulative Preferred Stock, Series E | $866,502,000 | $25 | $26.91 | 5.63% | N | 5.23% | 0 | MET | Metlife Inc | Common stocks | $52,144,178,129 | Analyze |
MET-F | MetLife, Inc. ADRs of 4.75% Non-Cumulative Preferred Stock, Series F | $1,026,800,000 | $25 | $25.67 | 4.75% | N | 4.63% | 100,542 | MET | Metlife Inc | Common stocks | $52,144,178,129 | Analyze |
MFA-B | MFA Financial Inc. 7.50% Series B Cumulative Redeemable Preferred Stock | $198,960,000 | $25 | $24.87 | 7.50% | N | 7.54% | 17,391 | MFA | MFA Financial, Inc. | Mortgage REITs | $1,848,920,766 | Analyze |
MFA-C | MFA Financial, Inc. 6.50% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock | $245,410,000 | $25 | $22.31 | 6.50% | Y | 7.28% | 57,481 | MFA | MFA Financial, Inc. | Mortgage REITs | $1,848,920,766 | Analyze |
MH-A | Maiden Holdings Ltd. 8.25% Preferred Shares Series A | $73,500,000 | $25 | $12.25 | 8.25% | N | 16.84% | 6,049 | MHLD | Maiden Holdings Ltd | Common stocks | $238,291,262 | Analyze |
MH-C | Maiden Holdings 7.125% Non-Cumulative Preference Shares Series C | $77,969,760 | $25 | $11.81 | 7.13% | N | 15.08% | 4,184 | MHLD | Maiden Holdings Ltd | Common stocks | $238,291,262 | Analyze |
MH-D | Maiden Holdings 6.700% Non-Cumulative Preference Shares Series D | $69,888,600 | $25 | $11.65 | 6.70% | N | 14.38% | 7,262 | MHLD | Maiden Holdings Ltd | Common stocks | $238,291,262 | Analyze |
MINDP | Mitcham Industries 9.00% Series A Cumulative Preferred Stock | $7,408,000 | $25 | $23.15 | 9.00% | N | 9.72% | 5,576 | MIND | Mitcham Industries Inc | Common stocks | $33,218,070 | Analyze |
MITT-A | AG Mortgage Investment Trust Inc. 8.25% Preferred Series A | $50,777,100 | $25 | $24.53 | 8.25% | N | 8.41% | 13,285 | MITT | AG Mortgage Investment Trust, Inc. | Mortgage REITs | $179,990,493 | Analyze |
MITT-B | AG Mortgage 8.00% Series B Cumulative Redeemable Preferred Stock | $107,640,000 | $25 | $23.40 | 8.00% | N | 8.55% | 35,167 | MITT | AG Mortgage Investment Trust, Inc. | Mortgage REITs | $179,990,493 | Analyze |
MITT-C | AG Mortgage Investment Trust, Inc. 8.00% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred | $86,360,000 | $25 | $21.59 | 8.00% | Y | 9.26% | 49,716 | MITT | AG Mortgage Investment Trust, Inc. | Mortgage REITs | $179,990,493 | Analyze |
MNR-C | Monmouth Real Estate 6.125% Series C Cumulative Preferred | $282,756,395 | $25 | $25.15 | 6.13% | N | 6.09% | 40,987 | MNR | Monmouth Real Estate Investment Corporation | REITs | $1,724,192,770 | Analyze |
MNSBP | MainStreet Bancshares ADRs of 7.50% Series A Fixed-Rate Non-Cumulative Preferred | $26,500,000 | $25 | $26.50 | 7.50% | N | 7.08% | 2,641 | MNSB | MainStreet Bancshares, Inc. | Common stocks | $141,903,780 | Analyze |
MS-A | Morgan Stanley ADRs of Floating Rate Non-Cumulative Preferred Series A | $959,200,000 | $25 | $23.98 | 4.00% | Y | 4.17% | 94,263 | MS | Morgan Stanley | Common stocks | $146,379,043,268 | Analyze |
MS-E | Morgan Stanley ADRs of Fixed to Floating Rate Preferred Stock Series E | $986,872,500 | $25 | $28.61 | 7.13% | Y | 6.23% | 0 | MS | Morgan Stanley | Common stocks | $146,379,043,268 | Analyze |
MS-F | Morgan Stanley ADRs of Preferred Series F Fixed to Floating | $968,660,000 | $25 | $28.49 | 6.88% | Y | 6.03% | 50,196 | MS | Morgan Stanley | Common stocks | $146,379,043,268 | Analyze |
MS-I | Morgan Stanley ADRs of Preferred Series I Fixed to Floating Non-Cumulative | $1,115,600,000 | $25 | $27.89 | 6.38% | Y | 5.71% | 0 | MS | Morgan Stanley | Common stocks | $146,379,043,268 | Analyze |
MS-K | Morgan Stanley ADRs of Fixed-to-Floating Rate Non-Cumulative Preferred Series K | $1,122,400,000 | $25 | $28.06 | 5.85% | Y | 5.21% | 52,420 | MS | Morgan Stanley | Common stocks | $146,379,043,268 | Analyze |
MS-L | Morgan Stanley ADRs of 4.875% Non-Cumulative Preferred Stock, Series L | $523,400,000 | $25 | $26.17 | 4.88% | N | 4.66% | 40,238 | MS | Morgan Stanley | Common stocks | $146,379,043,268 | Analyze |
MTBCP | Medical Transcription 11% Series A Cumulative Preferred Stock | $8,064,411 | $25 | $27.37 | 11.00% | N | 10.05% | 22,655 | MTBC | Medical Transcription Billing Corp. | Common stocks | $136,730,436 | Analyze |
MTL- | Mechel PAO ADRs of preferred shares | $4,774,245 | $0 | $0.51 | 0.00% | N | 0.00% | 1,052,467 | MTL | Mechel PJSC ADRs | ADRs | $398,761,637 | Analyze |
NAV-D | Navistar International Series D cumulative convertible junior preferred | $981,144 | $25 | $13.98 | 0.00% | Y | 0.00% | 162 | NAV | Navistar International Corp | Common stocks | $4,407,152,603 | Analyze |
NBR-A | Nabors Industries Ltd. 6.00% Mandatory Convertible Preferred Series A | $86,997,500 | $25 | $15.13 | 6.00% | N | 9.91% | 52,738 | NBR | Nabors Industries Ltd | Common stocks | $880,746,661 | Analyze |
NCV-A | AllianzGI Convertible & Income 5.625% Series A Cumulative Preferred | $105,200,000 | $25 | $26.30 | 5.63% | N | 5.35% | 3,141 | NCV | AllianzGI Convertible & Income Fund CEF | Convertible bonds | $526,877,907 | Analyze |
NCZ-A | AllianzGI Convertible & Income Fund II 5.50% Series A Cumulative Preferred | $113,403,600 | $25 | $26.01 | 5.50% | N | 5.29% | 3,119 | NCZ | AllianzGI Convertible & Income Fund II CEF | Convertible bonds | $390,473,792 | Analyze |
NGL-B | NGL Energy 9.00% Class B Fixed-to-Floating Rate Cumulative Preferred Units | $108,502,500 | $25 | $12.75 | 9.00% | Y | 17.65% | 83,945 | NGL | NGL Energy Partners LP | MLPs | $322,920,088 | Analyze |
NGL-C | NGL Energy 9.625% Class C Fixed-to-Floating Rate Cumulative Preferred Units | $20,256,000 | $25 | $12.66 | 9.63% | N | 19.01% | 35,818 | NGL | NGL Energy Partners LP | MLPs | $322,920,088 | Analyze |
NHF-A | NexPoint Strategic Opportunities Fund 5.50% Series A Cumulative Preferred | $73,306,319 | $25 | $21.82 | 5.50% | N | 6.30% | 0 | NHF | NexPoint Strategic Opportunities Fund CEF | US | $535,652,715 | Analyze |
NI-B | NiSource, Inc ADRs 6.50% Series B and Series B-1 Preferred Stock | $552,600,000 | $25 | $27.63 | 6.50% | Y | 5.88% | 18,726 | NI | Nisource Inc | Common stocks | $8,530,785,908 | Analyze |
NLY-F | Annaly Capital 6.95% Series F Fixed-to-Floating Rate Cumulative Preferred | $710,352,000 | $25 | $24.67 | 6.95% | Y | 7.04% | 58,581 | NLY | Annaly Capital Management Inc | Mortgage REITs | $11,775,394,469 | Analyze |
NLY-G | Annaly Capital 6.50% Series G Fixed-to-Floating Rate Cumulative Preferred | $412,420,000 | $25 | $24.26 | 6.50% | Y | 6.70% | 63,791 | NLY | Annaly Capital Management Inc | Mortgage REITs | $11,775,394,469 | Analyze |
NLY-I | Annaly Capital 6.750% Series I Fixed-to-Floating Rate Cumulative Preferred | $395,680,000 | $25 | $24.73 | 6.75% | Y | 6.82% | 79,597 | NLY | Annaly Capital Management Inc | Mortgage REITs | $11,775,394,469 | Analyze |
NM-G | Navios Maritime ADRs of 8.75% Series G Cumulative Preferred | $24,600,000 | $25 | $12.30 | 8.75% | N | 17.78% | 2,906 | NM | Navios Maritime Inc | Common stocks | $105,921,814 | Analyze |
NM-H | Navios Maritime Holdings Inc. ADRs of Perp. Preferred Series H | $52,500,000 | $25 | $12.50 | 8.63% | N | 17.25% | 7,343 | NM | Navios Maritime Inc | Common stocks | $105,921,814 | Analyze |
NMK-B | Niagara Mohawk Holdings Inc. 3.6% Preferred Stock | $13,691,884 | $100 | $99.83 | 3.60% | N | 3.61% | 0 | NGG | National Grid ADRs | ADRs | $41,177,451,371 | Analyze |
NMK-C | Niagara Mohawk Holdings Inc. 3.9% Preferred Stock | $9,893,025 | $100 | $103.95 | 3.90% | N | 3.75% | 0 | NGG | National Grid ADRs | ADRs | $41,177,451,371 | Analyze |
NNN-F | National Retail Properties ADRs of 5.20% Series F Cumulative Preferred | $350,658,000 | $25 | $25.41 | 5.20% | N | 5.12% | 20,311 | NNN | National Retail Properties, Inc | REITs | $7,485,905,602 | Analyze |
NREF-A | NexPoint Real Estate Finance, Inc. 8.50% Series A Cumulative Redeemable Preferred | $52,000,000 | $25 | $26.00 | 8.50% | N | 8.17% | 0 | NREF | NexPoint Real Estate Finance, Inc. | Mortgage REITs | $96,734,852 | Analyze |
NRZ-A | New Residential Investment 7.50% Series A Fixed-to-Floating Cumulative Preferred | $150,587,532 | $25 | $24.25 | 7.50% | Y | 7.73% | 17,922 | NRZ | New Residential Investment Corp | Mortgage REITs | $4,405,146,933 | Analyze |
NRZ-B | New Residential Investment Corp. 7.125% Series B Fixed-to-Floating Rate Cumulative Preferred | $268,038,260 | $25 | $23.72 | 7.13% | Y | 7.51% | 35,474 | NRZ | New Residential Investment Corp | Mortgage REITs | $4,405,146,933 | Analyze |
NRZ-C | New Residential Investment Corp. 6.375% Series C Fixed-to-Floating Rate Cumulative Preferred | $308,280,000 | $25 | $22.02 | 6.38% | Y | 7.24% | 51,444 | NRZ | New Residential Investment Corp | Mortgage REITs | $4,405,146,933 | Analyze |
NS-A | Nustar Energy L.P. 8.50% Series A Fixed-to-Floating Rate Cumulative Preferred Units | $191,981,400 | $25 | $21.19 | 8.50% | Y | 10.03% | 24,520 | NS | NuStar Energy LP | MLPs | $2,087,557,430 | Analyze |
NS-B | Nustar Energy L.P. 7.625% Series B Fixed-to-Floating Rate Cumulative Perpetual Preferred Units | $280,280,000 | $25 | $18.20 | 7.63% | Y | 10.47% | 49,240 | NS | NuStar Energy LP | MLPs | $2,087,557,430 | Analyze |
NS-C | Nustar Energy L.P. 9.00% Series C Fixed-to-Floating Rate Cumulative Preferred Units | $155,112,000 | $25 | $22.48 | 9.00% | Y | 10.01% | 20,315 | NS | NuStar Energy LP | MLPs | $2,087,557,430 | Analyze |
NSA-A | National Storage Affiliates 6.000% Series A Cumulative Preferred Shares | $181,815,000 | $25 | $26.35 | 6.00% | N | 5.69% | 15,273 | NSA | National Storage Affiliates Trust | REITs | $2,730,917,005 | Analyze |
NTRSO | Northern Trust Corporation ADRs of 4.7% Series E Non-Cumulative Perpetual Preferred | $422,560,000 | $25 | $26.41 | 4.70% | N | 4.45% | 25,451 | NTRS | Northern Trust Corporation | Common stocks | $20,268,989,271 | Analyze |
NYCB-A | New York Community Bancorp ADRs of Fixed-to-Floating Rate Series A Noncumulative Preferred | $562,000,000 | $25 | $28.10 | 6.38% | Y | 5.67% | 29,892 | NYCB | New York Community Bancorp | Common stocks | $5,588,398,464 | Analyze |
NYCB-U | New York Community Bancorp Inc. Capital Tr V (BONUSES) | $235,920,000 | $50 | $49.15 | 6.00% | Y | 6.10% | 12,877 | NYCB | New York Community Bancorp | Common stocks | $5,588,398,464 | Analyze |
NYMTM | New York Mortgage Trust, Inc. - 7.875% Series E Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock | $145,500,000 | $25 | $24.25 | 7.88% | Y | 8.12% | 26,121 | NYMT | New York Mortgage Trust Inc | Mortgage REITs | $1,627,886,137 | Analyze |
NYMTN | New York Mortgage 8.00% Series D Fixed-to-Floating Rate Cumulative Preferred | $138,690,000 | $25 | $24.12 | 8.00% | Y | 8.29% | 24,037 | NYMT | New York Mortgage Trust Inc | Mortgage REITs | $1,627,886,137 | Analyze |
NYMTO | New York Mortgage Trust 7.875% Series C Cumulative Preferred Stock | $87,120,000 | $25 | $24.20 | 7.88% | N | 8.14% | 15,546 | NYMT | New York Mortgage Trust Inc | Mortgage REITs | $1,627,886,137 | Analyze |
NYMTP | New York Mortgage Trust 7.75% Series B Cumulative Preferred Stock | $72,150,000 | $25 | $24.05 | 7.75% | N | 8.06% | 6,712 | NYMT | New York Mortgage Trust Inc | Mortgage REITs | $1,627,886,137 | Analyze |
OAK-A | Oaktree Capital Group LLC 6.625% Series A Preferred units | $219,834,000 | $25 | $26.55 | 6.63% | N | 6.24% | 12,906 | BAM | Brookfield Asset Management Inc. | Common stocks | $66,165,924,468 | Analyze |
OAK-B | Oaktree Capital Group LLC 6.550% Series B Preferred Units | $284,627,300 | $25 | $26.33 | 6.55% | N | 6.22% | 25,417 | BAM | Brookfield Asset Management Inc. | Common stocks | $66,165,924,468 | Analyze |
OCCIP | OFS Credit Company, Inc. 6.875% Series A Term Preferred Stock | $20,080,000 | $25 | $25.10 | 6.88% | N | 6.85% | 1,961 | OCCI | Ofs Credit Company, Inc. | Bank loans | $48,315,504 | Analyze |
OCFCP | OceanFirst Financial Corp. ADRs of 7% Series A Fixed-to-Floating Non-Cumulative Preferred | $59,488,000 | $25 | $27.04 | 7.00% | Y | 6.47% | 2,874 | OCFC | Oceanfirst Financial Corp | Common stocks | $1,327,135,036 | Analyze |
OFG-A | OFG Bancorp 7.125% Noncumulative Monthly Income Preferred Series A | $31,439,625 | $25 | $25.67 | 7.13% | N | 6.94% | 957 | OFG | OFG Bancorp | Common stocks | $1,013,993,301 | Analyze |
OFG-B | OFG Bancorp 7.0% Non Cumulative Monthly Preferred Series B | $30,504,000 | $25 | $25.42 | 7.00% | N | 6.88% | 1,438 | OFG | OFG Bancorp | Common stocks | $1,013,993,301 | Analyze |
OFG-D | OFG Bancorp 7.125% Non-Cumulative Preferred Series D | $24,962,880 | $25 | $26.00 | 7.13% | N | 6.85% | 1,814 | OFG | OFG Bancorp | Common stocks | $1,013,993,301 | Analyze |
OPP-A | RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. 4.375% Series A Cumulative Preferred Stock | $48,120,000 | $25 | $24.06 | 4.38% | N | 4.55% | 0 | OPP | RiverNorth/DoubleLne Strategic Opportunity Fund CEF | US | $200,103,777 | Analyze |
OTRKP | Ontrak, Inc. - 9.50% Series A Cumulative Perpetual Preferred Stock | $38,250,000 | $25 | $22.50 | 9.50% | N | 10.56% | 53,659 | OTRK | Ontrak, Inc. | Common stocks | $502,617,131 | Analyze |
OXLCM | Oxford Lane Capital 6.75% Series 2024 Term Preferred Stock | $68,344,552 | $25 | $25.04 | 6.75% | N | 6.74% | 6,359 | OXLC | Oxford Lane Capital CEF | Bank loans | $560,376,107 | Analyze |
OXLCO | Oxford Lane Capital Term Preferred Shares 7.50% Series 2023 | $61,342,265 | $25 | $25.39 | 7.50% | N | 7.38% | 3,343 | OXLC | Oxford Lane Capital CEF | Bank loans | $560,376,107 | Analyze |
OXLCP | Oxford Lane Capital Corp. - 6.25% Series 2027 Term Preferred Shares | $87,203,200 | $25 | $23.80 | 6.25% | N | 6.57% | 16,369 | OXLC | Oxford Lane Capital CEF | Bank loans | $560,376,107 | Analyze |
PBCTP | Peoples United Financial, Inc. Perpetual Preferred Series A Fixed-to-floating Rate | $127,612,890 | $25 | $27.16 | 5.63% | Y | 5.18% | 13,828 | PBCT | Peoples United Financial Inc | Common stocks | $7,723,277,352 | Analyze |
PCG-A | Pacific Gas & Electric Co. 6% First Preferred Stock Nonredeemable | $291,430,644 | $25 | $28.24 | 6.00% | N | 5.31% | 6,666 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-B | Pacific Gas & Electric Co. 5 1/2% Preferred Stock | $31,040,100 | $25 | $26.53 | 5.50% | N | 5.18% | 1,682 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-C | Pacific Gas & Electric Co. 5% 1st Preferred Stock | $9,792,000 | $25 | $24.48 | 5.00% | N | 5.11% | 1,195 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-D | Pacific Gas & Electric Co. 5% 1st Redeemable Preferred Stock | $70,790,720 | $25 | $24.75 | 5.00% | N | 5.05% | 1,523 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-E | Pacific Gas & Electric Co. 5% 1st A Preferred Stock | $110,821,400 | $25 | $24.41 | 5.00% | N | 5.12% | 362 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-G | Pacific Gas & Electric Co. 4.80% 1st Preferred Stock | $35,993,600 | $25 | $23.68 | 4.80% | N | 5.07% | 1,279 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-H | Pacific Gas & Electric Co. 4.50% 1st Preferred Stock | $26,781,000 | $25 | $23.70 | 4.50% | N | 4.75% | 1,318 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PCG-I | Pacific Gas & Electric Co. 4.36% 1st Preferred Stock | $23,500,000 | $25 | $23.50 | 4.36% | N | 4.64% | 2,009 | PCG | Pacific Gas & Electric Co. | Common stocks | $21,593,359,962 | Analyze |
PEB-C | Pebblebrook Hotel 6.50% Series C Cumulative Preferred Shares | $116,600,000 | $25 | $23.32 | 6.50% | N | 6.97% | 12,026 | PEB | Pebblebrook Hotel Trust | REITs | $2,931,235,772 | Analyze |
PEB-D | Pebblebrook Hotel Trust 6.375% Series D Cumulative Preferred Shares | $117,750,000 | $25 | $23.55 | 6.38% | N | 6.77% | 16,370 | PEB | Pebblebrook Hotel Trust | REITs | $2,931,235,772 | Analyze |
PEB-E | Pebblebrook Hotel Trust 6.375% Series E Cumulative Preferred | $109,388,000 | $25 | $23.78 | 6.38% | N | 6.70% | 5,887 | PEB | Pebblebrook Hotel Trust | REITs | $2,931,235,772 | Analyze |
PEB-F | Pebblebrook Hotel Trust 6.3% Series F Cumulative Preferred | $107,088,000 | $25 | $23.28 | 6.30% | N | 6.77% | 11,343 | PEB | Pebblebrook Hotel Trust | REITs | $2,931,235,772 | Analyze |
PEI-B | Pennsylvania Real Estate 7.375% Series B Cumulative Preferred Shares | $29,221,500 | $25 | $8.47 | 7.38% | N | 21.78% | 31,852 | PEI | Pennsylvania Real Estate Investment Trust | REITs | $144,757,644 | Analyze |
PEI-C | Pennsylvania Real Estate 7.20% Series C Cumulative Preferred | $61,341,000 | $25 | $8.89 | 7.20% | N | 20.25% | 21,996 | PEI | Pennsylvania Real Estate Investment Trust | REITs | $144,757,644 | Analyze |
PEI-D | Pennsylvania Real Estate 6.875% Series D Cumulative Preferred | $43,700,000 | $25 | $8.74 | 6.88% | N | 19.67% | 28,215 | PEI | Pennsylvania Real Estate Investment Trust | REITs | $144,757,644 | Analyze |
PLYM-A | Plymouth Industrial REIT 7.50% Series A Cumulative Preferred | $47,898,000 | $25 | $26.61 | 7.50% | N | 7.05% | 0 | PLYM | Plymouth Industrial REIT, Inc. | Common stocks | $444,481,028 | Analyze |
PMT-A | PennyMac Mortgage 8.125% Series A Fixed-to-Floating Rate Cumulative Preferred | $131,086,200 | $25 | $24.78 | 8.13% | Y | 8.20% | 13,580 | PMT | PennyMac Mortgage Investment Trust | Mortgage REITs | $1,846,446,487 | Analyze |
PMT-B | PennyMac Mortgage 8.00% Series B Fixed-to-Floating Rate Cumulative Preferred | $197,386,000 | $25 | $24.52 | 8.00% | Y | 8.16% | 20,458 | PMT | PennyMac Mortgage Investment Trust | Mortgage REITs | $1,846,446,487 | Analyze |
PNC-P | PNC Financial Services Group ADRs of Perpetual Preferred Series P | $1,579,800,000 | $25 | $26.33 | 6.13% | Y | 5.82% | 87,851 | PNC | PNC Financial Services Group, Inc. | Common stocks | $73,393,706,960 | Analyze |
PNFPP | Pinnacle Financial Partners ADRs of 6.75% Fixed-Rate Non-Cumulative Preferred Series B | $131,568,000 | $25 | $27.41 | 6.75% | N | 6.16% | 16,295 | PNFP | Pinnacle Financial Partners Inc | Common stocks | $6,195,591,642 | Analyze |
PRE-G | PartnerRe Ltd. 6.50% Series G Cumulative Redeemable Preferred | $232,024,000 | $25 | $25.22 | 6.50% | N | 6.44% | 10,175 | n/a | Not a public company | $0 | Analyze | |
PRE-H | PartnerRe Ltd. 7.25% Series H Cumulative Redeemable Preferred | $296,783,400 | $25 | $25.25 | 7.25% | N | 7.18% | 27,090 | n/a | Not a public company | $0 | Analyze | |
PRE-I | PartnerRe Ltd. 5.875% Series I Non-Cumulative Redeemable Preferred | $184,317,600 | $25 | $25.18 | 5.88% | N | 5.83% | 8,101 | n/a | Not a public company | $0 | Analyze | |
PRIF-A | Priority Income Fund 6.375% Series A Term Preferred Stock due 2025 | $34,000,000 | $25 | $25.00 | 6.38% | N | 6.38% | 2,686 | n/a | Not a public company | $0 | Analyze | |
PRIF-B | Priority Income Fund, Inc. 6.25% Series B Term Preferred Stock due 2023 | $22,743,000 | $25 | $25.27 | 6.25% | N | 6.18% | 1,541 | n/a | Not a public company | $0 | Analyze | |
PRIF-C | Priority Income Fund, Inc. 6.625% Series C Term Preferred Stock due 2024 | $35,350,000 | $25 | $25.25 | 6.63% | N | 6.56% | 1,733 | n/a | Not a public company | $0 | Analyze | |
PRIF-D | Priority Income Fund, Inc. 7.00% Series D Term Cumulative Preferred due 2029 | $50,420,000 | $25 | $25.21 | 7.00% | N | 6.94% | 2,876 | n/a | Not a public company | $0 | Analyze | |
PRIF-E | Priority Income Fund, Inc. 6.375% Series E Preferred Stock Due 2024 | $24,920,000 | $25 | $24.92 | 6.38% | N | 6.40% | 2,989 | n/a | Not a public company | $0 | Analyze | |
PRIF-F | Priority Income Fund, Inc. 6.625% Series F Term Preferred Stock due 2027 | $34,983,000 | $25 | $25.35 | 6.63% | N | 6.53% | 2,175 | n/a | Not a public company | $0 | Analyze | |
PSA-C | Public Storage ADRs of 5.125% Cumulative Preferred Series C | $101,640,000 | $25 | $25.41 | 5.13% | N | 5.04% | 16,096 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-D | Public Storage ADRs of 4.95% Cumulative Preferred Series D | $128,050,000 | $25 | $25.61 | 4.95% | N | 4.83% | 34,457 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-E | Public Storage ADRs of 4.90% Cumulative Preferred Series E | $357,420,000 | $25 | $25.53 | 4.90% | N | 4.80% | 23,817 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-F | Public Storage ADRs of 5.15% Cumulative Preferred Series F | $207,520,000 | $25 | $25.94 | 5.15% | N | 4.96% | 18,920 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-G | Public Storage ADRs of 5.05% Cumulative Preferred Series G | $311,400,000 | $25 | $25.95 | 5.05% | N | 4.87% | 17,007 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-H | Public Storage ADRs of 5.60% Cumulative Preferred Series H | $314,127,000 | $25 | $27.56 | 5.60% | N | 5.08% | 25,149 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-I | Public Storage ADRs of a 4.875% Cumulative Preferred Shares, Series I | $293,370,000 | $25 | $26.67 | 4.88% | N | 4.57% | 19,772 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-J | Public Storage ADRs of 4.700% Cumulative Preferred, Series J | $233,730,000 | $25 | $25.97 | 4.70% | N | 4.52% | 14,086 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-K | Public Storage ADRs of 4.75% Cumulative Preferred Share, Series K | $212,480,000 | $25 | $26.56 | 4.75% | N | 4.47% | 9,489 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-L | Public Storage ADRs of 4.625% Cumulative Preferred, Series L | $513,100,000 | $25 | $25.66 | 4.63% | N | 4.51% | 0 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-M | Public Storage ADRs of a 4.125% Cumulative Preferred, Series M | $205,440,000 | $25 | $25.68 | 4.13% | N | 4.02% | 0 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-N | Public Storage ADRs of a 3.875% Cumulative Preferred Share, Series N | $247,100,000 | $25 | $24.71 | 3.88% | N | 3.92% | 0 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSA-O | Public Storage ADRs of a 3.900% Cumulative Preferred Share of Beneficial Interest, Series O | $152,100,000 | $25 | $25.35 | 3.90% | N | 3.85% | 0 | PSA | Public Storage | REITs | $40,983,554,749 | Analyze |
PSB-W | PS Business Parks ADRs of 5.20% Cumulative Preferred Series W | $195,306,639 | $25 | $25.73 | 5.20% | N | 5.05% | 11,464 | PSB | PS Business Parks, Inc | REITs | $3,916,037,923 | Analyze |
PSB-X | PS Business Parks ADRs of 5.25% Cumulative Preferred Stock Series X | $237,544,000 | $25 | $25.82 | 5.25% | N | 5.08% | 12,546 | PSB | PS Business Parks, Inc | REITs | $3,916,037,923 | Analyze |
PSB-Y | PS Business Parks 5.20% Cumulative Preferred Stock Series Y | $205,520,000 | $25 | $25.69 | 5.20% | N | 5.06% | 8,828 | PSB | PS Business Parks, Inc | REITs | $3,916,037,923 | Analyze |
PSB-Z | PS Business Parks ADRs of 4.875% Cumulative Preferred Stock, Series Z | $305,760,000 | $25 | $25.48 | 4.88% | N | 4.78% | 15,598 | PSB | PS Business Parks, Inc | REITs | $3,916,037,923 | Analyze |
PUK- | Prudential 6.75% Perpetual Subordinated Capital Security | $316,320,000 | $25 | $26.36 | 6.75% | N | 6.40% | 13,108 | PUK | Prudential PLC ADRs | ADRs | $54,094,658,148 | Analyze |
PUK-A | Prudential 6.50% Perpetual Subordinated Capital Securities | $318,000,000 | $25 | $26.50 | 6.50% | N | 6.13% | 21,302 | PUK | Prudential PLC ADRs | ADRs | $54,094,658,148 | Analyze |
PW-A | Power REIT 7.75% Series A Cumulative Perpetual Preferred Stock | $4,551,750 | $25 | $26.01 | 7.75% | N | 7.45% | 953 | PW | Power REIT | REITs | $133,763,068 | Analyze |
PXSAP | Pyxis Tankers Inc. - 7.75% Series A Cumulative Convertible Preferred | $5,104,000 | $25 | $22.00 | 7.75% | N | 8.81% | 1,684 | PXS | Pyxis Tankers Inc. | Common stocks | $29,918,392 | Analyze |
QRTEP | Qurate Retail, Inc. - 8.0% Fixed Rate Cumulative Redeemable Preferred | $1,255,745,400 | $100 | $99.19 | 8.00% | N | 8.07% | 91,938 | QRTEA | Qurate Retail, Inc. Series A | Common stocks | $5,033,429,302 | Analyze |
QTS-A | QTS Realty Trust Inc Series A 7.125% Cumulative Preferred Stock | $116,715,600 | $25 | $27.27 | 7.13% | N | 6.53% | 4,224 | QTS | QTS Realty Trust, Inc | REITs | $3,812,489,755 | Analyze |
QTS-B | QTS Realty 6.50% Series B Cumulative Convertible Preferred Stock | $379,885,000 | $100 | $138.14 | 6.50% | N | 4.71% | 7,591 | QTS | QTS Realty Trust, Inc | REITs | $3,812,489,755 | Analyze |
REXR-A | Rexford Industrial 5.875% Series A Cumulative Preferred Stock | $90,972,000 | $25 | $25.27 | 5.88% | N | 5.81% | 7,848 | REXR | Rexford Industrial Realty, Inc | REITs | $6,260,006,851 | Analyze |
REXR-B | Rexford Industrial 5.875% Series B Cumulative Preferred Stock | $77,700,000 | $25 | $25.90 | 5.88% | N | 5.67% | 0 | REXR | Rexford Industrial Realty, Inc | REITs | $6,260,006,851 | Analyze |
REXR-C | Rexford Industrial Realty, Inc. 5.625% Series C Cumulative Redeemable Preferred | $77,160,000 | $25 | $25.72 | 5.63% | N | 5.47% | 8,854 | REXR | Rexford Industrial Realty, Inc | REITs | $6,260,006,851 | Analyze |
RF-A | Regions Financial ADRs of Non-Cumulative Preferred Series A | $511,200,000 | $25 | $25.56 | 6.38% | N | 6.24% | 29,986 | RF | Regions Financial Corp | Common stocks | $20,274,970,159 | Analyze |
RF-B | Regions Financial ADRs of 6.375% Fixed-to-Floating Rate Non-Cumulative Preferred Series B | $541,200,000 | $25 | $27.06 | 6.38% | Y | 5.89% | 43,720 | RF | Regions Financial Corp | Common stocks | $20,274,970,159 | Analyze |
RF-C | Regions Financial ADRs of 5.700% Fixed-to-Floating Rate Non-Cumulative Preferred Series C | $539,400,000 | $25 | $26.97 | 5.70% | Y | 5.28% | 46,563 | RF | Regions Financial Corp | Common stocks | $20,274,970,159 | Analyze |
RHE-A | Regional Health 10.875% Series A Cumulative Preferred | $7,817,360 | $25 | $2.78 | 10.88% | N | 97.80% | 5,641 | RHE | Regional Health Properties, Inc | Common stocks | $10,044,903 | Analyze |
RILYL | B. Riley Financial ADRs of Series B 7.375% Cumulative Perpetual Preferred Stock | $35,048,000 | $25 | $26.96 | 7.38% | N | 6.84% | 3,563 | RILY | B Riley Financial Inc | Common stocks | $1,768,792,012 | Analyze |
RILYP | B. Riley Financial, Inc. ADRs of Series A Cumulative Perpetual Preferred Stock | $53,400,000 | $25 | $26.70 | 6.88% | N | 6.44% | 6,536 | RILY | B Riley Financial Inc | Common stocks | $1,768,792,012 | Analyze |
RLJ-A | RLJ Lodging Trust $1.95 Series A Cumulative Convertible Preferred | $328,426,613 | $25 | $25.50 | 7.75% | N | 7.60% | 32,715 | RLJ | RLJ Lodging Trust | REITs | $2,505,932,518 | Analyze |
RMPL- | RiverNorth Marketplace 5.875% Series A Term Preferred Due 2024 | $36,460,080 | $25 | $25.32 | 5.88% | N | 5.80% | 2,257 | n/a | Not a public company | $0 | Analyze | |
RNR-E | RenaissanceRe Holdings Ltd. 5.375% Series E Preference Shares | $279,235,000 | $25 | $25.39 | 5.38% | N | 5.29% | 0 | RNR | Renaissancere Holding Ltd | Common stocks | $8,227,923,725 | Analyze |
RNR-F | RenaissanceRe ADRs of5.750% Series F Preference Share | $267,500,000 | $25 | $26.75 | 5.75% | N | 5.37% | 16,479 | RNR | Renaissancere Holding Ltd | Common stocks | $8,227,923,725 | Analyze |
RPT-D | RPT Realty 7.25% Series D Cumulative Convertible Preferred | $99,969,883 | $50 | $54.07 | 7.25% | N | 6.70% | 5,551 | RPT | RPT Realty | REITs | $878,849,436 | Analyze |
RY-T | Royal Bank Of Canada ADRs of 6.750% Fixed Rate/Floating Rate Noncumulative First Preferred Series C-2 | $581,788 | $25 | $28.54 | 6.75% | Y | 5.91% | 0 | RY | Royal Bank Of Canada | Common stocks | $123,667,452,000 | Analyze |
SABRP | Sabre Corporation - 6.50% Series A Mandatory Convertible Preferred Stock | $517,170,000 | $100 | $172.39 | 6.50% | N | 3.77% | 16,516 | SABR | Sabre Corp | Common stocks | $4,642,506,636 | Analyze |
SB-C | Safe Bulkers Cumulative Preferred Series C | $44,500,000 | $25 | $22.25 | 8.00% | N | 8.99% | 3,863 | SB | Safe Bulkers Inc | Common stocks | $292,070,061 | Analyze |
SB-D | Safe Bulkers Cumulative Preferred Series D | $62,421,800 | $25 | $22.29 | 8.00% | N | 8.97% | 5,894 | SB | Safe Bulkers Inc | Common stocks | $292,070,061 | Analyze |
SBNYP | Signature Bank ADRs of 5.000% Noncumulative Perpetual Series A Preferred Stock | $710,360,000 | $25 | $25.37 | 5.00% | N | 4.93% | 80,589 | SBNY | Signature Bank | Common stocks | $6,490,847,520 | Analyze |
SCE-G | SCE Trust II 5.10% Preferred Stock | $389,600,000 | $25 | $24.35 | 5.10% | N | 5.24% | 13,171 | EIX | Edison International | Common stocks | $20,822,654,707 | Analyze |
SCE-H | SCE Trust III Fixed/Floating Rate Trust Preference Securities | $278,850,000 | $25 | $25.35 | 5.75% | Y | 5.67% | 23,125 | EIX | Edison International | Common stocks | $20,822,654,707 | Analyze |
SCE-J | Southern California Edison 5.375% Fixed-to-Floating Rate Trust Preference Securities | $319,540,000 | $25 | $24.58 | 5.38% | Y | 5.47% | 55,644 | EIX | Edison International | Common stocks | $20,822,654,707 | Analyze |
SCE-K | Southern California Edison 5.45% Fixed-to-Floating Rate Trust Preference Securities | $307,200,000 | $25 | $25.60 | 5.45% | Y | 5.32% | 17,541 | EIX | Edison International | Common stocks | $20,822,654,707 | Analyze |
SCE-L | SCE Trust VI 5.00% Preferred Stock | $452,390,000 | $25 | $23.81 | 5.00% | N | 5.25% | 36,483 | EIX | Edison International | Common stocks | $20,822,654,707 | Analyze |
SCHW-C | Charles Schwab ADRs of 6% Non-Cumulative Preferred Series C | $287,651,074 | $25 | $25.47 | 6.00% | N | 5.89% | 45,410 | SCHW | Charles Schwab Corporation | Common stocks | $119,885,299,917 | Analyze |
SCHW-D | Charles Schwab ADRs of 5.95% Non-Cumulative Preferred Series D | $358,726,510 | $25 | $25.47 | 5.95% | N | 5.84% | 45,327 | SCHW | Charles Schwab Corporation | Common stocks | $119,885,299,917 | Analyze |
SF-A | Stifel Financial ADRs of 6.25% Non-Cumulative Preferred Series A | $152,820,000 | $25 | $25.47 | 6.25% | N | 6.13% | 13,215 | SF | Stifel Financial Corp | Common stocks | $6,973,268,231 | Analyze |
SF-B | Stifel Financial ADRs of 6.25% Non-Cumulative Preferred Series B | $160,739,400 | $25 | $26.79 | 6.25% | N | 5.83% | 9,219 | SF | Stifel Financial Corp | Common stocks | $6,973,268,231 | Analyze |
SF-C | Stifel Financial ADRs of 6.125% Non Cumulative Preferred, Series C | $219,040,000 | $25 | $27.38 | 6.13% | N | 5.59% | 0 | SF | Stifel Financial Corp | Common stocks | $6,973,268,231 | Analyze |
SHO-E | Sunstone Hotel 6.950% Series E Cumulative Preferred Stock | $114,540,000 | $25 | $24.90 | 6.95% | N | 6.98% | 9,059 | SHO | Sunstone Hotel Investors, Inc | REITs | $2,694,917,513 | Analyze |
SHO-F | Sunstone Hotel 6.450% Series F Cumulative Preferred Stock | $74,971,800 | $25 | $24.99 | 6.45% | N | 6.45% | 3,874 | SHO | Sunstone Hotel Investors, Inc | REITs | $2,694,917,513 | Analyze |
SIGIP | Selective Insurance Group, Inc. ADRs of 4.60% Non-Cumulative Preferred, Series B | $192,240,000 | $25 | $24.03 | 4.60% | N | 4.79% | 41,066 | SIGI | Selective Insurance Group Inc | Common stocks | $4,110,313,453 | Analyze |
SITC-A | SITE Centers Corp. 6.375% Class A Cumulative Preferred Shares | $178,850,000 | $25 | $25.55 | 6.38% | N | 6.24% | 10,517 | SITC | SITE Centers Corp | REITs | $2,473,249,585 | Analyze |
SITC-K | SITE Centers Corp. ADRs of 6.25% Cumulative Preferred Class K | $151,380,000 | $25 | $25.23 | 6.25% | N | 6.19% | 8,340 | SITC | SITE Centers Corp | REITs | $2,473,249,585 | Analyze |
SIVBP | SVB Financial Group ADRs of 5.25% Non-Cumulative Preferred Stock, Series A | $362,320,000 | $25 | $25.88 | 5.25% | N | 5.07% | 19,247 | SIVB | SVB Financial Group | Common stocks | $26,999,135,168 | Analyze |
SLG-I | SL Green Realty 6.50% Series I cumulative preferred stock | $202,400,000 | $25 | $25.30 | 6.50% | N | 6.42% | 10,210 | SLG | SL Green Realty Corp | REITs | $4,889,926,953 | Analyze |
SLMBP | SLM Corp Floating Rate Non-Cumulative Preferred Stock Series B | $213,320,000 | $100 | $53.33 | 0.00% | Y | 3.60% | 4,706 | SLM | Sallie Mae | Common stocks | $5,782,375,991 | Analyze |
SNV-D | Synovus Financial Fixed-to-Floating Rate Non-Cumulative Preferred Series D | $208,570,400 | $25 | $26.07 | 6.30% | Y | 6.04% | 9,048 | SNV | Synovus Financial Corp | Common stocks | $6,491,651,378 | Analyze |
SNV-E | Synovus Financial Corp. 5.875% Fixed-Rate Reset Non-Cumulative Perpetual Preferred Stock, Series E | $366,800,000 | $25 | $26.20 | 5.88% | Y | 5.61% | 17,777 | SNV | Synovus Financial Corp | Common stocks | $6,491,651,378 | Analyze |
SOHOB | Sotherly Hotels 8.0% Series B Cumulative Preferred Stock | $30,251,900 | $25 | $18.79 | 8.00% | N | 10.64% | 5,972 | SOHO | Sotherly Hotels Inc | REITs | $58,036,941 | Analyze |
SOHON | Sotherly Hotels 8.25% Series D Cumulative Preferred | $21,600,000 | $25 | $20.00 | 8.25% | N | 10.31% | 4,845 | SOHO | Sotherly Hotels Inc | REITs | $58,036,941 | Analyze |
SOHOO | Sotherly Hotels 7.875% Series C Cumulative Preferred Stock | $22,224,000 | $25 | $18.52 | 7.88% | N | 10.63% | 3,732 | SOHO | Sotherly Hotels Inc | REITs | $58,036,941 | Analyze |
SPE-B | Special Opportunities Fund 3.50% Convertible Preferred Series B | $53,568,808 | $25 | $27.70 | 3.50% | N | 3.16% | 7,561 | SPE | Special Opportunities Fund CEF | Closed end funds | $124,879,220 | Analyze |
SPG-J | Simon Property Group 8 3/8% Series J Cumulative Preferred | $54,861,900 | $50 | $68.84 | 8.38% | N | 6.08% | 2,128 | SPG | Simon Property Group, Inc | REITs | $36,686,144,699 | Analyze |
SPKEP | Spark Energy 8.75% Series A Fixed-to-Floating Rate Cumulative Preferred | $35,490,000 | $25 | $25.35 | 8.75% | Y | 8.63% | 11,328 | SPKE | Spark Energy Inc Class A | Common stocks | $145,980,294 | Analyze |
SPLP-A | Steel Partners Holdings LP 6.0% Series A Cumulative Preferred Units | $146,222,541 | $25 | $20.71 | 6.00% | N | 7.24% | 7,227 | SPLP | Steel Partners Holdings LP | MLPs | $337,019,930 | Analyze |
SR-A | Spire Inc. ADRs of 5.90% Series A Cumulative Redeemable Perpetual Preferred Stock | $268,500,000 | $25 | $26.85 | 5.90% | N | 5.49% | 21,276 | SR | Spire Inc | Common stocks | $3,451,708,786 | Analyze |
SRC-A | Spirit Realty 6.000% Series A Cumulative Preferred Stock | $181,470,000 | $25 | $26.30 | 6.00% | N | 5.70% | 7,900 | SRC | Spirit Realty Capital, Inc | REITs | $4,837,984,028 | Analyze |
SRE-B | Sempra Energy 6.75% Mandatory Convertible Preferred Stock, Series B | $565,775,275 | $100 | $98.40 | 6.75% | N | 6.86% | 32,443 | SRE | Sempra Energy | Common stocks | $35,442,527,637 | Analyze |
SRG-A | Seritage Growth Properties 7.00% Series A Cumulative Preferred | $59,752,000 | $25 | $21.34 | 7.00% | N | 8.20% | 7,741 | SRG | Seritage Growth Properties | REITs | $801,104,403 | Analyze |
STAG-C | Stag Industrial Inc. 6.875% Series C Cumulative Preferred | $76,179,000 | $25 | $25.39 | 6.88% | N | 6.77% | 7,163 | STAG | STAG Industrial, Inc | REITs | $5,064,031,120 | Analyze |
STAR-D | iStar Inc. Series D Cumulative Redeemable Preferred Stock | $101,600,000 | $25 | $25.40 | 8.00% | N | 7.87% | 3,545 | STAR | iStar Inc. | Mortgage REITs | $1,297,930,636 | Analyze |
STAR-G | iStar Inc. Series G Cumulative Redeemable Preferred Stock | $80,768,000 | $25 | $25.24 | 7.65% | N | 7.58% | 2,444 | STAR | iStar Inc. | Mortgage REITs | $1,297,930,636 | Analyze |
STAR-I | iStar Inc. Series I Cumulative Redeemable Preferred Stock | $126,250,000 | $25 | $25.25 | 7.50% | N | 7.43% | 6,861 | STAR | iStar Inc. | Mortgage REITs | $1,297,930,636 | Analyze |
STL-A | Sterling Bancorp ADRs of 6.50% Non-Cumulative Preferred Series A | $140,184,000 | $25 | $25.96 | 6.50% | N | 6.26% | 8,399 | STL | Sterling Bancorp | Common stocks | $4,323,856,278 | Analyze |
STRRP | Star Equity Holdings, Inc. - 10% Series A Cumulative Perpetual Preferred Stock | $18,217,708 | $10 | $9.51 | 10.00% | N | 10.52% | 670 | STRR | Star Equity Holdings, Inc. | Common stocks | $15,707,013 | Analyze |
STT-D | State Street Corporation ADRs of Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series D | $823,800,000 | $25 | $27.46 | 5.90% | Y | 5.37% | 59,574 | STT | State Street Corp | Common stocks | $27,098,103,080 | Analyze |
STT-G | State Street Corporation ADRs of Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series G | $559,000,000 | $25 | $27.95 | 5.35% | Y | 4.78% | 27,491 | STT | State Street Corp | Common stocks | $27,098,103,080 | Analyze |
SYF-A | Synchrony Financial ADRs of 5.625% Fixed Rate Non-Cumulative Preferred, Series A | $779,700,000 | $25 | $25.99 | 5.63% | N | 5.41% | 50,282 | SYF | Synchrony Financial | Common stocks | $23,098,364,206 | Analyze |
T-A | AT&T Inc. ADRs of 5.000% Cumulative Preferred Stock, Series A | $1,222,080,000 | $25 | $25.46 | 5.00% | N | 4.91% | 125,298 | T | AT&T Inc. | Common stocks | $201,258,365,857 | Analyze |
T-C | AT&T Inc. ADRs of 4.750% Cumulative Preferred Stock, Series C | $1,733,900,000 | $25 | $24.77 | 4.75% | N | 4.79% | 300,043 | T | AT&T Inc. | Common stocks | $201,258,365,857 | Analyze |
TBKCP | Triumph Bancorp, Inc. ADRs of Series C 7.125% Fixed-Rate Non-Cumulative Preferred | $49,158,000 | $25 | $27.31 | 7.13% | N | 6.52% | 3,116 | TBK | Triumph Bancorp Inc | Common stocks | $2,021,587,011 | Analyze |
TCBIP | Texas Capital Bancshares Inc. 6.5% Non Cumulative Preferred Perpetual Stock Series A | $151,140,000 | $25 | $25.19 | 6.50% | N | 6.45% | 12,242 | TCBI | Texas Capital Bancshares Inc | Common stocks | $3,960,176,466 | Analyze |
TCFCP | TCF Financial Corporation ADRs of 5.70% Series C Non-Cumulative Preferred | $180,040,000 | $25 | $25.72 | 5.70% | N | 5.54% | 9,190 | TCF | TCF Financial Corp | Common stocks | $7,059,504,432 | Analyze |
TECTP | Tectonic Financial, Inc. - 9.00% Fixed-to-Floating Rate Series B Non-Cumulative Perpetual Preferred | $14,220,000 | $10 | $9.48 | 9.00% | Y | 9.49% | 1,482 | n/a | Not a public company | $0 | Analyze | |
TFC-H | Truist Financial Corporation ADRs of 5.625% Non-Cumulative Series H | $470,208,000 | $25 | $25.28 | 5.63% | N | 5.56% | 36,380 | TFC | Truist Financial Corporation | Common stocks | $78,541,373,090 | Analyze |
TFC-I | Truist Financial Corporation ADRs of 4% Floating Rate Series I Non-Cumulative Preferred | $175,063,808 | $25 | $25.37 | 4.00% | Y | 3.94% | 8,620 | TFC | Truist Financial Corporation | Common stocks | $78,541,373,090 | Analyze |
TFC-O | Truist Financial ADRs of 5.25% Series O Non-Cumulative Perpetual Preferred | $541,400,000 | $25 | $27.07 | 5.25% | N | 4.85% | 0 | TFC | Truist Financial Corporation | Common stocks | $78,541,373,090 | Analyze |
TFC-R | Truist Financial Corporation ADRs of 4.75% Series R Non-Cumulative Perpetual Preferred Stock | $949,420,000 | $25 | $25.66 | 4.75% | N | 4.63% | 0 | TFC | Truist Financial Corporation | Common stocks | $78,541,373,090 | Analyze |
TGP-A | Teekay LNG Partners L.P. 9.00% Series A Cumulative Preferred Units | $147,200,000 | $25 | $25.60 | 9.00% | N | 8.79% | 13,502 | TGP | Teekay LNG Partners LP | MLPs | $1,209,409,332 | Analyze |
TGP-B | Teekay LNG Partners L.P. 8.50% Series B Fixed-to-Floating Rate Cumulative Preferred Units | $177,330,000 | $25 | $25.70 | 8.50% | Y | 8.27% | 17,491 | TGP | Teekay LNG Partners LP | MLPs | $1,209,409,332 | Analyze |
TNP-D | Tsakos Energy 8.75% Series D Cumulative Preferred | $79,730,000 | $25 | $23.45 | 8.75% | N | 9.33% | 7,912 | TNP | Tsakos Energy Navigation Ltd | Common stocks | $172,410,030 | Analyze |
TNP-E | Tsakos Energy Series E Fixed-to-Floating Rate Cumulative Preferred | $92,920,000 | $25 | $23.23 | 9.25% | Y | 9.95% | 0 | TNP | Tsakos Energy Navigation Ltd | Common stocks | $172,410,030 | Analyze |
TNP-F | Tsakos Energy Series F Fixed-to-Floating Rate Cumulative Preferred | $122,364,000 | $25 | $22.66 | 9.50% | Y | 10.48% | 19,525 | TNP | Tsakos Energy Navigation Ltd | Common stocks | $172,410,030 | Analyze |
TRTN-A | Triton International 8.50% Series A Cumulative Preference Shares | $83,996,700 | $25 | $28.00 | 8.50% | N | 7.59% | 5,558 | TRTN | Triton International Ltd | Common stocks | $3,887,129,937 | Analyze |
TRTN-B | Triton International Limited 8.00% Series B Cumulative Redeemable Perpetual Preference Shares | $134,550,000 | $25 | $26.91 | 8.00% | N | 7.43% | 0 | TRTN | Triton International Ltd | Common stocks | $3,887,129,937 | Analyze |
TRTN-C | Triton International Limited 7.375% Series C Cumulative Redeemable Perpetual Preferred | $183,260,000 | $25 | $26.18 | 7.38% | N | 7.04% | 9,399 | TRTN | Triton International Ltd | Common stocks | $3,887,129,937 | Analyze |
TRTN-D | Triton International 6.875% Series D Cumulative Preference Shares | $154,860,000 | $25 | $25.81 | 6.88% | N | 6.66% | 15,359 | TRTN | Triton International Ltd | Common stocks | $3,887,129,937 | Analyze |
TSCAP | TriState Capital Holdings, Inc. ADRs of 6.75% Fixed-to-Floating Rate Series A Non-Cumulative Perpetual Preferred Stock | $37,240,000 | $25 | $26.60 | 6.75% | Y | 6.34% | 1,213 | TSC | Tristate Capital Holdings Inc | Common stocks | $776,912,280 | Analyze |
TSCBP | TriState Capital Holdings ADRs of 6.375% Fixed-to-Floating Rate Series B Non-Cumulative Perpetual Preferred Stock | $74,256,000 | $25 | $26.52 | 6.38% | Y | 6.01% | 4,008 | TSC | Tristate Capital Holdings Inc | Common stocks | $776,912,280 | Analyze |
TWO-A | Two Harbors 8.125% Series A Fixed-to-Floating Rate Cumulative Preferred | $145,475,000 | $25 | $25.30 | 8.13% | Y | 8.03% | 17,610 | TWO | Two Harbors Investment Corp | Mortgage REITs | $1,976,193,471 | Analyze |
TWO-B | Two Harbors Investments Corp 7.625% Series B Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock | $282,668,850 | $25 | $24.58 | 7.63% | Y | 7.76% | 23,758 | TWO | Two Harbors Investment Corp | Mortgage REITs | $1,976,193,471 | Analyze |
TWO-C | Two Harbors Investment Corp 7.25% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock | $279,896,000 | $25 | $23.72 | 7.25% | Y | 7.64% | 24,635 | TWO | Two Harbors Investment Corp | Mortgage REITs | $1,976,193,471 | Analyze |
TWO-D | Two Harbors 7.75% Series D Cumulative Preferred Stock | $75,765,000 | $25 | $25.26 | 7.75% | N | 7.67% | 0 | TWO | Two Harbors Investment Corp | Mortgage REITs | $1,976,193,471 | Analyze |
TWO-E | Two Harbors 7.50% Series E Cumulative Preferred Stock | $202,080,000 | $25 | $25.26 | 7.50% | N | 7.42% | 0 | TWO | Two Harbors Investment Corp | Mortgage REITs | $1,976,193,471 | Analyze |
TY- | Tri Continental Corporation $2.50 Cumulative Preferred Stock | $42,048,056 | $50 | $55.86 | 5.00% | N | 4.48% | 832 | TY | Tri-Continental Corporation CEF | US | $1,669,031,867 | Analyze |
UBP-H | Urstadt Biddle Properties Inc. 6.250% Series H Cumulative Preferred | $113,666,000 | $25 | $24.71 | 6.25% | N | 6.32% | 0 | UBP | Urstadt Biddle Properties Inc | REITs | $620,315,670 | Analyze |
UBP-K | Urstadt Biddle Properties Inc. 5.875% Series K Cumulative Redeemable Preferred | $98,000,000 | $25 | $24.50 | 5.88% | N | 5.99% | 3,922 | UBP | Urstadt Biddle Properties Inc | REITs | $620,315,670 | Analyze |
UCBIO | United Community Banks ADRs of 6.875% Series I Non-Cumulative Preferred Stock | $108,160,000 | $25 | $27.04 | 6.88% | N | 6.36% | 8,192 | UCBI | United Community Banks Inc | Common stocks | $2,917,808,459 | Analyze |
UMH-C | UMH Properties Inc. 6.75% Series C Cumulative Preferred Stock | $144,267,500 | $25 | $25.09 | 6.75% | N | 6.73% | 11,957 | UMH | UMH Properties, Inc | REITs | $726,162,726 | Analyze |
UMH-D | UMH Properties Inc 6.375% Series D Cumulative Preferred Stock | $49,319,200 | $25 | $24.66 | 6.38% | N | 6.46% | 33,474 | UMH | UMH Properties, Inc | REITs | $726,162,726 | Analyze |
USB-A | U.S. Bancorp ADRs of Series A Non-Cumulative Perpetual Preferred Stock | $1,137,500,000 | $1,000 | $910.00 | 7.19% | Y | 3.93% | 975 | USB | US Bancorp | Common stocks | $76,083,195,035 | Analyze |
USB-H | U.S. Bancorp ADRs of Series B Non-Cumulative Perpetual Preferred Stock | $934,000,000 | $25 | $23.35 | 3.50% | Y | 3.83% | 119,493 | USB | US Bancorp | Common stocks | $76,083,195,035 | Analyze |
USB-M | U.S. Bancorp ADRs of Series F Non-Cumulative Preferred Shares | $1,161,600,000 | $25 | $26.40 | 6.50% | Y | 6.16% | 243,820 | USB | US Bancorp | Common stocks | $76,083,195,035 | Analyze |
USB-P | U.S. Bancorp ADRs of 5.5% Series K Non-Cumulative Preferred Stock | $289,646,105 | $25 | $27.02 | 5.50% | N | 5.09% | 32,872 | USB | US Bancorp | Common stocks | $76,083,195,035 | Analyze |
USB-Q | U.S. Bancorp ADRS of Series L 3.75% Non-Cumulative Preferred Stock | $474,600,000 | $25 | $23.73 | 3.75% | N | 3.95% | 0 | USB | US Bancorp | Common stocks | $76,083,195,035 | Analyze |
USB-R | U.S. Bancorp ADRs of 4% Series M Non-Cumulative Perpetual Preferred Stock | $747,600,000 | $25 | $24.92 | 4.00% | N | 4.01% | 0 | USB | US Bancorp | Common stocks | $76,083,195,035 | Analyze |
VER-F | VEREIT Inc. 6.70% Series F Cumulative Redeemable Preferred Stock | $1,081,133,643 | $25 | $25.24 | 6.70% | N | 6.64% | 19,620 | VER | VEREIT, Inc | REITs | $8,945,898,441 | Analyze |
VLYPO | Valley National 5.5% Fixed to Floating Rate Series B Non-Cumulative Preferred | $101,560,000 | $25 | $25.39 | 5.50% | Y | 5.42% | 5,283 | VLY | Valley National | Common stocks | $5,110,709,449 | Analyze |
VLYPP | Valley National 6.25% Fixed-to-Floating Rate Series A Non-Cumulative Preferred | $123,050,000 | $25 | $26.75 | 6.25% | Y | 5.84% | 5,111 | VLY | Valley National | Common stocks | $5,110,709,449 | Analyze |
VNO-K | Vornado Realty 5.70% Series K Cumulative Preferred Shares | $303,600,000 | $25 | $25.30 | 5.70% | N | 5.63% | 15,378 | VNO | Vornado Realty Trust | REITs | $8,356,458,832 | Analyze |
VNO-L | Vornado Realty 5.40% Series L Cumulative Preferred Shares | $302,160,000 | $25 | $25.18 | 5.40% | N | 5.36% | 16,386 | VNO | Vornado Realty Trust | REITs | $8,356,458,832 | Analyze |
VNO-M | Vornado Realty 5.25% Series M Cumulative Preferred Shares | $321,672,600 | $25 | $25.17 | 5.25% | N | 5.21% | 19,089 | VNO | Vornado Realty Trust | REITs | $8,356,458,832 | Analyze |
VNO-N | Vornado Realty Trust 5.25% Series N Cumulative Preferred | $312,960,000 | $25 | $26.08 | 5.25% | N | 5.03% | 0 | VNO | Vornado Realty Trust | REITs | $8,356,458,832 | Analyze |
VOYA-B | Voya Financial, Inc. ADRs of 5.35% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series B | $347,280,000 | $25 | $28.94 | 5.35% | Y | 4.62% | 0 | VOYA | Voya Financial Inc | Common stocks | $7,851,332,301 | Analyze |
WAFDP | Washington Federal ADRs of 4.875% Non-Cumulative Preferred Stock, Series A | $297,480,000 | $25 | $24.79 | 4.88% | N | 4.92% | 428,599 | WAFD | Washington Federal Inc | Common stocks | $2,324,553,153 | Analyze |
WBS-F | Webster Financial ADRs of 5.25% Series F Non-Cumulative Preferred | $151,980,000 | $25 | $25.33 | 5.25% | N | 5.18% | 9,885 | WBS | Webster Financial Corp | Common stocks | $5,177,218,107 | Analyze |
WCC-A | WESCO International, Inc. ADRs of 10.625% Series A Fixed-Rate Reset Cumulative Preferred | $667,796,401 | $25 | $30.90 | 10.63% | Y | 8.60% | 0 | WCC | Wesco International Inc | Common stocks | $4,294,675,413 | Analyze |
WFC-A | Wells Fargo ADRs of 4.7% Non-Cumulative Class A Preferred, Series AA | $1,184,508,000 | $25 | $25.31 | 4.70% | N | 4.64% | 0 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-C | Wells Fargo & Company ADRs of 4.375% Non-Cumulative Class A Preferred, Series CC | $989,200,000 | $25 | $24.73 | 4.38% | N | 4.42% | 0 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-L | Wells Fargo 7.50% Non-Cumulative Convertible Class A Preferred Series L | $4,968,180,000 | $1,000 | $1,419.48 | 7.50% | N | 5.28% | 14,097 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-N | Wells Fargo ADRs of 5.2% Non-Cumulative Preferred Class A Series N | $675,270,000 | $25 | $25.01 | 5.20% | N | 5.20% | 50,512 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-O | Wells Fargo ADRs of 5.125% Non-Cumulative Preferred Class A Series O | $605,280,000 | $25 | $25.22 | 5.13% | N | 5.08% | 41,585 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-P | Wells Fargo ADRs of 5.25% Non-Cumulative Class A Preferred Series P | $574,770,000 | $25 | $24.99 | 5.25% | N | 5.25% | 116,114 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-Q | Wells Fargo ADRs of Preferred Class A Series Q Fixed to Floating | $1,572,600,000 | $25 | $26.21 | 5.85% | Y | 5.58% | 147,893 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-R | Wells Fargo ADRs of Preferred Class A Series R Fixed To Floating | $836,100,000 | $25 | $27.87 | 6.63% | Y | 5.94% | 44,150 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-W | Wells Fargo ADRs of 5.7% Non-Cumulative Class A Preferred Series W | $448,506,819 | $25 | $25.02 | 5.70% | N | 5.70% | 204,805 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-X | Wells Fargo ADRs of 5.5% Non-Cumulative Class A Preferred Series X | $520,733,485 | $25 | $25.26 | 5.50% | N | 5.44% | 76,663 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-Y | Wells Fargo ADRs of 5.625% Non-Cumulative Class A Preferred Series Y | $319,711,176 | $25 | $25.75 | 5.63% | N | 5.47% | 34,186 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WFC-Z | Wells Fargo ADRs of 4.75% Non-Cumulative Perpetual Class A Preferred Stock, Series Z | $1,757,700,000 | $25 | $25.11 | 4.75% | N | 4.73% | 337,115 | WFC | Wells Fargo | Common stocks | $153,540,721,984 | Analyze |
WHLRD | Wheeler Real Estate Series D Cumulative Convertible Preferred | $168,000,000 | $25 | $17.50 | 6.38% | N | 9.11% | 8,123 | WHLR | Wheeler Real Estate Investment Trust, Inc | REITs | $32,698,379 | Analyze |
WHLRP | Wheeler Real Estate 9% Cumulative Series B Preferred Stock | $8,676,000 | $25 | $12.05 | 9.00% | N | 18.67% | 3,197 | WHLR | Wheeler Real Estate Investment Trust, Inc | REITs | $32,698,379 | Analyze |
WPG-H | Washington Prime 7.5% Series H Cumulative Preferred | $25,897,320 | $25 | $7.19 | 7.50% | N | 26.06% | 36,102 | WPG | Washington Prime Group Inc | REITs | $118,850,621 | Analyze |
WPG-I | Washington Prime 6.875% Series I Cumulative Preferred | $24,480,000 | $25 | $6.80 | 6.88% | N | 25.28% | 54,512 | WPG | Washington Prime Group Inc | REITs | $118,850,621 | Analyze |
WSBCP | WesBanco, Inc. ADRs of 6.75% Fixed-Rate Reset Non-Cumulative Preferred, Series A | $163,680,000 | $25 | $27.28 | 6.75% | Y | 6.19% | 26,502 | WSBC | Wesbanco Inc | Common stocks | $2,222,228,340 | Analyze |
WTFCM | Wintrust Financial Fixed-to-Floating Rate Non-Cumulative Preferred Series D | $133,250,000 | $25 | $26.65 | 6.50% | Y | 6.15% | 6,914 | WTFC | Wintrust Financial Corp | Common stocks | $4,300,408,680 | Analyze |
WTFCP | Wintrust Financial ADRs of 6.875% Fixed-Rate Reset Non-Cumulative Preferred, Series E | $278,300,000 | $25 | $27.83 | 6.88% | Y | 6.18% | 15,238 | WTFC | Wintrust Financial Corp | Common stocks | $4,300,408,680 | Analyze |
WTREP | Watford Holdings Ltd. - 8.5% Cumulative Redeemable Preference Shares | $232,522,380 | $25 | $25.65 | 8.50% | Y | 7.55% | 6,683 | WTRE | Watford Holdings Ltd. | Common stocks | $689,083,822 | Analyze |
WVVIP | Willamette Valley Vineyards Series A Redeemable Preferred | $7,373,493 | $4 | $5.10 | 5.30% | N | 4.31% | 1,860 | WVVI | Willamette Valley Vineyards Inc | Common stocks | $38,827,581 | Analyze |
XOMAP | XOMA Corporation - 8.625% Series A Cumulative Perpetual Preferred Stock | $22,528,000 | $25 | $25.60 | 8.63% | N | 8.42% | 3,443 | XOMA | Xoma Corp | Common stocks | $399,001,577 | Analyze |
YCBD-A | cbdMD, Inc. 8.0% Series A Cumulative Convertible Preferred Stock | $4,460,000 | $10 | $8.92 | 8.00% | N | 8.97% | 29,160 | YCBD | cbdMD, Inc. | Common stocks | $207,056,967 | Analyze |
ZIONN | Zions Bancorporation N.A. ADRs of Series H 5.75% Non-Cumulative Perpetual Preferred Stock | $130,007,785 | $25 | $25.75 | 5.75% | N | 5.58% | 5,250 | ZION | Zions Bancorporation | Common stocks | $8,906,972,784 | Analyze |
ZIONO | Zions Bancorporation N.A. ADRs of Series G Fixed/Floating-Rate Non-Cumulative Perpetual Preferred | $180,005,729 | $25 | $26.19 | 6.30% | Y | 6.01% | 9,446 | ZION | Zions Bancorporation | Common stocks | $8,906,972,784 | Analyze |
ZIONP | Zions Bancorporation N.A. ADRs of Series A Floating-Rate Non-Cumulative Perpetual Preferred | $239,136,000 | $25 | $24.91 | 4.00% | Y | 4.01% | 3,357 | ZION | Zions Bancorporation | Common stocks | $8,906,972,784 | Analyze |
TOTAL | 576 | $181,094,027,784 | 5.54% |
Data is current as of yesterday.
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