BOND | PIMCO Active Bond ETF | | 02/29/2012 | US Fixed Income | Broad market | Investment grade | | US72201R7750 | | 3,262,804,500 | USD | Analyze
|
GDIV | Harbor ETF Trust Harbor Dividend Growth Leaders ETF | | 05/23/2022 | | | | | | | 154,726,029 | USD | Analyze
|
HGER | Harbor All-Weather Inflation Focus ETF | | 02/10/2022 | Commodities | Broad market | Varied term futures | Unknown | | | 69,161,600 | USD | Analyze
|
THLV | THOR Financial Technologies Trust THOR Low Volatility ETF | | 09/13/2022 | | | | | | | 118,413,480 | USD | Analyze
|
WINN | Harbor Long-Term Growers ETF | | 02/03/2022 | US Equity | Broad market | Large and mid cap | | | | 103,604,678 | USD | Analyze
|
ACP | Aberdeen Income Credit Strategies Fund CEF | | 01/27/2011 | Global Fixed Income | Global | Corporate bonds | Information Technology | PLSOFTB00016 | 5978953 | 160,538,876 | USD | Analyze
|
ACV | Allianzgi Diversified Income & Convertible Fund CEF | | 05/22/2015 | Asset Allocation | US | Moderate | Financials | | | 196,792,496 | USD | Analyze
|
ADX | Adams Diversified Equity Fund, Inc. CEF | | 01/01/1929 | US Equity | Broad market | Large cap | Financials | ES0136463017 | 7586945 | 1,814,578,066 | USD | Analyze
|
AFB | AllianceBernstein National Municipal Income Fund, Inc. CEF | | 01/29/2002 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 302,684,176 | USD | Analyze
|
AFT | Apollo Senior Floating Rate Fund Inc. CEF | | 02/24/2011 | US Fixed Income | Bank loans | Broad market | Financials | | | 193,423,802 | USD | Analyze
|
AGD | Aberdeen Global Dynamic Dividend Fund CEF | | 07/26/2006 | Global Equity | Global | Large and mid cap | Financials | | | 113,322,725 | USD | Analyze
|
AIF | Apollo Tactical Income Fund Inc. CEF | | 02/26/2013 | US Fixed Income | Broad market | Unconstrained | Financials | CA02215R1073 | B67M8D9 | 171,832,629 | USD | Analyze
|
AIO | AllianzGI Artificial Intelligence & Technology Opportunities Fund CEF | | 10/29/2019 | US Equity | Single industry | Information technology | | | | 575,211,281 | USD | Analyze
|
AOD | Aberdeen Total Dynamic Dividend Fund CEF | | 01/26/2007 | Global Equity | Global | Large and mid cap | Financials | | | 819,587,354 | USD | Analyze
|
ARDC | Ares Dynamic Credit Allocation Fund, Inc. CEF | | 11/28/2012 | US Fixed Income | Broad market | Unconstrained | Financials | | | 274,520,969 | USD | Analyze
|
ASA | ASA Gold&Precious Metals CEF | | 01/03/1978 | Global Equity | Single industry | Natural resources | Consumer Staples | NO0010768500 | BDFG5D1 | 305,359,196 | USD | Analyze
|
ASG | Liberty All-Star Growth Fund, Inc. CEF | | 03/14/1986 | US Equity | Broad Market | Multi-cap | Financials | | | 285,483,040 | USD | Analyze
|
ASGI | Aberdeen Standard Global Infrastructure Income CEF | | 07/29/2020 | Global Equity | Single industry | Infrastructure | | | | 152,483,100 | USD | Analyze
|
AVK | Advent Claymore Convertible Securities and Income Fund CEF | | 04/30/2003 | US Fixed Income | Broad market | Unconstrained | Financials | | | 386,412,400 | USD | Analyze
|
AWF | AllianceBernstein Global High Income Fund, Inc. CEF | | 07/29/1993 | Global Fixed Income | Global | High yield | Financials | | | 823,493,415 | USD | Analyze
|
AWP | Alpine Global Premier Properties Fund CEF | | 04/26/2007 | Global Equity | Single sector | Real estate | Financials | | | 321,987,975 | USD | Analyze
|
BBN | Blackrock Taxable Municipal Bond Trust CEF | | 08/27/2010 | US Fixed Income | Municipal bonds | Taxable | Financials | US09248X1000 | B680JB7 | 1,002,449,531 | USD | Analyze
|
BCAT | BlackRock Capital Allocation Trust CEF | | 09/25/2020 | Asset Allocation | US | Moderate | Unknown | | | 1,639,494,379 | USD | Analyze
|
BCX | Blackrock Resources & Commodities Strategy Trust CEF | | 03/29/2011 | Global Equity | Single industry | Natural resources | Financials | US09257A1088 | | 830,459,005 | USD | Analyze
|
BDJ | Blackrock Enhanced Equity Dividend Trust CEF | | 08/26/2005 | US Equity | Broad market | Large and mid cap | Financials | US09251A1043 | B0J2MX3 | 1,552,851,113 | USD | Analyze
|
BFK | Blackrock Municipal Income Trust CEF | | 07/27/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09248F1093 | 2784034 | 443,961,221 | USD | Analyze
|
BFZ | Blackrock California Municipal Income Trust CEF | | 07/27/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09248E1029 | 2784205 | 355,412,955 | USD | Analyze
|
BGB | Blackstone/GSO Strategic Credit Fund CEF | | 09/26/2012 | US Fixed Income | Broad market | Unconstrained | Financials | | | 469,422,644 | USD | Analyze
|
BGH | Barings Global Short Duration High Yield Fund CEF | | 08/04/2006 | Global Fixed Income | Global | High yield | Financials | | | 253,412,273 | USD | Analyze
|
BGR | Blackrock Energy and Resources Trust CEF | | 12/23/2004 | Global Equity | Single industry | Natural resources | Financials | US09250U1016 | B059238 | 347,465,048 | USD | Analyze
|
BGT | Blackrock Floating Rate Income Trust CEF | | 08/26/2004 | US Fixed Income | Bank loans | Broad market | Financials | US0919411043 | B02NLT2 | 244,958,716 | USD | Analyze
|
BGX | Blackstone/GSO Long-Short Credit Income Fund CEF | | 01/27/2011 | US Fixed Income | Bank loans | Broad market | Financials | | | 137,249,359 | USD | Analyze
|
BGY | Blackrock Enhanced International Dividend Trust CEF | | 05/25/2007 | Global Equity | Global ex-US | Large and mid cap | Financials | US0925241079 | B1Z5L03 | 555,697,687 | USD | Analyze
|
BHK | Blackrock Core Bond Trust CEF | | 11/28/2001 | US Fixed Income | Broad market | Investment grade | Financials | US09249E1010 | 2823380 | 574,409,092 | USD | Analyze
|
BHV | Blackrock Virginia Municipal Bond Trust CEF | | 04/26/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | US0924811005 | 2888679 | 17,764,665 | USD | Analyze
|
BIGZ | BlackRock Innovation and Growth Trust CEF | | 03/26/2021 | Alternatives | Options | Broad | Unknown | | | 1,764,132,046 | USD | Analyze
|
BIT | Blackrock Multi-Sector Income Trust CEF | | 02/26/2013 | US Fixed Income | Broad market | Unconstrained | Financials | US09258A1079 | B98XM30 | 534,190,156 | USD | Analyze
|
BKN | Blackrock Investment Quality Municipal Trust CEF | | 02/23/1993 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09247D1054 | 2538640 | 199,871,540 | USD | Analyze
|
BKT | Blackrock Income Trust CEF | | 07/25/1988 | US Fixed Income | Mortgage backed | Investment grade | Financials | US09247F1003 | 2086956 | 820,430,860 | USD | Analyze
|
BLE | Blackrock Municipal Income Trust II CEF | | 07/26/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09249N1019 | 2971795 | 244,478,033 | USD | Analyze
|
BLW | Blackrock Limited Duration Income Trust CEF | | 07/29/2003 | Global Fixed Income | Global | Broad market | Financials | US09249W1018 | 2927130 | 447,462,000 | USD | Analyze
|
BME | Blackrock Health Sciences Trust CEF | | 03/29/2005 | US Equity | Single sector | Health care | Consumer Discretionary | US09250W1071 | B06Y5M2 | 523,496,823 | USD | Analyze
|
BMEZ | BlackRock Health Sciences Trust II CEF | | 01/29/2020 | US Equity | Single sector | Health care | Unknown | | | 1,714,834,737 | USD | Analyze
|
BNY | Blackrock New York Municipal Income Trust CEF | | 07/27/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09248L1061 | 2784001 | 131,058,347 | USD | Analyze
|
BOE | Blackrock Enhanced Global Dividend Trust CEF | | 05/26/2005 | Global Equity | Global | Large and mid cap | Financials | US0925011050 | B09DC69 | 630,761,674 | USD | Analyze
|
BRW | Saba Capital Income & Opportunities Fund CEF | | 06/07/2021 | US Fixed Income | Bank loans | Broad market | Financials | GB0001765816 | 0176581 | 958,732,505 | USD | Analyze
|
BSL | Blackstone/GSO Senior Floating Rate Term Fund CEF | | 04/25/2008 | US Fixed Income | Bank loans | Broad market | Materials | | | 163,517,360 | USD | Analyze
|
BST | Blackrock Science and Technology Trust CEF | | 10/29/2014 | Global Equity | Single sector | Information technology | Financials | US09258G1040 | BS7T2D2 | 761,951,468 | USD | Analyze
|
BSTZ | Science and Technology Trust II CEF | | 06/26/2019 | Global Equity | Global | Large and mid cap | Unknown | | | 1,325,186,655 | USD | Analyze
|
BTA | Blackrock Long-Term Municipal Advantage Trust CEF | | 02/24/2006 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09250B1035 | B0ZKLK1 | 127,278,736 | USD | Analyze
|
BTO | John Hancock Financial Opportunities Fund CEF | | 08/17/1994 | Global Equity | Single sector | Financials | Materials | CA11777Q2099 | B29VFC4 | 541,345,557 | USD | Analyze
|
BTT | Blackrock Municipal 2030 Target Term Trust CEF | | 08/29/2012 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09257P1057 | B848K05 | 1,493,307,994 | USD | Analyze
|
BTZ | Blackrock Credit Allocation Income Trust CEF | | 12/22/2006 | US Fixed Income | Corporate bonds | Unconstrained | Financials | US0925081004 | B1LBMH9 | 949,746,630 | USD | Analyze
|
BUI | Blackrock Utilities, Infrastructure, & Power Opportunities CEF | | 11/23/2011 | Global Equity | Global | Large and mid cap | Financials | US09248D1046 | B79LZG3 | 419,463,632 | USD | Analyze
|
BWG | Legg Mason BW Global Income Opportunities Fund CEF | | 03/28/2012 | Global Fixed Income | Global | Broad market | Financials | | | 130,472,566 | USD | Analyze
|
BXMX | Nuveen S&P 500 Buy-Write Income Fund CEF | | 10/27/2004 | Alternatives | Options | Covered calls | Financials | | | 1,326,066,303 | USD | Analyze
|
BYM | Blackrock Municipal Income Quality Trust CEF | | 10/29/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | US0924791041 | 2047179 | 290,733,066 | USD | Analyze
|
CAF | Morgan Stanley China A Share Fund, Inc. CEF | | 09/28/2006 | Global Equity | Single country | Multi-cap | Financials | ES0121975009 | BYX98X0 | 311,373,247 | USD | Analyze
|
CBH | AllianzGI Convertible & Income 2024 Target Term Fund CEF | | 06/28/2017 | US Fixed Income | Broad market | Unconstrained | Financials | | | 156,519,026 | USD | Analyze
|
CEE | Central and Eastern Europe Fund CEF | | 02/28/1990 | Global Equity | Europe | Large and mid cap | Financials | | | 51,705,446 | USD | Analyze
|
CEM | ClearBridge MLP and Midstream Fund CEF | | 01/02/2001 | Special Security Types | MLPs | Energy | Financials | NL0013995087 | BKRWS93 | 398,939,840 | USD | Analyze
|
CEN | Center Coast MLP & Energy Infrastructure Fund CEF | | 09/26/2013 | Special Security Types | MLPs | Energy | Utilities | NZCENE0001S6 | 6152529 | 574,220,979 | USD | Analyze
|
CHN | The China Fund, Inc. CEF | | 07/10/1992 | Global Equity | Single country | Large and mid cap | Financials | AU000000CHN7 | B0ZGW28 | 129,305,026 | USD | Analyze
|
CIF | MFS Intermediate High Income Fund CEF | | 10/05/1988 | US Fixed Income | Corporate bonds | High yield | Financials | | | 32,393,960 | USD | Analyze
|
CII | Blackrock Enhanced Capital and Income Fund CEF | | 04/28/2004 | US Equity | Broad market | Large and mid cap | Financials | US09256A1097 | B00ZQG2 | 754,917,154 | USD | Analyze
|
CMU | MFS High Yield Municipal Trust CEF | | 03/19/1987 | US Fixed Income | Municipal bonds | High yield | Financials | | | 88,091,727 | USD | Analyze
|
CTR | ClearBridge Energy MLP and Midstream Total Return Fund Inc. CEF | | 01/02/2001 | US Equity | Single sector | Energy | Financials | | | 182,891,080 | USD | Analyze
|
CXE | MFS High Income Municipal Trust CEF | | 06/30/1989 | US Fixed Income | Municipal bonds | High yield | Financials | | | 109,709,690 | USD | Analyze
|
CXH | MFS Investment Grade Municipal Trust CEF | | 06/30/1989 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 65,138,252 | USD | Analyze
|
DBL | DoubleLine Opportunistic Credit Fund CEF | | 01/27/2012 | US Fixed Income | Broad market | Unconstrained | Industrials | INE917M01012 | BYY7XH2 | 224,815,434 | USD | Analyze
|
DCF | Dreyfus Alcentra Global Credit Income 2024 Target Term Fund, Inc. CEF | | 10/27/2017 | US Fixed Income | Broad market | Unconstrained | Financials | | | 108,755,264 | USD | Analyze
|
DDF | Delaware Investments Dividend & Income Fund CEF | | 10/27/1994 | US Equity | Broad Market | Multi-cap | Financials | | | 58,605,917 | USD | Analyze
|
DEX | Delaware Enhanced Global Dividend and Income Fund CEF | | 06/27/2007 | Asset Allocation | Global | Aggressive | Financials | | | 87,315,550 | USD | Analyze
|
DFP | Flaherty & Crumrine Dynamic Preferred and Income Fund Incorporated CEF | | 05/24/2013 | Special Security Types | Preferred stock | Global | Financials | | | 346,683,753 | USD | Analyze
|
DHF | Dreyfus High Yield Strategies Fund CEF | | 04/27/1998 | US Fixed Income | Corporate bonds | High yield | Financials | | | 155,656,183 | USD | Analyze
|
DIAX | Nuveen Dow 30 Dynamic Overwrite Fund CEF | | 12/03/2014 | Alternatives | Options | Covered calls | Financials | | | 519,319,532 | USD | Analyze
|
DLY | DoubleLine Yield Opportunities Fund CEF | | 02/26/2020 | US Fixed Income | Broad market | Unconstrained | | | | 641,514,523 | USD | Analyze
|
DMA | Destra Multi-Alternative Fund CEF | | 01/13/2022 | Asset Allocation | US | Moderate | Unknown | | | 0 | USD | Analyze
|
DMB | Dreyfus Municipal Bond Infrastructure Fund, Inc. CEF | | 04/26/2013 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 199,445,095 | USD | Analyze
|
DMO | Western Asset Mortgage Defined Opportunity Fund Inc. CEF | | 02/24/2010 | US Fixed Income | Mortgage backed | Investment grade | Financials | | | 119,910,089 | USD | Analyze
|
DNP | DNP Select Income Fund Inc. CEF | | 01/21/1987 | US Equity | Single sector | Utilities | Consumer Staples | PLDINPL00011 | BD0YVN2 | 3,931,791,926 | USD | Analyze
|
DPG | Duff & Phelps Global Utility Income Fund Inc. CEF | | 07/27/2011 | US Equity | Single sector | Utilities | Financials | | | 458,905,539 | USD | Analyze
|
DSL | DoubleLine Income Solutions Fund CEF | | 04/26/2013 | US Fixed Income | Broad market | Unconstrained | Financials | | | 1,127,064,949 | USD | Analyze
|
DSM | Dreyfus Strategic Municipal Bond Fund, Inc. CEF | | 01/11/1990 | US Fixed Income | Municipal bonds | Investment grade | Materials | NL0000009827 | B0HZL93 | 279,725,752 | USD | Analyze
|
DSU | Blackrock Debt Strategies Fund CEF | | 03/30/1998 | US Fixed Income | Bank loans | Broad market | Financials | US09255R1032 | 2609320 | 432,543,695 | USD | Analyze
|
DTF | DTF Tax-Free Income CEF | | 11/15/1991 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 76,973,056 | USD | Analyze
|
DYFN | Angel Oak Dynamic Financial Strategies Income Term Trust CEF | | 06/26/2020 | US Fixed Income | Corporate bonds | Investment grade | Unknown | | | 70,354,250 | USD | Analyze
|
ECAT | BlackRock ESG Capital Allocation Trust of Beneficial Interest | | 09/28/2021 | Alternatives | Options | Broad | Unknown | | | 0 | USD | Analyze
|
ECC | Eagle Point Credit CEF | | 03/24/2014 | US Fixed Income | Bank loans | Broad market | Financials | | | 445,239,682 | USD | Analyze
|
EDD | Morgan Stanley Emerging Markets Domestic Debt Fund, Inc. CEF | | 04/24/2007 | Global Fixed Income | Emerging markets | Broad market | Financials | | | 298,263,758 | USD | Analyze
|
EDF | Stone Harbor Emerging Markets Income Fund CEF | | 08/22/2008 | Global Fixed Income | Emerging markets | Broad market | Utilities | FR0010242511 | B0NJJ17 | 73,519,243 | USD | Analyze
|
EDI | Stone Harbor Emerging Markets Total Income Fund CEF | | 10/26/2012 | Global Fixed Income | Emerging markets | Broad market | Financials | | | 51,810,353 | USD | Analyze
|
EEA | European Equity Fund CEF | | 11/05/1987 | Global Equity | Europe | Large and mid cap | Financials | | | 58,300,406 | USD | Analyze
|
EFL | Eaton Vance Floating-Rate 2022 Target Term Trust CEF | | 07/27/2017 | US Fixed Income | Bank loans | Broad market | Financials | | | 203,854,512 | USD | Analyze
|
EFR | Eaton Vance Senior Floating-Rate Trust CEF | | 11/25/2003 | US Fixed Income | Bank loans | Broad market | Financials | CA2926717083 | BFV4XV7 | 411,964,139 | USD | Analyze
|
EFT | Eaton Vance Floating-Rate Income Trust CEF | | 06/25/2004 | US Fixed Income | Bank loans | Broad market | Financials | | | 328,139,881 | USD | Analyze
|
EGF | Blackrock Enhanced Government Fund CEF | | 10/27/2005 | US Fixed Income | U.S. treasury bonds | Intermediate term | Financials | US09255K1088 | B0N49S9 | 44,982,377 | USD | Analyze
|
EHI | Western Asset Global High Income Fund Inc. CEF | | 07/29/2003 | Global Fixed Income | Global | Broad market | Financials | | | 163,874,484 | USD | Analyze
|
EIC | Eagle Point Income Company CEF | | 07/23/2019 | US Fixed Income | Mortgage backed | Unconstrained | Unknown | | | 106,233,307 | USD | Analyze
|
EMD | Western Asset Emerging Markets Debt Fund Inc. CEF | | 12/02/2003 | Global Fixed Income | Emerging markets | Broad market | Financials | | | 513,898,482 | USD | Analyze
|
EMF | Templeton Emerging Markets Fund CEF | | 01/11/1990 | Global Equity | Emerging markets | Large and mid cap | Financials | | | 181,117,170 | USD | Analyze
|
EMO | ClearBridge Energy Midstream Opportunity Fund Inc. CEF | | 12/20/2002 | US Equity | Single sector | Energy | Financials | | | 331,190,837 | USD | Analyze
|
EOD | Wells Fargo Global Dividend Opportunity Fund CEF | | 03/28/2007 | Asset Allocation | Global | Moderate | Financials | | | 187,301,372 | USD | Analyze
|
EOI | Eaton Vance Enhanced Equity Income Fund CEF | | 10/27/2004 | Alternatives | Options | Covered calls | Financials | | | 588,285,514 | USD | Analyze
|
EOS | Eaton Vance Enhanced Equity Income Fund II CEF | | 01/27/2005 | Alternatives | Options | Covered calls | Financials | AU000000EOS8 | 6293990 | 832,396,702 | USD | Analyze
|
EOT | Eaton Vance National Municipal Opportunities Trust CEF | | 05/27/2009 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 271,873,625 | USD | Analyze
|
ETB | Eaton Vance Tax-Managed Buy-Write Income Fund CEF | | 04/27/2005 | Alternatives | Options | Covered calls | Communication Services | | | 376,541,322 | USD | Analyze
|
ETG | Eaton Vance Tax-Advantaged Global Dividend Income Fund CEF | | 01/28/2004 | Asset Allocation | Global | Moderate | Financials | | | 1,161,289,257 | USD | Analyze
|
ETJ | Eaton Vance Risk-Managed Diversified Equity Income Fund CEF | | 07/27/2007 | Alternatives | Options | Broad | Financials | | | 509,474,528 | USD | Analyze
|
ETO | Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund CEF | | 04/28/2004 | Global Equity | Global | Large and mid cap | Communication Services | | | 343,659,254 | USD | Analyze
|
ETV | Eaton Vance Tax-Managed Buy-Write Opportunities Fund CEF | | 06/28/2005 | Alternatives | Options | Covered calls | Financials | | | 1,375,688,514 | USD | Analyze
|
ETW | Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund CEF | | 09/28/2005 | Alternatives | Options | Covered calls | Financials | | | 861,438,598 | USD | Analyze
|
ETX | Eaton Vance Municipal Income 2028 Term Trust CEF | | 03/26/2013 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 191,485,131 | USD | Analyze
|
ETY | Eaton Vance Tax-Managed Diversified Equity Income Fund CEF | | 11/28/2006 | Alternatives | Options | Covered calls | Financials | | | 1,725,022,472 | USD | Analyze
|
EVF | Eaton Vance Senior Income Trust CEF | | 10/28/1998 | US Fixed Income | Bank loans | Broad market | Financials | | | 92,605,165 | USD | Analyze
|
EVG | Eaton Vance Short Duration Diversified Income Fund CEF | | 02/24/2005 | Global Fixed Income | Global | Broad market | Financials | | | 135,332,039 | USD | Analyze
|
EVN | Eaton Vance Municipal Income Trust CEF | | 01/27/1999 | US Fixed Income | Municipal bonds | Investment grade | Utilities | | | 389,928,212 | USD | Analyze
|
EVT | Eaton Vance Tax-Advantaged Dividend Income Fund CEF | | 09/26/2003 | Asset Allocation | US | Moderate | Health Care | | | 1,572,327,008 | USD | Analyze
|
EXD | Eaton Vance Tax-Advantaged Bond and Options Strategies Fund CEF | | 06/25/2010 | Alternatives | Options | Broad | Financials | | | 92,288,275 | USD | Analyze
|
EXG | Eaton Vance Tax-Managed Global Diversified Equity Income Fund CEF | | 02/23/2007 | Alternatives | Options | Covered calls | Financials | | | 2,268,447,270 | USD | Analyze
|
FAM | First Trust/Aberdeen Global Opportunity Income Fund CEF | | 11/24/2004 | Global Fixed Income | Global | Broad market | Financials | | | 59,135,130 | USD | Analyze
|
FCT | First Trust Senior Floating Rate Income Fund II CEF | | 05/26/2004 | US Fixed Income | Bank loans | Broad market | Financials | IT0001415246 | BNG63V4 | 249,960,193 | USD | Analyze
|
FDEU | First Trust Dynamic Europe Equity Income Fund CEF | | 09/25/2015 | Global Equity | Europe | Multi-cap | Financials | | | 211,607,830 | USD | Analyze
|
FEI | First Trust MLP and Energy Income Fund CEF | | 11/28/2012 | US Equity | Single sector | Energy | Financials | | | 321,577,507 | USD | Analyze
|
FEO | First Trust/Aberdeen Emerging Opportunity Fund CEF | | 08/29/2006 | Asset Allocation | Emerging markets | Moderate | Financials | | | 47,821,463 | USD | Analyze
|
FFA | First Trust Enhanced Equity Income Fund CEF | | 08/27/2004 | Alternatives | Options | Covered calls | Real Estate | ZAE000248498 | BD9FS46 | 322,607,692 | USD | Analyze
|
FFC | Flaherty & Crumrine Preferred Securities Income Fund Incorporated CEF | | 01/29/2003 | Special Security Types | Preferred stock | U.S. | Financials | PK0053401011 | 6332741 | 642,058,304 | USD | Analyze
|
FGB | First Trust Specialty Finance and Financial Opportunities Fund CEF | | 05/25/2007 | US Equity | Single sector | Financials | Financials | | | 42,384,393 | USD | Analyze
|
FIF | First Trust Energy Infrastructure Fund CEF | | 01/02/2001 | US Equity | Single sector | Energy | Financials | | | 209,141,621 | USD | Analyze
|
FINS | Angel Oak Financial Strategies Income Term Trust CEF | | 05/29/2019 | US Fixed Income | Broad market | Investment grade | Unknown | | | 187,925,835 | USD | Analyze
|
FLC | Flaherty & Crumrine Total Return Fund Incorporated CEF | | 08/27/2003 | Special Security Types | Preferred stock | U.S. | Financials | VN000000FLC6 | B3QX973 | 148,486,858 | USD | Analyze
|
FMN | Federated Premier Municipal Income Fund CEF | | 12/20/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 120,385,013 | USD | Analyze
|
FMY | First Trust Mortgage Income Fund CEF | | 05/26/2005 | US Fixed Income | Mortgage backed | Investment grade | Financials | | | 47,818,855 | USD | Analyze
|
FOF | Cohen & Steers Closed-End Opportunity Fund, Inc. CEF | | 11/21/2006 | Special Security Types | Closed end funds | | Financials | | | 288,855,211 | USD | Analyze
|
FPF | First Trust Intermediate Duration Preferred & Income Fund CEF | | 05/24/2013 | Special Security Types | Preferred stock | Global | Financials | | | 906,024,144 | USD | Analyze
|
FPL | First Trust New Opportunities MLP & Energy Fund CEF | | 03/27/2014 | Special Security Types | MLPs | Energy | Financials | | | 129,900,036 | USD | Analyze
|
FRA | Blackrock Floating Rate Income Strategies Fund CEF | | 10/29/2003 | US Fixed Income | Bank loans | Broad market | Industrials | US09255X1000 | 2089438 | 406,341,571 | USD | Analyze
|
FSD | First Trust High Income Long/Short Fund CEF | | 09/28/2010 | Alternatives | Long/short debt | | Financials | | | 366,534,075 | USD | Analyze
|
FT | Franklin Universal Trust CEF | | 06/30/1989 | Asset Allocation | US | Moderate | Financials | | | 168,635,009 | USD | Analyze
|
FTHY | First Trust High Yield Opportunities 2027 Term Fund CEF | | 06/26/2020 | US Fixed Income | Corporate bonds | High yield | | | | 501,215,840 | USD | Analyze
|
GAB | The Gabelli Equity Trust Inc. CEF | | 08/21/1986 | US Equity | Broad market | Large and mid cap | Financials | | | 1,455,454,183 | USD | Analyze
|
GAM | General American Investors Fund CEF | | 07/01/1985 | US Equity | Broad market | Large and mid cap | Financials | CH0102659627 | B1WHVV3 | 907,065,689 | USD | Analyze
|
GBAB | Guggenheim Taxable Municipal Managed Duration Trust CEF | | 10/27/2010 | US Fixed Income | Municipal bonds | Taxable | Financials | | | 378,107,277 | USD | Analyze
|
GCV | Gabelli Convertible & Income Securities Fund CEF | | 07/03/1989 | Special Security Types | Convertible bonds | | Financials | | | 80,931,956 | USD | Analyze
|
GDL | The GDL Fund CEF | | 01/26/2007 | Alternatives | Market Neutral | | Financials | | | 106,849,178 | USD | Analyze
|
GDO | Western Asset Global Corporate Defined Opportunity Fund Inc. CEF | | 11/24/2009 | Global Fixed Income | Global | Broad market | Financials | | | 181,333,408 | USD | Analyze
|
GDV | The Gabelli Dividend & Income Trust CEF | | 11/25/2003 | US Equity | Broad Market | Multi-cap | Financials | | | 1,807,274,491 | USD | Analyze
|
GER | Goldman Sachs MLP and Energy Renaissance Fund CEF | | 09/26/2014 | Special Security Types | MLPs | Energy | Financials | | | 208,724,575 | USD | Analyze
|
GF | The New Germany Fund, Inc. CEF | | 01/25/1990 | Global Equity | Single country | Large and mid cap | Financials | | | 138,251,172 | USD | Analyze
|
GGT | The Gabelli Multimedia Trust Inc. CEF | | 12/19/1994 | US Equity | Single sector | Communication Services | Financials | | | 141,984,461 | USD | Analyze
|
GGZ | Gabelli Global Small & Mid Cap Value Trust CEF | | 06/12/2014 | Global Equity | Global ex-US | Multi-cap | Financials | | | 100,443,774 | USD | Analyze
|
GHY | Prudential Global High Yield Fund, Inc. CEF | | 12/21/2012 | Global Fixed Income | Global | High yield | Financials | | | 434,879,391 | USD | Analyze
|
GIM | Templeton Global Income Fund CEF | | 03/17/1988 | Global Fixed Income | Global | Broad market | Financials | | | 433,803,032 | USD | Analyze
|
GNT | GAMCO Natural Resources, Gold & Income Trust CEF | | 01/27/2011 | Alternatives | Options | Covered calls | Financials | | | 104,116,023 | USD | Analyze
|
GOF | Guggenheim Strategic Opportunities Fund CEF | | 07/27/2007 | Global Fixed Income | Global | Broad market | Financials | | | 1,816,749,666 | USD | Analyze
|
GRX | Gabelli Healthcare & Wellness CEF | | 06/19/2007 | US Equity | Single sector | Health care | Financials | | | 164,001,293 | USD | Analyze
|
GUG | Guggenheim Active Allocation Fund Common Shares of Beneficial Interest | | 11/24/2021 | US Equity | Closed end funds | | | | | 451,827,137 | USD | Analyze
|
GUT | The Gabelli Utility Trust CEF | | 07/12/1999 | US Equity | Single sector | Utilities | Financials | | | 383,493,954 | USD | Analyze
|
HEQ | John Hancock Hedged Equity & Income Fund CEF | | 05/26/2011 | Global Equity | Global | Large and mid cap | Financials | | | 134,664,268 | USD | Analyze
|
HFRO | Highland Floating Rate Opportunities Fund CEF | | 11/06/2017 | US Fixed Income | Bank loans | Broad market | Financials | | | 628,070,783 | USD | Analyze
|
HGLB | Highland Global Allocation CEF | | 01/05/1998 | Asset Allocation | Global | Aggressive | Financials | | | 200,809,228 | USD | Analyze
|
HIE | Miller/Howard High Income Equity Fund CEF | | 11/25/2014 | US Equity | Broad Market | Multi-cap | Financials | | | 177,561,413 | USD | Analyze
|
HIO | Western Asset High Income Opportunity Fund Inc. CEF | | 10/27/1994 | US Fixed Income | Corporate bonds | High yield | Financials | | | 360,426,025 | USD | Analyze
|
HIX | Western Asset High Income Fund II Inc. CEF | | 05/22/1998 | Global Fixed Income | Global | Corporate bonds | Financials | | | 310,657,262 | USD | Analyze
|
HPF | John Hancock Preferred Income Fund II CEF | | 11/26/2002 | Special Security Types | Preferred stock | U.S. | Financials | | | 319,062,928 | USD | Analyze
|
HPI | John Hancock Preferred Income Fund CEF | | 08/23/2002 | Special Security Types | Preferred stock | U.S. | Financials | AU000000HPI9 | BGSHGN9 | 402,089,621 | USD | Analyze
|
HPS | John Hancock Preferred Income Fund III CEF | | 06/17/2003 | Special Security Types | Preferred stock | U.S. | Financials | MA0000011611 | B1P1S11 | 445,234,352 | USD | Analyze
|
HQH | Tekla Healthcare Investors CEF | | 01/05/1988 | US Equity | Single sector | Health care | Financials | | | 785,065,666 | USD | Analyze
|
HQL | Tekla Life Sciences Investors CEF | | 05/04/1992 | Global Equity | Single industry | Other | Financials | | | 338,187,311 | USD | Analyze
|
HTD | John Hancock Tax-Advantaged Dividend Income Fund CEF | | 02/25/2004 | US Equity | Broad Market | Multi-cap | Financials | | | 713,416,843 | USD | Analyze
|
HTY | John Hancock Tax-Advantaged Global Shareholder Yield Fund CEF | | 09/26/2007 | Global Equity | Global | Large and mid cap | Financials | | | 51,332,230 | USD | Analyze
|
HYB | New America High Income Fund, Inc. CEF | | 02/19/1988 | US Fixed Income | Corporate bonds | High yield | Financials | | | 150,767,099 | USD | Analyze
|
HYI | Western Asset High Yield Defined Opportunity Fund Inc. CEF | | 01/02/2001 | US Fixed Income | Corporate bonds | High yield | Financials | | | 269,207,702 | USD | Analyze
|
HYT | Blackrock Corporate High Yield Fund CEF | | 05/28/2003 | US Fixed Income | Corporate bonds | High yield | Financials | US09255P1075 | 2692201 | 1,039,206,991 | USD | Analyze
|
HYT^ | Blackrock Corporate High Yield Fund, Inc. Rights (expiring October 13, 2022) | | 09/22/2022 | US Equity | Closed end funds | | | | | 1,023,313,237 | USD | Analyze
|
HYT^# | Blackrock Corporate High Yield Fund, Inc. Rights (expiring October 13, 2022) | | 09/16/2022 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
IAE | Voya Asia Pacific High Dividend Equity Income Fund CEF | | 03/27/2007 | Alternatives | Options | Covered calls | Financials | | | 74,724,803 | USD | Analyze
|
IDE | Voya Infrastructure, Industrials and Materials Fund CEF | | 01/26/2010 | Alternatives | Options | Covered calls | Financials | | | 177,255,781 | USD | Analyze
|
IFN | The India Fund, Inc. CEF | | 02/15/1994 | Global Equity | Single country | Large and mid cap | Financials | | | 401,017,362 | USD | Analyze
|
IGA | Voya Global Advantage and Premium Opportunity Fund CEF | | 10/27/2005 | Alternatives | Options | Covered calls | Financials | | | 152,327,739 | USD | Analyze
|
IGD | Voya Global Equity Dividend and Premium Opportunity Fund CEF | | 03/29/2005 | Alternatives | Options | Covered calls | Financials | IT0005322612 | BF0VLX7 | 471,085,245 | USD | Analyze
|
IGI | Western Asset Investment Grade Defined Opportunity Trust Inc. CEF | | 06/26/2009 | US Fixed Income | Corporate bonds | Investment grade | Financials | | | 182,246,770 | USD | Analyze
|
IGR | CBRE Clarion Global Real Estate Income Fund CEF | | 02/25/2004 | Asset Allocation | Global | Moderate | Consumer Discretionary | GB0004526900 | 0452690 | 606,270,569 | USD | Analyze
|
IGR^ | CBRE Global Real Estate Income Fund Rights (expiring April 6, 2023) Rights | | 03/14/2023 | US Equity | Closed end funds | | | | | 606,270,569 | USD | Analyze
|
IGR^# | CBRE Global Real Estate Income Fund Rights (expiring April 6, 2023) Rights when issued | | 03/07/2023 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
IHD | Voya Emerging Markets High Dividend Equity Fund CEF | | 04/27/2011 | Alternatives | Options | Covered calls | Financials | | | 97,453,687 | USD | Analyze
|
IHIT | Invesco High Income 2023 Target Term Fund CEF | | 11/23/2016 | US Fixed Income | Mortgage backed | Investment grade | Financials | | | 186,598,466 | USD | Analyze
|
IHTA | Invesco High Income 2024 Target Term Fund CEF | | 11/30/2017 | US Fixed Income | Mortgage backed | Investment grade | Financials | | | 63,608,186 | USD | Analyze
|
IIF | Morgan Stanley India Investment Fund, Inc. CEF | | 02/15/1995 | Global Equity | Single country | Large and mid cap | Financials | | | 210,195,186 | USD | Analyze
|
IIM | Invesco Value Municipal Income Trust CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 548,817,999 | USD | Analyze
|
INSI | Insight Select Income Fund CEF | | 09/07/1984 | US Fixed Income | Broad market | Investment grade | Financials | | | 167,397,031 | USD | Analyze
|
IQI | Invesco Quality Municipal Income Trust CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 499,223,044 | USD | Analyze
|
IRL | New Ireland Fund CEF | | 03/30/1990 | Global Equity | Single country | Large and mid cap | Financials | | | 37,790,593 | USD | Analyze
|
ISD | Prudential Short Duration High Yield Fund, Inc. CEF | | 04/26/2012 | US Fixed Income | Corporate bonds | High yield | Financials | | | 387,945,903 | USD | Analyze
|
IVH | Ivy High Income Opportunities Fund CEF | | 05/29/2013 | US Fixed Income | Corporate bonds | High yield | Financials | | | 194,368,845 | USD | Analyze
|
JCE | Nuveen Core Equity Alpha Fund CEF | | 03/28/2007 | US Equity | Broad market | Large cap | Financials | | | 190,075,405 | USD | Analyze
|
JCO | Nuveen Credit Opportunities 2022 Target Term Fund CEF | | 03/29/2017 | US Fixed Income | Corporate bonds | Investment grade | Financials | | | 220,806,528 | USD | Analyze
|
JEMD | Nuveen Emerging Markets Debt 2022 Target Term Fund CEF | | 09/27/2017 | Global Fixed Income | Emerging markets | Broad market | Financials | | | 94,467,462 | USD | Analyze
|
JEQ | Aberdeen Japan Equity Fund CEF | | 08/14/1992 | Global Equity | Single country | Large and mid cap | Financials | | | 71,735,668 | USD | Analyze
|
JFR | Nuveen Floating Rate Income Fund CEF | | 03/25/2004 | US Fixed Income | Bank loans | Broad market | Financials | | | 456,486,113 | USD | Analyze
|
JGH | Nuveen Global High Income Fund CEF | | 11/24/2014 | Global Fixed Income | Global | High yield | Financials | | | 249,388,749 | USD | Analyze
|
JHAA | Nuveen High Income 2023 Target Term Fund CEF | | 12/19/2018 | US Fixed Income | Corporate bonds | High yield | Financials | | | 71,530,938 | USD | Analyze
|
JHI | John Hancock Investors Trust CEF | | 07/01/1985 | US Fixed Income | Broad market | Unconstrained | Financials | | | 105,809,019 | USD | Analyze
|
JHS | John Hancock Income Securities Trust CEF | | 01/05/1988 | US Fixed Income | Broad market | Investment grade | Financials | | | 126,947,777 | USD | Analyze
|
JLS | Nuveen Mortgage Opportunity Term Fund CEF | | 11/25/2009 | US Fixed Income | Mortgage backed | Investment grade | Financials | | | 87,469,794 | USD | Analyze
|
JMM | Nuveen Multi-Market Income Fund CEF | | 06/30/1989 | US Fixed Income | Broad market | Investment grade | Financials | | | 54,976,259 | USD | Analyze
|
JOF | Japan Smaller Capitalization Fund, Inc. CEF | | 03/14/1990 | Global Equity | Single country | Small cap | Financials | | | 192,387,133 | USD | Analyze
|
JPC | Nuveen Preferred Income Opportunities Fund CEF | | 03/27/2003 | Special Security Types | Preferred stock | Global | Financials | | | 646,140,722 | USD | Analyze
|
JPI | Nuveen Preferred and Income Term Fund CEF | | 07/27/2012 | Special Security Types | Preferred stock | Global | Financials | | | 373,467,672 | USD | Analyze
|
JPS | Nuveen Preferred Securities Income Fund CEF | | 09/24/2002 | Special Security Types | Preferred stock | U.S. | Financials | | | 1,273,320,610 | USD | Analyze
|
JPT | Nuveen Preferred & Income 2022 Term Fund CEF | | 01/27/2017 | Special Security Types | Preferred stock | Global | Financials | | | 108,992,157 | USD | Analyze
|
JQC | Nuveen Credit Strategies Income Fund CEF | | 06/26/2003 | US Fixed Income | Bank loans | Broad market | Financials | | | 678,046,450 | USD | Analyze
|
JRI | Nuveen Real Asset Income and Growth Fund CEF | | 04/26/2012 | Asset Allocation | Global | Moderate | Financials | | | 301,715,943 | USD | Analyze
|
JRO | Nuveen Floating Rate Income Opportunity Fund CEF | | 07/28/2004 | US Fixed Income | Bank loans | Broad market | Financials | | | 318,653,973 | USD | Analyze
|
JRS | Nuveen Real Estate Income Fund CEF | | 11/19/2001 | Asset Allocation | US | Moderate | Financials | | | 202,247,297 | USD | Analyze
|
JSD | Nuveen Short Duration Credit Opportunities Fund CEF | | 05/26/2011 | US Fixed Income | Bank loans | Broad market | Financials | | | 117,497,799 | USD | Analyze
|
KF | Korea Fund CEF | | 11/05/1987 | Global Equity | Single country | Multi-cap | Financials | | | 108,626,115 | USD | Analyze
|
KIO | KKR Income Opportunities Fund CEF | | 07/26/2013 | US Fixed Income | Bank loans | Broad market | Materials | ZAE000085346 | B1G4262 | 216,624,355 | USD | Analyze
|
KIO^ | KKR Income Opportunities Fund Rights (expiring February 16, 2023) Rights | | 01/24/2023 | US Equity | Closed end funds | | | | | 235,744,251 | USD | Analyze
|
KIO^# | KKR Income Opportunities Fund Rights (expiring February 16, 2023) Rights when issued | | 01/19/2023 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
KMF | Kayne Anderson Midstream/Energy Fund, Inc. CEF | | 11/24/2010 | Special Security Types | MLPs | Energy | Financials | | | 314,807,072 | USD | Analyze
|
KSM | Deutsche Strategic Municipal Income Trust CEF | | 06/30/1989 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 92,880,671 | USD | Analyze
|
KTF | Deutsche Municipal Income Trust CEF | | 06/30/1989 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 338,523,030 | USD | Analyze
|
KYN | Kayne Anderson MLP Investment Company CEF | | 09/28/2004 | Special Security Types | MLPs | Energy | Financials | | | 1,086,329,609 | USD | Analyze
|
LDP | Cohen & Steers Limited Duration Preferred and Income Fund, Inc. CEF | | 07/27/2012 | Special Security Types | Preferred stock | Global | Financials | | | 505,396,861 | USD | Analyze
|
LEO | Dreyfus Strategic Municipals, Inc. CEF | | 01/02/2001 | US Fixed Income | Municipal bonds | Investment grade | Consumer Discretionary | SE0008091904 | BYY1RS3 | 380,101,646 | USD | Analyze
|
LGI | Lazard Global Total Return and Income Fund, Inc. CEF | | 04/28/2004 | Asset Allocation | Global | Moderate | Financials | | | 192,803,176 | USD | Analyze
|
MAV | Pioneer Municipal High Income Advantage Trust CEF | | 10/16/2003 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 188,924,068 | USD | Analyze
|
MCI | Barings Corporate Investors CEF | | 06/15/1971 | US Fixed Income | Corporate bonds | High yield | Financials | | | 281,435,263 | USD | Analyze
|
MCN | Madison Covered Call & Equity Strategy Fund CEF | | 07/28/2004 | Alternatives | Options | Covered calls | Financials | | | 160,147,314 | USD | Analyze
|
MCR | MFS Charter Income Trust CEF | | 01/11/1990 | Global Fixed Income | Global | Broad market | Financials | | | 274,842,574 | USD | Analyze
|
MEGI | MainStay CBRE Global Infrastructure Megatrends Fund Common Shares | | 10/27/2021 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
MFD | Macquarie/First Trust Global Infrastructure/Utilities Dividend & Income Fund CEF | | 03/26/2004 | Global Equity | Single industry | Infrastructure | Financials | | | 66,670,048 | USD | Analyze
|
MFM | MFS Municipal Income Trust CEF | | 11/05/1987 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 209,645,042 | USD | Analyze
|
MFV | MFS Special Value Trust CEF | | 11/17/1989 | Asset Allocation | US | Moderate | Financials | | | 30,298,876 | USD | Analyze
|
MGF | MFS Government Markets Income Trust CEF | | 05/20/1987 | Global Fixed Income | Global | Investment grade | Financials | | | 106,267,501 | USD | Analyze
|
MGU | Macquarie Global Infrastructure Total Return Fund Inc. CEF | | 08/26/2005 | Global Equity | Single industry | Infrastructure | Financials | | | 290,137,178 | USD | Analyze
|
MHD | Blackrock MuniHoldings Fund CEF | | 05/27/1997 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09253N1046 | 2609869 | 166,111,650 | USD | Analyze
|
MHF | Western Asset Municipal High Income Fund Inc. CEF | | 06/30/1989 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 137,701,778 | USD | Analyze
|
MHI | Pioneer Municipal High Income Trust CEF | | 07/18/2003 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 196,516,742 | USD | Analyze
|
MHN | Blackrock MuniHoldings New York Quality Fund CEF | | 09/22/1997 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09255C1062 | 2609988 | 318,480,595 | USD | Analyze
|
MIN | MFS Intermediate Income Trust CEF | | 03/11/1988 | US Fixed Income | Broad market | Investment grade | Materials | AU000000MIN4 | B17ZL56 | 321,512,171 | USD | Analyze
|
MIO | Pioneer Municipal High Income Opportunities Fund CEF | | 08/06/2021 | US Fixed Income | Municipal bonds | Unconstrained | | | | 183,205,212 | USD | Analyze
|
MIY | Blackrock MuniYield Michigan Quality Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254V1052 | 2610032 | 325,656,742 | USD | Analyze
|
MMD | MainStay DefinedTerm Municipal Opportunities Fund CEF | | 06/27/2012 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 487,002,501 | USD | Analyze
|
MMT | MFS Multimarket Income Trust CEF | | 03/05/1987 | Global Fixed Income | Global | Broad market | Financials | FR0000053225 | 5993901 | 265,472,197 | USD | Analyze
|
MMU | Western Asset Managed Municipals Fund Inc. CEF | | 07/17/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 434,112,189 | USD | Analyze
|
MNP | Western Asset Municipal Partners Fund Inc. CEF | | 01/25/1993 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 113,907,418 | USD | Analyze
|
MPA | Blackrock MuniYield Pennsylvania Quality Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09255G1076 | 2610270 | 151,549,343 | USD | Analyze
|
MPV | Barings Participation Investors CEF | | 06/01/1988 | US Fixed Income | Corporate bonds | High yield | Financials | | | 136,231,845 | USD | Analyze
|
MQT | Blackrock MuniYield Quality Fund II CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254G1085 | 2610281 | 227,610,311 | USD | Analyze
|
MQY | Blackrock MuniYield Quality Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254F1003 | 2610300 | 350,769,525 | USD | Analyze
|
MSD | Morgan Stanley Emerging Markets Debt Fund, Inc. CEF | | 10/27/1994 | Global Fixed Income | Emerging markets | Broad market | Financials | | | 134,144,618 | USD | Analyze
|
MUA | Blackrock MuniAssets Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | High yield | Financials | US09254J1025 | 2610377 | 397,551,918 | USD | Analyze
|
MUC | Blackrock MuniHoldings California Quality Fund CEF | | 03/02/1998 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254L1070 | 2531854 | 441,596,742 | USD | Analyze
|
MUE | Blackrock MuniHoldings Quality Fund II CEF | | 03/09/1999 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254C1071 | 2610548 | 220,478,231 | USD | Analyze
|
MUI | Blackrock Muni Intermediate Duration Fund CEF | | 07/30/2003 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09253X1028 | 2931487 | 436,194,470 | USD | Analyze
|
MUJ | Blackrock MuniHoldings New Jersey Quality Fund CEF | | 03/12/1998 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254X1019 | 2610742 | 333,803,286 | USD | Analyze
|
MVF | Blackrock MuniVest Fund CEF | | 02/22/1990 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09253R1059 | 2610526 | 440,238,959 | USD | Analyze
|
MVT | Blackrock MuniVest Fund II CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09253T1016 | 2610764 | 222,854,306 | USD | Analyze
|
MXE | Mexico Equity & Income Fund CEF | | 08/15/1990 | Global Equity | Single country | Multi-cap | Financials | | | 42,506,019 | USD | Analyze
|
MXF | The Mexico Fund, Inc. CEF | | 12/30/1987 | Global Equity | Single country | Multi-cap | Financials | | | 242,634,472 | USD | Analyze
|
MYD | Blackrock MuniYield Fund CEF | | 12/19/1991 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09253W1045 | 2538703 | 489,071,576 | USD | Analyze
|
MYI | Blackrock MuniYield Quality Fund III CEF | | 04/21/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09254E1038 | 2495659 | 735,345,848 | USD | Analyze
|
MYN | Blackrock MuniYield New York Quality Fund CEF | | 03/16/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | US09255E1029 | 2591687 | 390,719,584 | USD | Analyze
|
NAC | Nuveen California Quality Municipal Income Fund CEF | | 05/26/1999 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 1,571,822,730 | USD | Analyze
|
NAD | Nuveen Quality Municipal Income Fund CEF | | 05/26/1999 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 2,381,051,734 | USD | Analyze
|
NAN | Nuveen New York Quality Municipal Income Fund CEF | | 05/26/1999 | US Fixed Income | Municipal bonds | Investment grade | Financials | AU000000NAN9 | B1WF979 | 326,715,606 | USD | Analyze
|
NAZ | Nuveen Arizona Quality Municipal Income Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 128,105,015 | USD | Analyze
|
NBB | Nuveen Taxable Municipal Income Fund CEF | | 04/28/2010 | US Fixed Income | Municipal bonds | Taxable | Financials | | | 466,494,714 | USD | Analyze
|
NBXG | Neuberger Berman Next Generation Connectivity Fund CEF | | 05/26/2021 | Global Equity | Single industry | Information technology | | | | 789,962,800 | USD | Analyze
|
NCA | Nuveen California Municipal Value Fund CEF | | 10/07/1987 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 287,710,215 | USD | Analyze
|
NCV | AllianzGI Convertible & Income Fund CEF | | 03/27/2003 | Special Security Types | Convertible bonds | | Financials | | | 293,714,099 | USD | Analyze
|
NCZ | AllianzGI Convertible & Income Fund II CEF | | 07/29/2003 | Special Security Types | Convertible bonds | | Financials | | | 218,452,200 | USD | Analyze
|
NDMO | Nuveen Dynamic Municipal Opportunities CEF | | 08/27/2020 | US Fixed Income | Municipal bonds | Unconstrained | | | | 624,384,957 | USD | Analyze
|
NDP | Tortoise Energy Independence Fund, Inc. CEF | | 07/26/2012 | US Equity | Single sector | Energy | Financials | | | 48,586,641 | USD | Analyze
|
NEA | Nuveen AMT-Free Quality Municipal Income Fund CEF | | 11/22/2002 | US Fixed Income | Municipal bonds | Unconstrained | Financials | AU000000NEA8 | B9B4FJ7 | 3,244,555,703 | USD | Analyze
|
NEV | Nuveen Enhanced Municipal Value Fund CEF | | 09/25/2009 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 312,125,351 | USD | Analyze
|
NFJ | AllianzGI NFJ Dividend, Interest & Premium Strategy Fund CEF | | 02/24/2005 | Asset Allocation | US | Moderate | Financials | | | 1,078,841,992 | USD | Analyze
|
NID | Nuveen Intermediate Duration Municipal Term Fund CEF | | 12/06/2012 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 609,074,416 | USD | Analyze
|
NIE | AllianzGI Equity & Convertible Income Fund CEF | | 02/23/2007 | Asset Allocation | US | Moderate | Financials | | | 523,422,349 | USD | Analyze
|
NIM | Nuveen Select Maturities Municipal Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 113,388,499 | USD | Analyze
|
NIQ | Nuveen Intermediate Duration Quality Municipal Term Fund CEF | | 02/08/2013 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 164,259,805 | USD | Analyze
|
NKG | Nuveen Georgia Quality Municipal Income Fund CEF | | 09/26/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 103,062,147 | USD | Analyze
|
NKX | Nuveen California AMT-Free Quality Municipal Income Fund CEF | | 09/04/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 542,682,203 | USD | Analyze
|
NMAI | Nuveen Multi-Asset Income Fund Common Shares of Beneficial Interest | | 11/22/2021 | US Equity | Closed end funds | | | | | 368,684,875 | USD | Analyze
|
NMCO | Nuveen Municipal Credit Opportunities Fund CEF | | 09/17/2019 | US Fixed Income | Municipal bonds | High yield | | | | 581,688,939 | USD | Analyze
|
NMI | Nuveen Municipal Income Fund CEF | | 12/16/1988 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 92,625,420 | USD | Analyze
|
NMS | Nuveen Minnesota Quality Municipal Income Fund CEF | | 10/08/2014 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 68,833,253 | USD | Analyze
|
NMT | Nuveen Massachusetts Quality Municipal Income Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 97,442,227 | USD | Analyze
|
NMZ | Nuveen Municipal High Income Opportunity Fund CEF | | 11/20/2003 | US Fixed Income | Municipal bonds | High yield | Financials | | | 1,085,533,517 | USD | Analyze
|
NNY | Nuveen New York Municipal Value Fund CEF | | 10/07/1987 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 157,320,813 | USD | Analyze
|
NOM | Nuveen Missouri Quality Municipal Income Fund CEF | | 08/18/1995 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 24,140,884 | USD | Analyze
|
NPCT | Nuveen Core Plus Impact Fund CEF | | 04/28/2021 | US Fixed Income | Broad market | Unconstrained | | | | 289,562,850 | USD | Analyze
|
NPFD | Nuveen Variable Rate Preferred & Income Fund CEF | | 12/16/2021 | Special Security Types | Preferred stock | U.S. | Unknown | | | 0 | USD | Analyze
|
NPV | Nuveen Virginia Quality Municipal Income Fund CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 199,210,030 | USD | Analyze
|
NQP | Nuveen Pennsylvania Quality Municipal Income Fund CEF | | 02/21/1991 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 420,936,420 | USD | Analyze
|
NRGX | PIMCO Energy and Tactical Credit Opportunities Fund CEF | | 01/30/2019 | Asset Allocation | US | Moderate | Financials | | | 621,426,661 | USD | Analyze
|
NRK | Nuveen New York AMT-Free Quality Municipal Income Fund CEF | | 11/22/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 897,651,278 | USD | Analyze
|
NSL | Nuveen Senior Income Fund CEF | | 10/27/1999 | US Fixed Income | Bank loans | Broad market | Financials | | | 176,068,312 | USD | Analyze
|
NTG | Tortoise MLP Fund, Inc. CEF | | 01/02/2001 | Special Security Types | MLPs | Energy | Industrials | | | 172,111,226 | USD | Analyze
|
NUO | Nuveen Ohio Quality Municipal Income Fund CEF | | 10/17/1991 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 225,611,652 | USD | Analyze
|
NUV | Nuveen Municipal Value Fund, Inc. CEF | | 06/17/1987 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 1,803,536,461 | USD | Analyze
|
NUW | Nuveen AMT-Free Municipal Value Fund CEF | | 02/25/2009 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 245,753,790 | USD | Analyze
|
NVG | Nuveen AMT-Free Municipal Credit Income Fund CEF | | 03/27/2002 | US Fixed Income | Municipal bonds | Unconstrained | Financials | PTPTI0AM0006 | 7018556 | 2,423,478,809 | USD | Analyze
|
NXC | Nuveen California Select Tax-Free Income Portfolio CEF | | 06/19/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 85,553,876 | USD | Analyze
|
NXDT | NexPoint Diversified Real Estate Trust CEF | | 11/08/2021 | Asset Allocation | US | Moderate | Unknown | | | 363,168,554 | USD | Analyze
|
NXG | NXG NextGen Infrastructure Income Fund Common Shares of Beneficial Interest | | 11/01/2022 | US Equity | Closed end funds | | | | | 88,094,036 | USD | Analyze
|
NXJ | Nuveen New Jersey Quality Municipal Income Fund CEF | | 09/05/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 473,320,288 | USD | Analyze
|
NXN | Nuveen New York Select Tax-Free Income Portfolio CEF | | 06/19/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 47,177,226 | USD | Analyze
|
NXP | Nuveen Select Tax-Free Income Portfolio CEF | | 03/19/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 232,917,893 | USD | Analyze
|
NZF | Nuveen Municipal Credit Income Fund CEF | | 09/26/2001 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 1,905,297,420 | USD | Analyze
|
OIA | Invesco Municipal Income Opportunities Trust CEF | | 10/05/1988 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 303,700,109 | USD | Analyze
|
OPP | RiverNorth/DoubleLne Strategic Opportunity Fund CEF | | 09/28/2016 | Asset Allocation | US | Moderate | Financials | | | 169,159,555 | USD | Analyze
|
OPP^ | RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. Rights | | 09/01/2022 | US Equity | Closed end funds | | | | | 188,603,182 | USD | Analyze
|
OPP^# | RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. Rights | | 08/26/2022 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
PAI | Western Asset Income Fund CEF | | 12/30/1987 | Global Fixed Income | Global | Broad market | Financials | | | 110,707,598 | USD | Analyze
|
PAXS | PIMCO Access Income Fund Common Shares of Beneficial Interest | | 01/27/2022 | US Equity | Closed end funds | | | | | 632,290,576 | USD | Analyze
|
PCF | High Income Securities Fund CEF | | 07/09/1987 | Asset Allocation | US | Moderate | Financials | | | 108,688,871 | USD | Analyze
|
PCK | PIMCO California Municipal Income Fund II CEF | | 06/26/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 193,700,257 | USD | Analyze
|
PCM | PCM Fund, Inc. CEF | | 08/27/1993 | US Fixed Income | Municipal bonds | Unconstrained | Financials | | | 99,881,364 | USD | Analyze
|
PCN | PIMCO Corporate & Income Strategy Fund CEF | | 12/19/2001 | US Fixed Income | Broad market | Investment grade | Financials | | | 591,856,390 | USD | Analyze
|
PCQ | PIMCO California Municipal Income Fund CEF | | 06/27/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 187,860,263 | USD | Analyze
|
PDI | PIMCO Dynamic Income Fund CEF | | 05/25/2012 | Global Fixed Income | Global | Broad market | Financials | | | 4,024,052,878 | USD | Analyze
|
PDO | PIMCO Dynamic Income Opportunities Fund CEF | | 01/27/2021 | US Fixed Income | Broad market | Investment grade | | | | 1,395,343,627 | USD | Analyze
|
PDT | John Hancock Premium Dividend Fund CEF | | 12/15/1989 | US Equity | Single sector | Utilities | Financials | | | 580,087,158 | USD | Analyze
|
PEO | Adams Natural Resources Fund, Inc. CEF | | 12/30/1987 | US Equity | Thematic | Infrastructure | Financials | PLPEKAO00016 | 5473113 | 490,252,283 | USD | Analyze
|
PFD | Flaherty & Crumrine Preferred and Income Fund CEF | | 01/15/1991 | Special Security Types | Preferred stock | U.S. | Consumer Staples | GB00B7N0K053 | B7N0K05 | 133,124,911 | USD | Analyze
|
PFL | PIMCO Income Strategy Fund CEF | | 08/27/2003 | US Fixed Income | Broad market | Unconstrained | Financials | | | 276,005,831 | USD | Analyze
|
PFN | PIMCO Income Strategy Fund II CEF | | 10/27/2004 | US Fixed Income | Broad market | Investment grade | Financials | | | 544,042,399 | USD | Analyze
|
PFO | Flaherty & Crumrine Preferred Income Opportunity Fund Incorporated CEF | | 02/06/1992 | Special Security Types | Preferred stock | U.S. | Financials | | | 101,872,370 | USD | Analyze
|
PGP | PIMCO Global StocksPLUS & Income Fund CEF | | 05/26/2005 | Asset Allocation | Global | Moderate | Financials | | | 78,413,142 | USD | Analyze
|
PGZ | Principal Real Estate Income Fund CEF | | 06/26/2013 | Asset Allocation | US | Moderate | Financials | | | 63,798,429 | USD | Analyze
|
PHD | Pioneer Floating Rate Trust CEF | | 12/23/2004 | US Fixed Income | Bank loans | Broad market | Financials | | | 106,548,173 | USD | Analyze
|
PHK | PIMCO High Income Fund CEF | | 04/25/2003 | Global Fixed Income | Global | Broad market | Financials | | | 628,856,233 | USD | Analyze
|
PHT | Pioneer High Income Trust CEF | | 04/26/2002 | US Fixed Income | Corporate bonds | High yield | Financials | | | 227,768,430 | USD | Analyze
|
PIM | Putnam Master Intermediate Income Trust CEF | | 04/19/1988 | Global Fixed Income | Global | Investment grade | Financials | | | 157,219,063 | USD | Analyze
|
PMF | PIMCO Municipal Income Fund CEF | | 06/27/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 245,050,971 | USD | Analyze
|
PML | PIMCO Municipal Income Fund II CEF | | 06/26/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 576,829,537 | USD | Analyze
|
PMM | Putnam Managed Municipal Income Trust CEF | | 06/30/1989 | US Fixed Income | Municipal bonds | High yield | Financials | | | 319,325,495 | USD | Analyze
|
PMO | Putnam Municipal Opportunities Trust CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Energy | | | 383,244,464 | USD | Analyze
|
PMX | PIMCO Municipal Income Fund III CEF | | 10/29/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 265,534,289 | USD | Analyze
|
PNF | PIMCO New York Municipal Income Fund CEF | | 06/27/2001 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 69,167,402 | USD | Analyze
|
PNI | PIMCO New York Municipal Income Fund II CEF | | 06/26/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | AU000000PNI7 | BD0F7H1 | 84,068,595 | USD | Analyze
|
PPT | Putnam Premier Income Trust CEF | | 02/19/1988 | Global Fixed Income | Global | Broad market | Financials | AU000000PPT9 | 6682394 | 347,994,700 | USD | Analyze
|
PSF | Cohen & Steers Select Preferred and Income Fund, Inc. CEF | | 11/26/2010 | Special Security Types | Preferred stock | U.S. | Financials | | | 217,681,858 | USD | Analyze
|
PTA | Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund CEF | | 10/28/2020 | Special Security Types | Preferred stock | Global | Communication Services | | | 938,543,300 | USD | Analyze
|
PTY | PIMCO Corporate & Income Opportunity Fund CEF | | 12/24/2002 | Global Fixed Income | Global | Broad market | Financials | | | 1,657,605,736 | USD | Analyze
|
PYN | PIMCO New York Municipal Income Fund III CEF | | 10/29/2002 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 35,380,662 | USD | Analyze
|
PZC | PIMCO California Municipal Income Fund III CEF | | 10/29/2002 | US Fixed Income | Municipal bonds | Investment grade | Consumer Staples | GB00B19Z1432 | B19Z143 | 167,043,817 | USD | Analyze
|
RA | Brookfield Real Assets Income Fund Inc. CEF | | 12/05/2016 | US Equity | Thematic | Infrastructure | Financials | MX01R0000006 | BG1Z6X0 | 844,385,680 | USD | Analyze
|
RCS | PIMCO Strategic Income Fund, Inc. CEF | | 02/24/1994 | Global Fixed Income | Global | Broad market | Financials | | | 233,210,265 | USD | Analyze
|
RFI | Cohen & Steers Total Return Realty Fund, Inc. CEF | | 10/27/1994 | US Equity | Single sector | Real estate | Financials | | | 298,665,467 | USD | Analyze
|
RFM | RiverNorth Flexible Municipal Income Fund CEF | | 03/27/2020 | US Fixed Income | Municipal bonds | Unconstrained | | | | 92,331,955 | USD | Analyze
|
RFMZ | RiverNorth Flexible Municipal Income Fund II, Inc. CEF | | 02/24/2021 | US Fixed Income | Municipal bonds | Unconstrained | | | | 319,008,004 | USD | Analyze
|
RGT | Royce Global Value Trust CEF | | 10/09/2013 | Global Equity | Global | Small cap | Financials | | | 53,833,040 | USD | Analyze
|
RIV | Rivernorth Opportunities Fund CEF | | 12/24/2015 | Asset Allocation | US | Moderate | Financials | | | 200,884,792 | USD | Analyze
|
RIV^ | RiverNorth Opportunities Fund, Inc. Rights (expiring November 8, 2022) | | 10/20/2022 | US Equity | Closed end funds | | | | | 218,020,156 | USD | Analyze
|
RIV^# | RiverNorth Opportunities Fund, Inc. Rights (expiring November 8, 2022) | | 10/12/2022 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
RLTY | Cohen & Steers Real Estate Opportunities and Income Fund Common Shares of Beneficial Interest | | 02/24/2022 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
RMI | RiverNorth Opportunistic Municipal Income Fund, Inc. CEF | | 10/26/2018 | US Fixed Income | Municipal bonds | Unconstrained | Financials | ZAE000210688 | BYX3N48 | 101,143,763 | USD | Analyze
|
RMM | RiverNorth Managed Duration Municipal Income CEF | | 07/26/2019 | US Fixed Income | Municipal bonds | Unconstrained | | | | 299,647,553 | USD | Analyze
|
RMMZ | RiverNorth Managed Duration Municipal Income Fund II, Inc. Common Stock | | 02/11/2022 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
RMT | Royce Micro-Cap Trust, Inc. CEF | | 12/15/1993 | US Equity | Broad market | Micro cap | Financials | | | 389,585,906 | USD | Analyze
|
RNP | Cohen & Steers REIT and Preferred Income Fund, Inc. CEF | | 06/25/2003 | Asset Allocation | US | Moderate | Financials | | | 866,085,792 | USD | Analyze
|
RQI | Cohen & Steers Quality Income Realty Fund, Inc. CEF | | 02/26/2002 | US Equity | Single industry | REITs | Financials | | | 1,449,170,934 | USD | Analyze
|
RSF | RiverNorth Marketplace Lending Corporation CEF | | 06/12/2019 | US Fixed Income | Broad market | Investment grade | Unknown | | | 53,952,770 | USD | Analyze
|
RSF^ | RiverNorth Capital and Income Fund Rights (expiring January 27, 2023) Rights | | 01/12/2023 | US Equity | Closed end funds | | | | | 57,014,669 | USD | Analyze
|
RSF^# | RiverNorth Capital and Income Fund Rights (expiring January 27, 2023) Rights when issued | | 01/04/2023 | US Equity | Closed end funds | | | | | 0 | USD | Analyze
|
RVT | Royce Value Trust, Inc. CEF | | 01/15/1986 | US Equity | Broad market | Small cap | Financials | | | 1,400,198,594 | USD | Analyze
|
SBI | Western Asset Intermediate Muni Fund Inc. CEF | | 03/17/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 109,842,057 | USD | Analyze
|
SCD | LMP Capital and Income Fund Inc. CEF | | 02/25/2004 | Asset Allocation | US | Moderate | Financials | | | 197,160,070 | USD | Analyze
|
SDHY | PGIM Short Duration High Yield Opportunities Fund CEF | | 11/25/2020 | US Fixed Income | Broad market | High yield | | | | 361,213,540 | USD | Analyze
|
SMM | Salient Midstream & MLP Fund CEF | | 05/25/2012 | Special Security Types | MLPs | Energy | Financials | | | 158,615,910 | USD | Analyze
|
SOR | Source Capital, Inc. CEF | | 06/01/1968 | Asset Allocation | US | Moderate | Financials | | | 302,376,943 | USD | Analyze
|
SPE | Special Opportunities Fund CEF | | 10/27/1994 | Special Security Types | Closed end funds | | Financials | | | 120,819,641 | USD | Analyze
|
SPXX | Nuveen S&P 500 Dynamic Overwrite Fund CEF | | 11/23/2005 | Alternatives | Options | Covered calls | Financials | | | 261,179,747 | USD | Analyze
|
SRV | Cushing MLP Total Return Fund CEF | | 08/27/2007 | Special Security Types | MLPs | Energy | Financials | | | 66,113,049 | USD | Analyze
|
STEW | SRH Total Return Fund, Inc. Common Stock | | 04/04/2022 | US Equity | Closed end funds | | | | | 1,160,210,767 | USD | Analyze
|
STK | Columbia Seligman Premium Technology Growth Fund, Inc. CEF | | 11/27/2009 | Alternatives | Options | Covered calls | Financials | | | 427,659,866 | USD | Analyze
|
SWZ | The Swiss Helvetia Fund, Inc. CEF | | 01/05/1988 | Global Equity | Single country | Multi-cap | Financials | | | 101,205,866 | USD | Analyze
|
SZC | The Cushing NextGen Infrastructure Income Fund CEF | | 09/26/2012 | US Equity | Single sector | Energy | Financials | | | 106,108,304 | USD | Analyze
|
TDF | Templeton Dragon Fund, Inc. CEF | | 02/15/1995 | Global Equity | Single country | Multi-cap | Financials | | | 349,872,880 | USD | Analyze
|
TEAF | Tortoise Essential Assets Income Term Fund CEF | | 03/27/2019 | Asset Allocation | Global | Moderate | | | | 167,424,886 | USD | Analyze
|
TEI | Templeton Emerging Markets Income Fund CEF | | 10/27/1994 | Global Fixed Income | Emerging markets | Broad market | Financials | | | 234,185,002 | USD | Analyze
|
THQ | Tekla Healthcare Opportunities Fund CEF | | 07/29/2014 | US Equity | Single sector | Health care | Financials | | | 746,476,847 | USD | Analyze
|
THW | Tekla World Healthcare Fund CEF | | 06/26/2015 | US Equity | Single sector | Health care | Financials | | | 503,160,301 | USD | Analyze
|
TPZ | Tortoise Power and Energy Infrastructure Fund, Inc. CEF | | 07/29/2009 | Asset Allocation | US | Moderate | Financials | | | 80,928,588 | USD | Analyze
|
TSI | TCW Strategic Income Fund, Inc. CEF | | 01/05/1988 | US Fixed Income | Broad market | Unconstrained | Financials | | | 235,582,219 | USD | Analyze
|
TTP | Tortoise Pipeline & Energy Fund, Inc. CEF | | 10/27/2011 | US Equity | Single sector | Energy | Financials | | | 54,223,995 | USD | Analyze
|
TWN | Taiwan Fund CEF | | 12/23/1986 | Global Equity | Single country | Multi-cap | Financials | | | 205,215,217 | USD | Analyze
|
TY | Tri-Continental Corporation CEF | | 01/05/1929 | Asset Allocation | US | Moderate | Financials | | | 1,399,298,244 | USD | Analyze
|
TYG | Tortoise Energy Infrastructure Corporation CEF | | 02/25/2004 | Special Security Types | MLPs | Energy | Financials | | | 325,631,752 | USD | Analyze
|
USA | Liberty All-Star Equity Fund CEF | | 11/05/1987 | US Equity | Broad market | Large and mid cap | Financials | | | 1,560,567,858 | USD | Analyze
|
UTF | Cohen & Steers Infrastructure Fund, Inc. CEF | | 05/11/2004 | US Equity | Thematic | Infrastructure | Financials | | | 2,136,637,582 | USD | Analyze
|
VBF | Invesco Bond Fund CEF | | 10/27/1994 | US Fixed Income | Corporate bonds | Investment grade | Financials | | | 177,968,456 | USD | Analyze
|
VCIF | Vertical Capital Income Fund CEF | | 05/29/2019 | US Fixed Income | Mortgage backed | Unconstrained | | | | 102,346,820 | USD | Analyze
|
VCV | Invesco California Value Municipal Income Trust CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 466,453,704 | USD | Analyze
|
VGI | Virtus Global Multi-Sector Income Fund CEF | | 02/24/2012 | Global Fixed Income | Global | Broad market | Financials | | | 86,997,685 | USD | Analyze
|
VGM | Invesco Trust for Investment Grade Municipals CEF | | 02/19/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 527,134,729 | USD | Analyze
|
VKQ | Invesco Municipal Trust CEF | | 11/21/1991 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 520,707,187 | USD | Analyze
|
VLT | Invesco High Income Trust II CEF | | 06/30/1989 | US Fixed Income | Broad market | High yield | Financials | | | 66,085,036 | USD | Analyze
|
VMO | Invesco Municipal Opportunity Trust CEF | | 06/04/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 629,895,989 | USD | Analyze
|
VPV | Invesco Pennsylvania Value Municipal Income Trust CEF | | 10/27/1994 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 234,482,713 | USD | Analyze
|
VTN | Invesco Trust For Investment Grade New York Municipals CEF | | 05/13/1992 | US Fixed Income | Municipal bonds | Investment grade | Financials | | | 197,587,827 | USD | Analyze
|
VVR | Invesco Senior Income Trust CEF | | 06/24/1998 | US Fixed Income | Bank loans | Broad market | Financials | | | 564,683,416 | USD | Analyze
|
WDI | Western Asset Diversified Income Fund CEF | | 06/25/2021 | US Fixed Income | Broad market | Unconstrained | | | | 680,497,079 | USD | Analyze
|
WEA | Western Asset Premier Bond Fund CEF | | 03/27/2002 | US Fixed Income | Broad market | Investment grade | Financials | | | 117,944,064 | USD | Analyze
|
WIA | Western Asset/Claymore Inflation-Linked Securities & Income Fund CEF | | 09/29/2003 | US Fixed Income | U.S. treasury bonds | Inflation-Protected | Financials | | | 200,804,624 | USD | Analyze
|
WIW | Western Asset/Claymore Inflation-Linked Opportunities & Income Fund CEF | | 02/25/2004 | US Fixed Income | U.S. treasury bonds | Inflation-Protected | Financials | | | 559,834,826 | USD | Analyze
|
XFLT | XAI Octagon Floating Rate & Alternative Income Term Trust CEF | | 09/27/2017 | US Fixed Income | Bank loans | Broad market | Financials | | | 200,397,619 | USD | Analyze
|
ZTR | Virtus Global Dividend & Income Fund Inc. CEF | | 06/30/1989 | Asset Allocation | US | Moderate | Financials | | | 292,541,018 | USD | Analyze
|
COMP | NASDAQ Composite Index | | 02/01/1971 | US Equity | Broad Market | Multi-cap | Real Estate | US20464U1007 | BN770G0 | 0 | USD | Analyze
|
IPOEIndex | IPOX 100 Europe Index | | 01/01/1900 | Global Equity | Europe | Large and mid cap | | | | 0 | USD | Analyze
|
NEX | WilderHill New Energy Global Innovation Index | | 01/01/1900 | Global Equity | Single industry | Energy | Energy | US65290C1053 | BKLRLX9 | 0 | USD | Analyze
|
ZIM | ISE Mining Services Index | | 09/30/2023 | | | | Industrials | | | 0 | USD | Analyze
|
A | Agilent Technologies Inc | | 02/02/2001 | US Equity | Common stocks | Large cap | Health Care | US00846U1016 | 2520153 | 38,775,383,984 | USD | Analyze
|
AA | Alcoa Corp | | 01/02/1990 | US Equity | Common stocks | Mid cap | Materials | US0138721065 | BYNF418 | 7,175,202,179 | USD | Analyze
|
AAC | Ares Acquisition Corporation Class A | | 10/25/2019 | US Equity | Common stocks | Small cap | Financials | AU000000AAC9 | 6382285 | 485,949,818 | USD | Analyze
|
AAC+ | Ares Acquisition Corporation Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/25/2021 | US Equity | Warrants | Shell Companies | Financials | | | 485,949,818 | USD | Analyze
|
AAC= | Ares Acquisition Corporation - Units (1 Ord Share Class A & 1/5 War) | | 02/02/2021 | US Equity | Units | Small cap | Financials | | | 912,630,000 | USD | Analyze
|
AAIC | Arlington Asset Investment Corp Class A | | 12/23/1997 | US Equity | Mortgage REITs | Micro cap | Financials | US0413562051 | | 77,138,845 | USD | Analyze
|
AAIC-B | Arlington Asset 7.00% Series B Cumulative Preferred Stock | | 05/16/2017 | US Equity | Preferred stocks | Non-convertible | Financials | | | 7,345,430 | USD | Analyze
|
AAIC-C | Arlington Asset Investment Corp 8.250% Series C Fixed-to-Floating Rate Cumulative Preferred | | 03/06/2019 | US Equity | Preferred stocks | Non-convertible | Financials | | | 24,864,000 | USD | Analyze
|
AAIN | Arlington Asset Investment Corp 6.000% Senior Notes Due 2026 | | 07/19/2021 | US Equity | Exchange traded debt | Short-term | Financials | | | 31,181,800 | USD | Analyze
|
AAM-A | Apollo Asset Management, Inc. 6.375% Series A Preferred Stock | | 01/03/2022 | US Equity | Preferred stocks | Non-convertible | Financials | | | 267,630,000 | USD | Analyze
|
AAM-B | Apollo Asset Management, Inc. 6.375% Series B Preferred Stock | | 01/03/2022 | US Equity | Preferred stocks | Non-convertible | Financials | | | 294,000,000 | USD | Analyze
|
AAN | Aarons Inc | | 01/03/2003 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US00258W1080 | BLFGN99 | 279,863,674 | USD | Analyze
|
AAP | Advance Auto Parts Inc | | 11/29/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US00751Y1064 | 2822019 | 6,587,688,020 | USD | Analyze
|
AAQC | Accelerate Acquisition Corp. Class A | | 05/10/2021 | US Equity | Common stocks | Small cap | Financials | | | 404,600,000 | USD | Analyze
|
AAQC+ | Accelerate Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 | | 05/10/2021 | US Equity | Warrants | Shell Companies | Financials | | | 404,600,000 | USD | Analyze
|
AAQC= | Accelerate Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 03/18/2021 | US Equity | Units | Small cap | Financials | | | 404,600,000 | USD | Analyze
|
AAT | American Assets Trust, Inc | | 01/13/2011 | US Equity | REITs | Small cap | Real Estate | US0240131047 | B3NTLD4 | 1,000,629,921 | USD | Analyze
|
AB | AllianceBernstein Holding LP | | 02/02/2001 | US Equity | MLPs | Mid cap | Financials | FR0010557264 | B5VSTM2 | 3,831,682,936 | USD | Analyze
|
ABB | ABB Ltd ADRs | | 08/29/2001 | US Equity | ADRs | Large cap | Industrials | US0003752047 | | 65,583,190,604 | USD | Analyze
|
ABBV | Abbvie Inc | | 12/10/2012 | US Equity | Common stocks | Large cap | Health Care | US00287Y1091 | B92SR70 | 273,971,219,521 | USD | Analyze
|
ABC | AmerisourceBergen Corp | | 02/02/2001 | US Equity | Common stocks | Large cap | Health Care | US03073E1055 | 2795393 | 30,526,828,315 | USD | Analyze
|
ABEV | Ambev SA ADRs | | 11/11/2013 | US Equity | ADRs | Large cap | Consumer Staples | US02319V1035 | BG804F6 | 40,793,061,644 | USD | Analyze
|
ABG | Asbury Automotive Group Inc. | | 03/14/2002 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US0434361046 | 2855855 | 4,293,239,486 | USD | Analyze
|
ABM | ABM Industries Inc | | 02/02/2001 | US Equity | Common stocks | Mid cap | Industrials | US0009571003 | 2024901 | 2,804,877,241 | USD | Analyze
|
ABR | Arbor Realty Trust Inc | | 04/07/2004 | US Equity | Mortgage REITs | Small cap | Financials | US0389231087 | B00N2S0 | 1,949,234,079 | USD | Analyze
|
ABR-D | Arbor Realty Trust 6.375% Series D Cumulative Redeemable Preferred | | 06/07/2021 | US Equity | Preferred stocks | Non-convertible | Financials | US0389238769 | BLN9LD0 | 166,000,000 | USD | Analyze
|
ABR-E | Arbor Realty Trust 6.25% Series E Cumulative Redeemable Preferred Stock | | 08/05/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 99,900,000 | USD | Analyze
|
ABR-F | Arbor Realty Trust 6.25% Series F Fixed-to-Floating Rate Cumulative Preferred | | 10/05/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 143,290,000 | USD | Analyze
|
ABT | Abbott Laboratories | | 02/05/2001 | US Equity | Common stocks | Large cap | Health Care | US0028241000 | 2002305 | 168,650,302,450 | USD | Analyze
|
AC | Associated Capital Group, Inc. | | 11/09/2015 | US Equity | Common stocks | Micro cap | Financials | US0455281065 | BZ6VMW7 | 112,118,423 | USD | Analyze
|
ACA | Arcosa, Inc. | | 10/30/2018 | US Equity | Common stocks | Mid cap | Industrials | US0396531008 | BGPZ5W8 | 2,959,778,583 | USD | Analyze
|
ACC | American Campus Communities, Inc | | 08/12/2004 | US Equity | REITs | Mid cap | Materials | US0248351001 | B02H871 | 9,124,979,953 | USD | Analyze
|
ACCO | Acco Brands Corp | | 08/09/2005 | US Equity | Common stocks | Small cap | Industrials | US00081T1088 | B0G7SZ5 | 471,617,580 | USD | Analyze
|
ACDI | Ascendant Digital Acquisition Corp. III | | 12/31/2021 | US Equity | Common stocks | Small cap | Financials | | | 311,100,000 | USD | Analyze
|
ACDI+ | Ascendant Digital Acquisition Corp. III Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 12/31/2021 | US Equity | Warrants | Shell Companies | Financials | | | 309,000,000 | USD | Analyze
|
ACDI= | Ascendant Digital Acquisition Corp III - Units (1 Ord Share Class A & 1/2 War) | | 11/10/2021 | US Equity | Units | Small cap | Financials | | | 311,100,000 | USD | Analyze
|
ACEL | Accel Entertainment, Inc. | | 12/31/1997 | US Equity | Common stocks | Small cap | Consumer Discretionary | US00436Q1067 | BK7FYL6 | 749,666,981 | USD | Analyze
|
ACH | Aluminum Corporation of China ADRs | | 12/11/2001 | US Equity | ADRs | Small cap | Materials | US0222761092 | 2824628 | 1,426,138,097 | USD | Analyze
|
ACHR | Archer Aviation Inc. Class A | | 12/18/2020 | US Equity | Common stocks | Small cap | Industrials | | BMHVDS8 | 467,308,783 | USD | Analyze
|
ACHR+ | Archer Aviation Inc. Redeemable Warrants, each whole warrant exercisable for one Class A common stock at an exercise price of $11.50 | | 09/17/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 467,308,783 | USD | Analyze
|
ACI | Albertsons Companies, Inc. Class A | | 08/12/1988 | US Equity | Common stocks | Large cap | Consumer Staples | US0130911037 | BYNQ369 | 10,660,777,852 | USD | Analyze
|
ACII | Atlas Crest Investment Corp. II Class A | | 03/29/2021 | US Equity | Common stocks | Small cap | Financials | | | 347,415,000 | USD | Analyze
|
ACII+ | Atlas Crest Investment Corp. II Redeemable Warrants, each whole warrant exercisable for one Class A common stock at an exercise price of $11.50 | | 03/29/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
ACII= | Atlas Crest Investment Corp II - Units (1 Ord Share Class A & 1/4 War) | | 02/04/2021 | US Equity | Units | Small cap | Financials | | | 302,700,000 | USD | Analyze
|
ACM | AECOM | | 05/10/2007 | US Equity | Common stocks | Large cap | Industrials | US00766T1007 | B1VZ431 | 11,232,739,180 | USD | Analyze
|
ACN | Accenture Plc Class A | | 07/19/2001 | US Equity | Common stocks | Large cap | Information Technology | IE00B4BNMY34 | B4BNMY3 | 178,857,823,442 | USD | Analyze
|
ACP-A | Aberdeen Income Credit Strategies Fund 5.250% Series A Perpetual Preferred | | 05/17/2021 | US Equity | Preferred stocks | Non-convertible | Information Technology | | | 36,368,000 | USD | Analyze
|
ACR | ACRES Commercial Realty Corp. | | 02/17/2021 | US Equity | Mortgage REITs | Micro cap | Financials | US00489Q1022 | | 85,551,702 | USD | Analyze
|
ACR-C | ACRES Commercial Realty Corp. 8.625% Fixed-to-Floating Series C Cumulative Preferred | | 06/06/2014 | US Equity | Preferred stocks | Non-convertible | Industrials | | | 98,448,000 | USD | Analyze
|
ACR-D | ACRES Commercial Realty Corp. 7.875% Series D Cumulative Preferred | | 05/17/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 47,736,000 | USD | Analyze
|
ACRE | Ares Commercial Real Estate Corp | | 04/26/2012 | US Equity | Mortgage REITs | Small cap | Financials | US04013V1089 | B77PWP5 | 470,710,840 | USD | Analyze
|
ACRO | Acropolis Infrastructure Acquisition Corp. Class A | | 08/30/2021 | US Equity | Common stocks | Small cap | Financials | | | 348,795,000 | USD | Analyze
|
ACRO+ | Acropolis Infrastructure Acquisition Corp. Warrant exercisable for one share at $11.50 per share | | 08/29/2021 | US Equity | Warrants | Shell Companies | Financials | | | 348,795,000 | USD | Analyze
|
ACRO= | Acropolis Infrastructure Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 07/09/2021 | US Equity | Units | Small cap | Financials | | | 348,795,000 | USD | Analyze
|
ADC | Agree Realty Corporation | | 02/06/2001 | US Equity | REITs | Mid cap | Real Estate | US0084921008 | 2062161 | 5,855,862,155 | USD | Analyze
|
ADC-A | Agree Realty Corporation ADRs of a 4.250% Series A Cumulative Redeemable Preferred | | 09/09/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 130,550,000 | USD | Analyze
|
ADCT | ADC Therapeutics SA | | 05/15/2020 | US Equity | Common stocks | Micro cap | Health Care | CH0499880968 | | 159,672,203 | USD | Analyze
|
ADM | Archer-Daniels-Midland Company | | 02/06/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US0394831020 | 2047317 | 41,054,425,246 | USD | Analyze
|
ADNT | Adient PLC | | 10/17/2016 | US Equity | Common stocks | Mid cap | Consumer Discretionary | IE00BD845X29 | BD845X2 | 3,586,478,820 | USD | Analyze
|
ADT | ADT Inc. | | 04/04/2013 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US00090Q1031 | BFWCP81 | 6,018,854,558 | USD | Analyze
|
AEE | Ameren Corp | | 02/06/2001 | US Equity | Common stocks | Large cap | Utilities | US0236081024 | 2050832 | 21,122,138,988 | USD | Analyze
|
AEFC | Aegon Funding Company LLC 5.10% Subordinated Notes due 2049 | | 10/24/2019 | US Equity | Exchange traded debt | Long-term | Financials | US00775V1044 | BK59DD5 | 746,290,000 | USD | Analyze
|
AEG | Aegon NV ADRs | | 08/29/2001 | US Equity | ADRs | Mid cap | Financials | US0079241032 | | 8,775,229,753 | USD | Analyze
|
AEL | American Equity Investment Life Holding | | 12/04/2003 | US Equity | Common stocks | Mid cap | Financials | US0256762065 | 2191300 | 2,965,618,077 | USD | Analyze
|
AEL-A | American Equity Investment Life ADRs of 5.95% Fixed-Rate Reset Non-Cumulative Preferred, Series A | | 11/27/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US0256765035 | BL4Q3H8 | 367,040,000 | USD | Analyze
|
AEL-B | American Equity Investment Life Holding ADRs of 6.625% Fixed-Rate Reset Non-Cumulative Preferred Series B | | 06/22/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BMTD3B5 | 292,440,000 | USD | Analyze
|
AEM | Agnico Eagle Mines Limited | | 08/27/2001 | US Equity | Common stocks | Large cap | Materials | CA0084741085 | 2009823 | 23,386,094,130 | USD | Analyze
|
AENZ | Aenza S.A.A. ADRs | | 07/29/2013 | US Equity | ADRs | Micro cap | Industrials | | | 205,880,556 | USD | Analyze
|
AEO | American Eagle Outfitters Inc | | 02/06/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US02553E1064 | 2048592 | 2,477,695,344 | USD | Analyze
|
AER | AerCap Holdings NV | | 11/21/2006 | US Equity | Common stocks | Large cap | Industrials | NL0000687663 | B1HHKD3 | 12,601,781,620 | USD | Analyze
|
AES | AES Corp | | 02/06/2001 | US Equity | Common stocks | Large cap | Utilities | US00130H1059 | 2002479 | 14,691,918,213 | USD | Analyze
|
AESC | The AES Corporation Corporate Units | | 03/15/2021 | US Equity | Units | Large cap | Utilities | | BMWFLV4 | 14,691,918,213 | USD | Analyze
|
AESI | Atlas Energy Solutions Inc. | | 03/08/2023 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
AEVA | Aeva Technologies, Inc. | | 02/27/2020 | US Equity | Common stocks | Small cap | Information Technology | US00835Q1031 | BLH3WS0 | 309,887,635 | USD | Analyze
|
AEVA+ | Aeva Technologies, Inc. Redeemable Warrants, each whole warrant exercisable for shares of common stock at an exercise price of $11.50 per share | | 03/12/2021 | US Equity | Warrants | Operating Companies | Information Technology | | | 309,887,635 | USD | Analyze
|
AFG | American Financial Group Inc | | 02/06/2001 | US Equity | Common stocks | Mid cap | Financials | US0259321042 | 2134532 | 9,911,330,541 | USD | Analyze
|
AFGB | American Financial Group, Inc. 5.875% Subordinated Debentures due 2059 | | 03/19/2019 | US Equity | Exchange traded debt | Long-term | Financials | US0259328070 | BDFZ743 | 113,500,000 | USD | Analyze
|
AFGC | American Financial Group, Inc. 5.125% Subordinated Debentures due 2059 | | 08/29/2011 | US Equity | Exchange traded debt | Long-term | Financials | | BJQY934 | 165,120,000 | USD | Analyze
|
AFGD | American Financial Group, Inc. 5.625% Subordinated Debentures due 2060 | | 06/03/2020 | US Equity | Exchange traded debt | Long-term | Financials | US0259328724 | BMWJ1L6 | 132,120,000 | USD | Analyze
|
AFGE | American Financial Group, Inc. 4.500% Subordinated Debentures due 2060 | | 09/18/2020 | US Equity | Exchange traded debt | Long-term | Financials | | BN76JV5 | 143,040,000 | USD | Analyze
|
AFI | Armstrong Flooring Inc | | 03/17/2016 | US Equity | Common stocks | Micro cap | Industrials | US04238R1068 | | 7,648,987 | USD | Analyze
|
AFL | Aflac Inc | | 03/17/1980 | US Equity | Common stocks | Large cap | Financials | US0010551028 | 2026361 | 38,250,125,689 | USD | Analyze
|
AFTR | AfterNext HealthTech Acquisition Corp. Class A | | 10/04/2021 | US Equity | Common stocks | Micro cap | Financials | | | 255,000,000 | USD | Analyze
|
AFTR+ | AfterNext HealthTech Acquisition Corp. Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 10/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 255,000,000 | USD | Analyze
|
AFTR= | AfterNext HealthTech Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 08/12/2021 | US Equity | Units | Micro cap | Financials | | | 255,000,000 | USD | Analyze
|
AG | First Majestic Silver Corp | | 01/02/2001 | US Equity | Common stocks | Small cap | Materials | CA32076V1031 | | 1,775,885,225 | USD | Analyze
|
AGAC | African Gold Acquisition Corporation Class A | | 03/25/2021 | US Equity | Common stocks | Small cap | Financials | | | 423,729,000 | USD | Analyze
|
AGAC+ | African Gold Acquisition Corporation Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/25/2021 | US Equity | Warrants | Shell Companies | Financials | | | 423,729,000 | USD | Analyze
|
AGAC= | African Gold Acquisition Corp - Units (1 Ord Class A & 3/4 War) | | 02/26/2021 | US Equity | Units | Small cap | Financials | | | 370,080,000 | USD | Analyze
|
AGCB | Altimeter Growth Corp. 2 Class A | | 01/07/2021 | US Equity | Common stocks | Small cap | Financials | | | 465,840,500 | USD | Analyze
|
AGCO | AGCO Corp | | 01/02/2003 | US Equity | Common stocks | Mid cap | Industrials | US0010841023 | 2010278 | 9,402,140,702 | USD | Analyze
|
AGI | Alamos Gold Inc Class A | | 02/11/2013 | US Equity | Common stocks | Mid cap | Materials | CA0115321089 | | 4,565,850,192 | USD | Analyze
|
AGL | agilon health, inc. | | 04/15/2021 | US Equity | Common stocks | Large cap | Health Care | US00857U1079 | BLR4TK4 | 11,732,571,762 | USD | Analyze
|
AGM | Federal Agricultural Mortgage Corp Class C non-voting | | 02/06/2001 | US Equity | Common stocks | Small cap | Financials | US3131483063 | 2363381 | 1,266,249,170 | USD | Analyze
|
AGM.A | Federal Agricultural Mortgage Corporation Class A | | 02/11/2013 | US Equity | Common stocks | Small cap | Financials | US3131481083 | 2518783 | 1,266,249,170 | USD | Analyze
|
AGM-C | Federal Agricultural Mortgage 6.000% Fixed-to-Floating Rate Non-Cumulative Preferred Series C | | 06/19/2014 | US Equity | Preferred stocks | Non-convertible | Financials | | | 88,230,000 | USD | Analyze
|
AGM-D | Federal Agricultural Mortgage Corporation 5.700% Non-Cumulative Preferred Series D | | 05/17/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US3131488682 | BK6S6K9 | 96,440,000 | USD | Analyze
|
AGM-E | Federal Agricultural Mortgage Corporation 5.750% Non-Cumulative Preferred, Series E | | 05/27/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | | 73,407,000 | USD | Analyze
|
AGM-F | Federal Agricultural Mortgage Corporation 5.250% Non-Cumulative Preferred, Series F | | 08/26/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | | 108,720,000 | USD | Analyze
|
AGM-G | Federal Agricultural Mortgage Corporation 4.875% Non-Cumulative Preferred, Series G | | 05/21/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 102,500,000 | USD | Analyze
|
AGO | Assured Guaranty Ltd | | 04/23/2004 | US Equity | Common stocks | Mid cap | Financials | BMG0585R1060 | B00V7H8 | 2,741,322,574 | USD | Analyze
|
AGR | Avangrid Inc | | 12/17/2015 | US Equity | Common stocks | Large cap | Utilities | US05351W1036 | BYP0CD9 | 14,510,633,653 | USD | Analyze
|
AGRO | Adecoagro Sa | | 01/28/2011 | US Equity | Common stocks | Small cap | Consumer Staples | US7496552057 | BSVY2F5 | 891,024,841 | USD | Analyze
|
AGS | PlayAGS, Inc. | | 01/26/2018 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US72814N1046 | BFNJ8L5 | 255,874,242 | USD | Analyze
|
AGTI | Agiliti, Inc. | | 02/10/2016 | US Equity | Common stocks | Mid cap | Health Care | US00848J1043 | BHHMRR3 | 2,113,914,358 | USD | Analyze
|
AGX | Argan Inc | | 02/06/2001 | US Equity | Common stocks | Small cap | Industrials | US04010E1091 | 2804501 | 537,485,123 | USD | Analyze
|
AHH | Armada Hoffler Properties, Inc | | 05/08/2013 | US Equity | REITs | Small cap | Real Estate | US04208T1088 | B96FTB5 | 739,434,554 | USD | Analyze
|
AHH-A | Armada Hoffler Properties, Inc. 6.75% Series A Cumulative Redeemable Perpetual Preferred Stock | | 06/19/2019 | US Equity | Preferred stocks | Non-convertible | Real Estate | US04208T2078 | BK645V1 | 53,262,000 | USD | Analyze
|
AHL-C | Aspen Insurance 5.95% Fixed-to-Floating Rate Non-Cumulative Preferred | | 05/07/2013 | US Equity | Preferred stocks | Non-convertible | Financials | BMG053841547 | B94QMV1 | 268,620,000 | USD | Analyze
|
AHL-D | Aspen Insurance 5.625% Non-Cumulative Preference Shares | | 09/14/2016 | US Equity | Preferred stocks | Non-convertible | Financials | BMG053841620 | BD915N2 | 186,300,000 | USD | Analyze
|
AHL-E | Aspen Insurance Holdings ADRs of 5.625% Perpetual Non-Cumulative Preference Shares | | 08/15/2019 | US Equity | Preferred stocks | Non-convertible | Financials | BMG053842040 | BKDJPD1 | 230,100,000 | USD | Analyze
|
AHT | Ashford Hospitality Trust, Inc | | 08/26/2003 | US Equity | REITs | Micro cap | Real Estate | US0441038694 | BMGMW74 | 94,861,591 | USD | Analyze
|
AHT-D | Ashford Hospitality Trust Inc 8.45% Series D Cumulative Preferred Stock | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Real Estate | US0441034065 | B23NM25 | 170,480,000 | USD | Analyze
|
AHT-F | Ashford Hospitality Trust Inc 7.375% Series F Cumulative Preferred Stock | | 07/07/2016 | US Equity | Preferred stocks | Non-convertible | Real Estate | US0441036045 | BZ77ZD6 | 89,040,000 | USD | Analyze
|
AHT-G | Ashford Hospitality Trust Inc 7.375% Series G Cumulative Preferred Stock | | 10/14/2016 | US Equity | Preferred stocks | Non-convertible | Real Estate | US0441037035 | BYMPGX5 | 113,398,000 | USD | Analyze
|
AHT-H | Ashford Hospitality Trust Inc 7.50% Series H Cumulative Preferred Stock | | 08/17/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 71,820,000 | USD | Analyze
|
AHT-I | Ashford Hospitality Trust Inc 7.50% Series I Cumulative Preferred Stock | | 11/09/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US0441038850 | BZ7MMX0 | 98,874,000 | USD | Analyze
|
AI | C3.ai, Inc. Class A | | 12/23/1997 | US Equity | Common stocks | Mid cap | Information Technology | US12468P1049 | BMGNBJ2 | 2,705,785,229 | USD | Analyze
|
AIC | Arlington Asset Investment Corp 6.750% Notes due 2025 | | 03/20/2015 | US Equity | Exchange traded debt | Short-term | Financials | | | 33,056,332 | USD | Analyze
|
AIG | American International Group Inc | | 02/06/2001 | US Equity | Common stocks | Large cap | Financials | US0268747849 | 2027342 | 34,768,586,629 | USD | Analyze
|
AIG-A | AIG ADRs of Series A 5.85% Non-Cumulative Preferred Stock | | 03/15/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US0268747682 | BJM0FP0 | 503,000,000 | USD | Analyze
|
AIN | Albany International Corp Class A | | 02/06/2001 | US Equity | Common stocks | Mid cap | Industrials | US0123481089 | 2012757 | 2,747,713,981 | USD | Analyze
|
AIR | AAR Corp | | 02/06/2001 | US Equity | Common stocks | Small cap | Industrials | US0003611052 | 2001119 | 1,868,614,812 | USD | Analyze
|
AIRC | Apartment Income REIT Corp. | | 12/15/2020 | US Equity | REITs | Mid cap | Real Estate | US03750L1098 | BN6QGL5 | 4,890,583,550 | USD | Analyze
|
AIT | Applied Industrial Technologies Inc | | 02/06/2001 | US Equity | Common stocks | Mid cap | Industrials | US03820C1053 | 2086309 | 5,102,106,628 | USD | Analyze
|
AIU | Meta Data Limited ADRs | | 04/27/2022 | US Equity | ADRs | Micro cap | Consumer Staples | | | 15,050,010 | USD | Analyze
|
AIV | Apartment Investment and Management Company | | 07/22/1994 | US Equity | REITs | Small cap | Real Estate | US03748R7474 | BN2W9T6 | 1,035,982,890 | USD | Analyze
|
AIZ | Assurant Inc | | 02/05/2004 | US Equity | Common stocks | Mid cap | Financials | US04621X1081 | 2331430 | 5,942,886,914 | USD | Analyze
|
AIZN | Assurant, Inc. 5.25% Subordinated Notes due 2061 | | 11/25/2020 | US Equity | Exchange traded debt | Long-term | Financials | US04621X3061 | BLD4BS0 | 188,900,000 | USD | Analyze
|
AJG | Arthur J Gallagher | | 02/06/2001 | US Equity | Common stocks | Large cap | Financials | US3635761097 | 2359506 | 39,118,617,360 | USD | Analyze
|
AJRD | Aerojet Rocketdyne Holdings Inc | | 02/11/2013 | US Equity | Common stocks | Mid cap | Industrials | US0078001056 | BWD7PX9 | 4,489,688,740 | USD | Analyze
|
AJX | Great Ajax Corp | | 02/13/2015 | US Equity | Mortgage REITs | Micro cap | Financials | US38983D3008 | BVVM4K9 | 144,801,863 | USD | Analyze
|
AJXA | Great Ajax Corp. 7.25% Convertible Senior Notes due 2024 | | 04/28/2017 | US Equity | Exchange traded debt | Short-term | Financials | US38983D4097 | BDFWMZ0 | 82,600,000 | USD | Analyze
|
AKA | a.k.a. Brands Holding Corp. | | 09/22/2021 | US Equity | Common stocks | Micro cap | Consumer Discretionary | | BPF0FG0 | 81,306,388 | USD | Analyze
|
AKO.A | Embotelladora Andina ADRs of A Shares | | 07/30/2001 | US Equity | ADRs | Mid cap | Consumer Staples | US29081P2048 | | 2,169,885,022 | USD | Analyze
|
AKO.B | Embotelladora Andina ADRs of B Shares | | 08/29/2001 | US Equity | ADRs | Mid cap | Consumer Staples | US29081P3038 | | 2,169,885,022 | USD | Analyze
|
AKR | Acadia Realty Trust | | 02/06/2001 | US Equity | REITs | Small cap | Real Estate | US0042391096 | 2566522 | 1,235,081,567 | USD | Analyze
|
AL | Air Lease Corp | | 04/19/2011 | US Equity | Common stocks | Mid cap | Industrials | US00912X3026 | B3XS562 | 4,064,274,453 | USD | Analyze
|
AL-A | Air Lease Corp 6.150% Fixed-to-Floating Rate Non-Cumulative Preferred Series A | | 03/07/2019 | US Equity | Preferred stocks | Non-convertible | Industrials | US00912X5005 | BJR4L26 | 237,000,000 | USD | Analyze
|
ALB | Albemarle Corp | | 02/06/2001 | US Equity | Common stocks | Large cap | Materials | US0126531013 | 2046853 | 25,294,440,891 | USD | Analyze
|
ALC | Alcon Inc. | | 11/09/2006 | US Equity | Common stocks | Large cap | Health Care | CH0432492467 | BJT1GR5 | 33,429,930,000 | USD | Analyze
|
ALCC | AltC Acquisition Corp. Class A | | 07/08/2021 | US Equity | Common stocks | Small cap | Financials | | | 521,265,675 | USD | Analyze
|
ALE | Allete Inc | | 02/06/2001 | US Equity | Common stocks | Mid cap | Utilities | US0185223007 | B02R1L6 | 3,479,829,074 | USD | Analyze
|
ALEX | Alexander & Baldwin, Inc | | 05/12/2009 | US Equity | REITs | Small cap | Real Estate | US0144911049 | B827VB2 | 1,266,761,339 | USD | Analyze
|
ALG | Alamo Group Inc | | 02/06/2001 | US Equity | Common stocks | Mid cap | Industrials | US0113111076 | 2021634 | 2,122,796,286 | USD | Analyze
|
ALIN-A | Altera Infrastructure L.P. 7.25% Series A Preferred Units | | 05/02/2013 | US Equity | Preferred stocks | Non-convertible | Energy | MHY1001E1095 | BLG58Q7 | 17,460,000 | USD | Analyze
|
ALIN-B | Altera Infrastructure L.P. 8.50% Series B Preferred | | 04/14/2015 | US Equity | Preferred stocks | Non-convertible | Energy | MHY1001E1178 | BLG5C09 | 15,000,000 | USD | Analyze
|
ALIN-E | Altera Infrastructure L.P. 8.875% Series E Fixed to Floating Preferred | | 01/17/2018 | US Equity | Preferred stocks | Non-convertible | Energy | MHY1001E1251 | BLG5C10 | 15,360,000 | USD | Analyze
|
ALIT | Alight, Inc. Class A | | 07/17/2020 | US Equity | Common stocks | Mid cap | Industrials | US01626W1018 | BNG7BZ7 | 4,160,433,255 | USD | Analyze
|
ALK | Alaska Air Group Inc | | 02/06/2001 | US Equity | Common stocks | Mid cap | Industrials | US0116591092 | 2012605 | 4,910,377,742 | USD | Analyze
|
ALL | Allstate Corp | | 02/07/2001 | US Equity | Common stocks | Large cap | Financials | US0200021014 | 2019952 | 27,802,349,726 | USD | Analyze
|
ALL-B | Allstate Corp 5.100% Fixed-to-Floating Rate Subordinated Debentures due 2053 | | 02/11/2013 | US Equity | Exchange traded debt | Long-term | Financials | US0200023093 | B87XV26 | 4,089,733 | USD | Analyze
|
ALLE | Allegion PLC | | 11/18/2013 | US Equity | Common stocks | Mid cap | Industrials | IE00BFRT3W74 | BFRT3W7 | 8,986,202,168 | USD | Analyze
|
ALLG | Allego N.V. | | 03/17/2022 | US Equity | Common stocks | Small cap | Consumer Discretionary | | | 633,210,893 | USD | Analyze
|
ALL-G | Allstate Corporation ADRs of 5.625% Non-cumulative Preferred Stock, Series G | | 03/27/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US0200021279 | BD5F0W2 | 272,983,406 | USD | Analyze
|
ALLG+ | Allego N.V. Warrants, each exercisable for one Ordinary Share at an exercise price of $11.50 per share | | 03/17/2022 | US Equity | Warrants | Operating Companies | Consumer Discretionary | | | 633,210,893 | USD | Analyze
|
ALL-H | Allstate Corporation ADRs of 5.1% Noncumulative Perpetual Preferred Stock, Series H | | 08/09/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US0200028381 | BKDKS91 | 1,077,320,000 | USD | Analyze
|
ALL-I | Allstate Corporation ADRs of 4.75% Noncumulative Preferred Stock, Series I | | 11/27/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US0200028126 | BK727P2 | 268,560,000 | USD | Analyze
|
ALLY | Ally Financial Inc | | 01/28/2014 | US Equity | Common stocks | Mid cap | Financials | US02005N1000 | B72XK05 | 7,222,467,884 | USD | Analyze
|
ALP-Q | Alabama Power Company 5.00% Class A Cumulative Preferred Stock | | 09/05/2017 | US Equity | Preferred stocks | Non-convertible | Utilities | US0103924629 | BF2FQN2 | 249,900,000 | USD | Analyze
|
ALSN | Allison Transmission Holdings Inc | | 03/15/2012 | US Equity | Common stocks | Mid cap | Industrials | US01973R1014 | B4PZ892 | 3,929,038,506 | USD | Analyze
|
ALTG | Alta Equipment Group Inc. Class A | | 08/20/2019 | US Equity | Common stocks | Small cap | Industrials | US02128L1061 | BLLCYB0 | 499,654,651 | USD | Analyze
|
ALTG-A | Alta Equipment Group Inc. ADRs of 10% Series A Cumulative Perpetual Preferred Stock | | 12/28/2020 | US Equity | Preferred stocks | Non-convertible | Industrials | | | 31,939,600 | USD | Analyze
|
ALV | Autoliv Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US0528001094 | 2064253 | 7,583,839,622 | USD | Analyze
|
ALX | Alexanders, Inc | | 08/01/2001 | US Equity | REITs | Small cap | Real Estate | US0147521092 | | 948,474,826 | USD | Analyze
|
AM | Antero Midstream Partners LP | | 11/05/2014 | US Equity | MLPs | Mid cap | Energy | US03676B1026 | BJBT0Q4 | 4,685,625,049 | USD | Analyze
|
AMBC | Ambac Financial Group Inc | | 05/01/2013 | US Equity | Common stocks | Small cap | Financials | US0231398845 | B7ZKH46 | 655,304,511 | USD | Analyze
|
AMBC+ | Ambac Financial Group, Inc. Warrants Expiring 4/2023 | | 12/31/1969 | US Equity | Warrants | Operating Companies | Financials | | | 6,701,613 | USD | Analyze
|
AMBP | Ardagh Metal Packaging S.A. | | 08/02/2021 | US Equity | Common stocks | Mid cap | Materials | | BMWT6B1 | 2,256,331,853 | USD | Analyze
|
AMBP+ | Ardagh Metal Packaging S.A. Warrants, each exercisable for one Share at an exercise price of $11.50 per share | | 08/05/2021 | US Equity | Warrants | Operating Companies | Materials | | | 2,256,331,853 | USD | Analyze
|
AMC | AMC Entertainment Holdings Inc Class A | | 12/18/2013 | US Equity | Common stocks | Mid cap | Communication Services | US00165C1045 | BH4HLL3 | 2,313,584,460 | USD | Analyze
|
AMCR | Amcor plc | | 06/11/2019 | US Equity | Common stocks | Large cap | Materials | JE00BJ1F3079 | BJ1F307 | 16,105,854,853 | USD | Analyze
|
AME | Ametek Inc | | 02/07/2001 | US Equity | Common stocks | Large cap | Industrials | US0311001004 | 2089212 | 31,859,366,666 | USD | Analyze
|
AMG | Affiliated Managers Group Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Financials | US0082521081 | 2127899 | 4,897,729,162 | USD | Analyze
|
AMH | American Homes 4 Rent Class A | | 08/01/2013 | US Equity | REITs | Large cap | Real Estate | US02665T3068 | BCF5RR9 | 10,440,501,026 | USD | Analyze
|
AMH-G | American Homes 4 Rent 5.875% Series G cumulative preferred shares | | 07/11/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US02665T8760 | BDFG5B9 | 103,500,000 | USD | Analyze
|
AMH-H | American Homes 4 Rent 6.25% Series H cumulative preferred | | 09/13/2018 | US Equity | Preferred stocks | Non-convertible | Real Estate | US02665T8687 | BFY78Q3 | 117,944,000 | USD | Analyze
|
AMK | AssetMark Financial Holdings, Inc. | | 01/04/1999 | US Equity | Common stocks | Mid cap | Financials | US04546L1061 | BKF9D68 | 2,262,072,603 | USD | Analyze
|
AMN | AMN Healthcare Services Inc | | 11/13/2001 | US Equity | Common stocks | Mid cap | Health Care | US0017441017 | 2813552 | 3,396,192,521 | USD | Analyze
|
AMOV | America Movil - Series A ADRs | | 02/07/2001 | US Equity | ADRs | Large cap | Communication Services | US02364W2044 | | 44,956,246,605 | USD | Analyze
|
AMP | Ameriprise Finance Inc | | 09/15/2005 | US Equity | Common stocks | Large cap | Financials | US03076C1062 | B0J7D57 | 31,245,722,922 | USD | Analyze
|
AMPI | Advanced Merger Partners, Inc. Class A | | 04/22/2021 | US Equity | Common stocks | Micro cap | Financials | | | 289,512,500 | USD | Analyze
|
AMPI+ | Advanced Merger Partners, Inc. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 04/22/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
AMPI= | Advanced Merger Partners Inc - Units (1 Ord Share Class A & 1/6 War) | | 03/02/2021 | US Equity | Units | Micro cap | Financials | | | 243,000,000 | USD | Analyze
|
AMPS | Altus Power, Inc. Class A | | 02/01/2021 | US Equity | Common stocks | Small cap | Utilities | | BPNXP05 | 886,686,558 | USD | Analyze
|
AMPS+ | Altus Power, Inc. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.00 | | 12/09/2021 | US Equity | Warrants | Operating Companies | Utilities | | | 1,643,573,438 | USD | Analyze
|
AMPX | Amprius Technologies, Inc. | | 09/15/2022 | US Equity | Common stocks | Small cap | Unknown | | | 646,180,866 | USD | Analyze
|
AMPX+ | Amprius Technologies, Inc. Warrants to purchase one share of Common Stock at an exercise price of $11.50 per share | | 09/15/2022 | US Equity | Warrants | | Unknown | | | 646,180,866 | USD | Analyze
|
AMPY | Amplify Energy Corp. | | 05/19/2017 | US Equity | Common stocks | Micro cap | Energy | US03212B1035 | BK598S5 | 243,490,278 | USD | Analyze
|
AMR | Alpha Metallurgical Resources, Inc. | | 04/30/2008 | US Equity | Common stocks | Mid cap | Materials | US0207641061 | BMFND53 | 2,197,894,941 | USD | Analyze
|
AMRC | Ameresco Inc Class A | | 07/22/2010 | US Equity | Common stocks | Small cap | Industrials | US02361E1082 | B3SWPT2 | 1,476,414,263 | USD | Analyze
|
AMRX | Amneal Pharmaceuticals Inc Class A | | 05/13/2013 | US Equity | Common stocks | Micro cap | Health Care | US03168L1052 | BFNF1D6 | 198,466,087 | USD | Analyze
|
AMT | American Tower Corporation | | 01/02/2001 | US Equity | REITs | Large cap | Real Estate | US03027X1000 | B7FBFL2 | 89,227,097,059 | USD | Analyze
|
AMTD | AMTD International Inc. ADRs of Class A | | 08/05/2019 | US Equity | ADRs | Micro cap | Financials | | | 184,208,610 | USD | Analyze
|
AMWL | American Well Corp | | 02/27/2006 | US Equity | Common stocks | Small cap | Health Care | US03044L1052 | BN0SDK5 | 548,010,071 | USD | Analyze
|
AMX | America Movil SAB de CV ADRs Series L | | 08/29/2001 | US Equity | ADRs | Large cap | Communication Services | US02364W1053 | 2722670 | 68,886,962,176 | USD | Analyze
|
AN | AutoNation Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US05329W1027 | 2732635 | 5,850,209,202 | USD | Analyze
|
ANAC | Arctos NorthStar Acquisition Corp. Class A | | 04/15/2021 | US Equity | Common stocks | Small cap | Financials | | | 322,258,750 | USD | Analyze
|
ANAC+ | Arctos NorthStar Acquisition Corp. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 04/15/2021 | US Equity | Warrants | Shell Companies | Financials | | | 322,258,750 | USD | Analyze
|
ANAC= | Arctos NorthStar Acquisition Corp - Units (1 Ord Share Class A & 1/4 War) | | 02/23/2021 | US Equity | Units | Micro cap | Financials | | | 279,950,000 | USD | Analyze
|
ANET | Arista Networks Inc | | 06/06/2014 | US Equity | Common stocks | Large cap | Information Technology | US0404131064 | BN33VM5 | 51,900,314,096 | USD | Analyze
|
ANF | Abercrombie And Fitch | | 02/07/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US0028962076 | 2004185 | 1,206,422,888 | USD | Analyze
|
ANTM | Anthem Inc | | 10/30/2001 | US Equity | Common stocks | Large cap | Materials | US0367521038 | BSPHGL4 | 116,342,693,132 | USD | Analyze
|
ANVS | Annovis Bio, Inc. | | 08/29/2002 | US Equity | Common stocks | Micro cap | Health Care | US03615A1088 | | 150,787,658 | USD | Analyze
|
AOMR | Angel Oak Mortgage, Inc. | | 06/17/2021 | US Equity | Mortgage REITs | Micro cap | Financials | US03464Y1082 | BMFZKV4 | 176,720,781 | USD | Analyze
|
AON | Aon Plc | | 11/19/2012 | US Equity | Common stocks | Large cap | Financials | IE00BLP1HW54 | BLP1HW5 | 62,156,089,413 | USD | Analyze
|
AORT | Artivion, Inc. | | 12/27/1999 | US Equity | Common stocks | Small cap | Health Care | US2289031005 | 2239017 | 476,538,053 | USD | Analyze
|
AOS | A O Smith Corp | | 09/30/1983 | US Equity | Common stocks | Large cap | Industrials | US8318652091 | 2816023 | 10,127,489,685 | USD | Analyze
|
AP | Ampco Pittsburgh Corp | | 02/07/2001 | US Equity | Common stocks | Micro cap | Materials | US0320371034 | | 43,657,918 | USD | Analyze
|
APAM | Artisan Partners Asset Management | | 03/07/2013 | US Equity | Common stocks | Mid cap | Financials | US04316A1088 | B8FW545 | 2,075,135,646 | USD | Analyze
|
APCA | AP Acquisition Corp Class A | | 04/24/2018 | US Equity | Common stocks | Micro cap | Financials | | | 181,470,000 | USD | Analyze
|
APCA+ | AP Acquisition Corp Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 02/07/2022 | US Equity | Warrants | Shell Companies | Financials | | | 181,470,000 | USD | Analyze
|
APCA= | AP Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 12/17/2021 | US Equity | Units | Micro cap | Financials | | | 181,470,000 | USD | Analyze
|
APD | Air Products And Chemicals Inc | | 02/07/2001 | US Equity | Common stocks | Large cap | Materials | US0091581068 | 2011602 | 59,282,796,246 | USD | Analyze
|
APE | AMC Entertainment Holdings, Inc. AMC Preferred Equity Units, each constituting a depositary share representing a 1/100th interest in a share of Series A Convertible Participating Preferred Stock | | 08/22/2022 | US Equity | Preferred stocks | Non-convertible | Communication Services | | BNG3PG4 | 2,313,584,460 | USD | Analyze
|
APG | APi Group Corporation | | 04/29/2020 | US Equity | Common stocks | Mid cap | Industrials | US00187Y1001 | BMBPH06 | 4,911,203,230 | USD | Analyze
|
APGB | Apollo Strategic Growth Capital II Class A | | 04/05/2021 | US Equity | Common stocks | Small cap | Financials | | | 705,180,000 | USD | Analyze
|
APGB+ | Apollo Strategic Growth Capital II Warrants, each exercisable for one Class A Ordinary Share at an exercise price of $11.50 per share | | 04/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 705,180,000 | USD | Analyze
|
APGB= | Apollo Strategic Growth Capital II - Units (1 Ord Share Class A & 1/5 War) | | 02/10/2021 | US Equity | Units | Small cap | Financials | | | 613,800,000 | USD | Analyze
|
APH | Amphenol Corp | | 11/08/1991 | US Equity | Common stocks | Large cap | Information Technology | US0320951017 | 2145084 | 46,605,101,807 | USD | Analyze
|
APLE | Apple Hospitality REIT, Inc | | 05/18/2015 | US Equity | REITs | Mid cap | Real Estate | US03784Y2000 | BXRTX56 | 3,166,990,361 | USD | Analyze
|
APN | Apeiron Capital Investment Corp. Class A | | 12/30/2021 | US Equity | Common stocks | Micro cap | Financials | | | 178,882,500 | USD | Analyze
|
APN+ | Apeiron Capital Investment Corp. Redeemable Warrants | | 12/30/2021 | US Equity | Warrants | Shell Companies | Financials | | | 178,882,500 | USD | Analyze
|
APN= | Apeiron Capital Investment Corp - Units (1 Ord Share Class A & 1/2 War) | | 11/09/2021 | US Equity | Units | Micro cap | Financials | | | 178,882,500 | USD | Analyze
|
APO | Apollo Global Management LLC | | 03/30/2011 | US Equity | MLPs | Large cap | Financials | US03769M1062 | BN44JF6 | 32,926,642,845 | USD | Analyze
|
APRN | Blue Apron Holdings Inc. Class A | | 06/28/2017 | US Equity | Common stocks | Micro cap | Consumer Staples | US09523Q2003 | | 53,354,454 | USD | Analyze
|
APSG | Apollo Strategic Growth Capital Class A | | 11/23/2020 | US Equity | Common stocks | Small cap | Financials | | | 603,622,590 | USD | Analyze
|
APSG+ | Apollo Strategic Growth Capital Warrants, each exercisable for one Class A Ordinary Share at an exercise price of $11.50 per share | | 11/23/2020 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
APSG= | Global Business Travel Group Inc - Units (1 Ord Share Class A & 1/3 War) | | 10/02/2020 | US Equity | Units | Small cap | Financials | | | 631,394,130 | USD | Analyze
|
APTS | Preferred Apartment Communities, Inc | | 04/01/2011 | US Equity | REITs | Small cap | Real Estate | US74039L1035 | B50XT95 | 1,611,074,075 | USD | Analyze
|
APTV | Aptiv Plc | | 12/05/2017 | US Equity | Common stocks | Large cap | Consumer Discretionary | JE00B783TY65 | B783TY6 | 29,191,755,330 | USD | Analyze
|
APTV-A | Aptiv PLC 5.50% Series A Mandatory Convertible Preferred Shares | | 06/16/2020 | US Equity | Preferred stocks | Convertible | Consumer Discretionary | JE00BMHMX696 | BMHMX69 | 1,090,950,000 | USD | Analyze
|
AQN | Algonquin Power & Utilities Corp. | | 02/11/2013 | US Equity | Common stocks | Mid cap | Utilities | CA0158571053 | B51BMR7 | 5,346,940,721 | USD | Analyze
|
AQNA | Algonquin Power & Utilities Corp. 6.875% Fixed-to-Floating Rate Subordinated Notes Series 2018-A | | 10/23/2018 | US Equity | Exchange traded debt | Long-term | Utilities | US0158577090 | BG0V242 | 266,685,000 | USD | Analyze
|
AQNB | Algonquin Power & Utilities Corp. 6.20% Fixed-to-Floating Subordinated Notes Series 2019-A due July 1, 2079 | | 05/28/2019 | US Equity | Exchange traded debt | Long-term | Utilities | US0158578080 | BFYWGC0 | 334,880,000 | USD | Analyze
|
AQNU | Algonquin Power & Utilities Corp. Corporate Units | | 06/29/2021 | US Equity | Units | Mid cap | Utilities | | | 7,315,055,324 | USD | Analyze
|
AQUA | Evoqua Water Technologies Corp. | | 11/02/2017 | US Equity | Common stocks | Mid cap | Industrials | US30057T1051 | BF329G6 | 5,645,000,361 | USD | Analyze
|
AR | Antero Resources Corp | | 10/10/2013 | US Equity | Common stocks | Mid cap | Energy | US03674X1063 | BFD2WR8 | 6,203,189,138 | USD | Analyze
|
ARC | Arc Document Solutions Inc | | 02/04/2005 | US Equity | Common stocks | Micro cap | Industrials | US00191G1031 | | 135,961,092 | USD | Analyze
|
ARCH | Arch Coal Inc Class A | | 10/05/2016 | US Equity | Common stocks | Mid cap | Energy | US03940R1077 | BLB8B95 | 2,260,716,100 | USD | Analyze
|
ARCO | Arcos Dorados Holdings Inc Class A | | 04/14/2011 | US Equity | Common stocks | Small cap | Consumer Discretionary | VGG0457F1071 | B529PQ0 | 978,587,415 | USD | Analyze
|
ARE | Alexandria Real Estate Equities, Inc | | 02/07/2001 | US Equity | REITs | Large cap | Real Estate | US0152711091 | 2009210 | 20,088,487,317 | USD | Analyze
|
ARES | Ares Management Corporation Class A | | 05/02/2014 | US Equity | Common stocks | Large cap | Financials | US03990B1017 | BF14BT1 | 14,150,397,969 | USD | Analyze
|
ARGD | Argo Group International Holdings Ltd. 6.5% Senior Notes Due 2042 | | 05/07/2018 | US Equity | Exchange traded debt | Long-term | Financials | US0401302056 | B7J5YN5 | 107,250,000 | USD | Analyze
|
ARGO | Argo Group International Holdings | | 05/13/2013 | US Equity | Common stocks | Small cap | Financials | BMG0464B1072 | 2499543 | 1,014,195,387 | USD | Analyze
|
ARGO-A | Argo Group International ADRs of 7.00% Resettable Fixed Rate Preference Share, Series A | | 07/21/2020 | US Equity | Preferred stocks | Non-convertible | Financials | US0401282092 | BMVZ8X6 | 137,400,000 | USD | Analyze
|
ARI | Apollo Commercial Real Estate Finance | | 09/24/2009 | US Equity | Mortgage REITs | Small cap | Financials | US03762U1051 | B4JTYX6 | 1,255,855,087 | USD | Analyze
|
ARIS | Aris Water Solutions, Inc. | | 10/22/2021 | US Equity | Common stocks | Micro cap | Industrials | | BNV0RQ4 | 239,380,085 | USD | Analyze
|
ARL | American Realty Investors Inc | | 07/23/2001 | US Equity | Common stocks | Small cap | Real Estate | US0291741090 | 2615974 | 450,318,959 | USD | Analyze
|
ARLO | Arlo Technologies Inc. | | 08/03/2018 | US Equity | Common stocks | Small cap | Information Technology | US04206A1016 | BYWPZY9 | 500,875,197 | USD | Analyze
|
ARMK | Aramark | | 12/12/2013 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US03852U1060 | BH3XG17 | 8,836,593,294 | USD | Analyze
|
ARNC | Arconic Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Materials | US03966V1070 | BKLJ8S9 | 2,634,083,173 | USD | Analyze
|
AROC | Archrock Inc | | 02/07/2001 | US Equity | Common stocks | Small cap | Energy | US03957W1062 | BYRGSX7 | 1,437,996,372 | USD | Analyze
|
ARR | Armour Residential REIT Inc | | 11/10/2009 | US Equity | Mortgage REITs | Small cap | Financials | US0423155078 | BYRYKS0 | 923,390,243 | USD | Analyze
|
ARR-C | ARMOUR Residential REIT, Inc. 7% Series C Cumulative Preferred | | 01/29/2020 | US Equity | Preferred stocks | Non-convertible | Financials | US0423156068 | BL71KR9 | 142,135,000 | USD | Analyze
|
ARW | Arrow Electronics Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Information Technology | US0427351004 | 2051404 | 6,860,642,717 | USD | Analyze
|
ASAI | Sendas Distribuidora S.A. ADRs | | 03/08/2021 | US Equity | ADRs | Mid cap | Consumer Staples | | | 3,899,261,016 | USD | Analyze
|
ASAN | Asana, Inc. | | 09/30/2020 | US Equity | Common stocks | Mid cap | Information Technology | US04342Y1047 | BLFDQC4 | 4,423,572,998 | USD | Analyze
|
ASAQ | Atlantic Avenue Acquisition Corp. Class A | | 10/15/2020 | US Equity | Common stocks | Micro cap | Financials | | | 250,750,000 | USD | Analyze
|
ASAQ+ | Atlantic Street Acquisition Corp Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 10/15/2020 | US Equity | Warrants | Shell Companies | Financials | | | 250,750,000 | USD | Analyze
|
ASAQ= | Atlantic Avenue Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 10/02/2020 | US Equity | Units | Micro cap | Financials | | | 250,750,000 | USD | Analyze
|
ASB | Associated Bancorp | | 02/06/2001 | US Equity | Common stocks | Mid cap | Financials | US0454871056 | 2055718 | 2,664,334,796 | USD | Analyze
|
ASBA | Associated Banc-Corp 6.625% Fixed-Rate Reset Subordinated Notes due 2033 | | 03/03/2023 | US Equity | Exchange traded debt | Unknown | Unknown | | | 2,664,334,796 | USD | Analyze
|
ASB-E | Associated Banc-Corp ADRs of 5.875% Non-Cumulative Preferred Series E | | 09/20/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US0454872047 | BG2F3F0 | 96,680,000 | USD | Analyze
|
ASB-F | Associated Banc-Corp ADRs of 5.625% Non-Cumulative Perpetual Preferred Stock, Series F | | 06/18/2020 | US Equity | Preferred stocks | Non-convertible | Financials | US0454874027 | BMTD069 | 92,320,000 | USD | Analyze
|
ASC | Ardmore Shipping Corp | | 08/01/2013 | US Equity | Common stocks | Small cap | Energy | MHY0207T1001 | BCGCR57 | 596,560,459 | USD | Analyze
|
ASGN | ASGN Incorporated | | 06/11/2012 | US Equity | Common stocks | Mid cap | Industrials | US00191U1025 | BFY8W20 | 3,871,529,000 | USD | Analyze
|
ASH | Ashland Global Inc | | 03/17/1980 | US Equity | Common stocks | Mid cap | Materials | US0441861046 | BYND5N1 | 5,189,991,865 | USD | Analyze
|
ASIX | Advansix Inc | | 09/15/2016 | US Equity | Common stocks | Small cap | Materials | US00773T1016 | BYMMZL7 | 964,847,098 | USD | Analyze
|
ASPN | Aspen Aerogels Inc | | 06/13/2014 | US Equity | Common stocks | Small cap | Materials | US04523Y1055 | BN65SM7 | 512,205,560 | USD | Analyze
|
ASR | Grupo Aeroportuario del Sureste ADRs | | 08/29/2001 | US Equity | ADRs | Mid cap | Industrials | US40051E2028 | 2639361 | 8,020,043,400 | USD | Analyze
|
ASX | Advanced Semiconductor Engineering Inc ADRs | | 08/28/2001 | US Equity | ADRs | Large cap | Information Technology | US00215W1009 | | 16,966,738,674 | USD | Analyze
|
ASZ | Austerlitz Acquisition Corporation II Class A | | 04/19/2021 | US Equity | Common stocks | Small cap | Financials | | | 1,377,930,000 | USD | Analyze
|
ASZ+ | Austerlitz Acquisition Corporation II Warrants, each whole Warrant exercisable for one Class A Ordinary Share at an exercise price of $11.50 per share | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 1,368,960,000 | USD | Analyze
|
ASZ= | Austerlitz Acquisition Corp II - Units (1 Ord Share Class A & 1/4 War) | | 02/26/2021 | US Equity | Units | Small cap | Financials | | | 1,196,400,000 | USD | Analyze
|
ATA | Americas Technology Acquisition Corp. | | 01/28/2021 | US Equity | Common stocks | Micro cap | Financials | CA0019401052 | B2PW3T4 | 75,552,110 | USD | Analyze
|
ATA+ | Americas Technology Acquisition Corp. Redeemable Warrants, each whole warrant exercisable for one Ordinary Share at an exercise price of $11.50 | | 01/28/2021 | US Equity | Warrants | Shell Companies | Financials | | | 75,552,110 | USD | Analyze
|
ATA= | Americas Technology Acquisition Corp - Units (1 Ord & 1/2 War) | | 12/15/2020 | US Equity | Units | Micro cap | Financials | | | 75,552,110 | USD | Analyze
|
ATAQ | Altimar Acquisition Corp. III Class A | | 04/26/2021 | US Equity | Common stocks | Micro cap | Financials | | | 156,648,803 | USD | Analyze
|
ATAQ+ | Altimar Acquisition Corp. III Warrants, each whole warrant exercisable for one Class A Ordinary Share at an exercise price of $11.50 per share | | 04/26/2021 | US Equity | Warrants | Shell Companies | Financials | | | 154,939,500 | USD | Analyze
|
ATAQ= | Altimar Acquisition Corp III - Units (1 Ord Class A & 1/4 War) | | 03/04/2021 | US Equity | Units | Micro cap | Financials | | | 135,675,000 | USD | Analyze
|
ATC | Atotech Limited | | 05/21/2019 | US Equity | Common stocks | Small cap | Information Technology | | | 593,980,005 | USD | Analyze
|
ATCO | Atlas Corp. | | 02/27/2020 | US Equity | Common stocks | Mid cap | Industrials | MHY0436Q1098 | BLH9147 | 4,327,661,305 | USD | Analyze
|
ATCO-D | Atlas Corp. 7.95% Cumulative Preferred Series D | | 02/28/2020 | US Equity | Preferred stocks | Non-convertible | Industrials | MHY0436Q1171 | BLH91B4 | 126,375,392 | USD | Analyze
|
ATCO-H | Atlas Corp. 7.875% Cumulative Preferred Series H | | 02/28/2020 | US Equity | Preferred stocks | Non-convertible | Industrials | MHY0436Q1411 | BLH91G9 | 222,649,340 | USD | Analyze
|
ATCO-I | Atlas Corp. Series I 8% Fixed-to-Floating Cumulative Preferred | | 02/28/2020 | US Equity | Preferred stocks | Non-convertible | Industrials | MHY0436Q1585 | BLH91H0 | 151,440,000 | USD | Analyze
|
ATEK | Athena Technology Acquisition Corp. II Class A | | 01/28/2022 | US Equity | Common stocks | Micro cap | Financials | | | 269,606,400 | USD | Analyze
|
ATEK+ | Athena Technology Acquisition Corp. II Redeemable Warrants | | 01/28/2022 | US Equity | Warrants | Shell Companies | Financials | | | 269,606,400 | USD | Analyze
|
ATEK= | Athena Technology Acquisition Corp II - Units (1 Ord Share Class A & 1/2 War) | | 12/10/2021 | US Equity | Units | Micro cap | Financials | | | 269,606,400 | USD | Analyze
|
ATEN | A10 Networks Inc | | 03/21/2014 | US Equity | Common stocks | Small cap | Information Technology | US0021211018 | BKQVBN6 | 1,094,457,000 | USD | Analyze
|
ATGE | Adtalem Global Education Inc | | 08/01/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US00737L1035 | BZ12TX5 | 1,643,954,893 | USD | Analyze
|
ATH-A | Athene Holding Ltd. ADRs of 6.35% Fixed-to-Floating Rate Perpetual Non-Cumulative Preference Share, Series A | | 06/07/2019 | US Equity | Preferred stocks | Non-convertible | Financials | BMG0684D3054 | BK1MHD6 | 619,500,000 | USD | Analyze
|
ATH-B | Athene Holding Ltd. ADRs of 5.625% Fixed Rate Perpetual Non- Cumulative Preference Share, Series B | | 09/25/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US04686J2006 | BKWG6L8 | 270,600,000 | USD | Analyze
|
ATH-C | Athene Holding Ltd. ADRs of 6.375% Fixed-Rate Reset Non-Cumulative Preferred, Series C | | 06/16/2020 | US Equity | Preferred stocks | Non-convertible | Financials | US04686J3095 | BMG0ZK2 | 525,840,000 | USD | Analyze
|
ATH-D | Athene Holding Ltd. ADRs 4.875% Fixed-Rate Perpetual Non-Cumulative Preference, Series D | | 12/15/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BMC8G63 | 451,200,000 | USD | Analyze
|
ATH-E | Athene Holding Ltd. Depositary Shares, Each Representing a 1/1,000th Interest in a 7.750% Fixed-Rate Reset Perpetual Non-Cumulative Preference Share, Series E | | 12/16/2022 | US Equity | Preferred stocks | Non-convertible | Unknown | | | 0 | USD | Analyze
|
ATHM | Autohome Inc. ADRs | | 12/11/2013 | US Equity | ADRs | Small cap | Communication Services | US05278C1071 | BH5QGR0 | 931,718,616 | USD | Analyze
|
ATI | Allegheny Technologies Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Materials | US01741R1023 | 2526117 | 4,856,361,933 | USD | Analyze
|
ATIP | ATI Physical Therapy, Inc. Class A | | 10/02/2020 | US Equity | Common stocks | Micro cap | Health Care | | BN6MG68 | 66,342,225 | USD | Analyze
|
ATIP+ | ATI Physical Therapy, Inc. Warrant exercisable for one share at $11.50 per share | | 06/16/2021 | US Equity | Warrants | Operating Companies | Health Care | | | 66,342,225 | USD | Analyze
|
ATKR | Atkore International Group Inc | | 06/10/2016 | US Equity | Common stocks | Mid cap | Industrials | US0476491081 | BDHF495 | 5,319,308,259 | USD | Analyze
|
ATO | Atmos Energy Corp | | 02/07/2001 | US Equity | Common stocks | Large cap | Utilities | US0495601058 | 2315359 | 15,249,671,630 | USD | Analyze
|
ATR | Aptargroup Inc | | 02/07/2001 | US Equity | Common stocks | Mid cap | Materials | US0383361039 | 2045247 | 7,306,535,258 | USD | Analyze
|
ATTO | Atento S.A. | | 10/02/2014 | US Equity | Common stocks | Micro cap | Industrials | LU1102842090 | BQTG6Y6 | 31,212,367 | USD | Analyze
|
ATUS | Altice USA, Inc. Class A | | 06/22/2017 | US Equity | Common stocks | Small cap | Communication Services | US02156K1034 | BDRY7P9 | 1,409,254,363 | USD | Analyze
|
AU | AngloGold Ashanti ADRs | | 08/29/2001 | US Equity | ADRs | Mid cap | Materials | US0351282068 | 2257495 | 9,101,499,568 | USD | Analyze
|
AUB | Atlantic Union Bankshares Corporation | | 10/06/1993 | US Equity | Common stocks | Mid cap | Financials | US04911A1079 | BFZ9DB8 | 2,549,287,802 | USD | Analyze
|
AUB-A | Atlantic Union Bankshares Corporation Depositary Shares each representing a 1/400th ownership interest in a share of 6.875% Perpetual Non-Cumulative Preferred Stock, Series A | | 06/03/2020 | US Equity | Preferred stocks | Non-convertible | Unknown | | | 2,549,287,802 | USD | Analyze
|
AUD | Audacy | | 01/29/1999 | US Equity | Common stocks | Micro cap | Communication Services | US05070N1037 | BMV31Q4 | 15,119,611 | USD | Analyze
|
AUS | Austerlitz Acquisition Corporation I Class A | | 04/19/2021 | US Equity | Common stocks | Small cap | Financials | | | 688,620,000 | USD | Analyze
|
AUS+ | Austerlitz Acquisition Corporation I Warrants, each whole Warrant exercisable for one Class A Ordinary Share at an exercise price of $11.50 per share | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 684,480,000 | USD | Analyze
|
AUS= | Austerlitz Acquisition Corp I - Units (1 Ord Share Class A & 1/4 War) | | 02/26/2021 | US Equity | Units | Small cap | Financials | | | 597,600,000 | USD | Analyze
|
AUY | Yamana Gold Inc. | | 12/05/2003 | US Equity | Common stocks | Mid cap | Materials | CA98462Y1007 | | 5,588,740,088 | USD | Analyze
|
AVA | Avista Corp | | 02/07/2001 | US Equity | Common stocks | Mid cap | Utilities | US05379B1070 | 2942605 | 2,983,198,168 | USD | Analyze
|
AVAL | Grupo Aval Acciones y Valores ADRs | | 09/23/2014 | US Equity | ADRs | Small cap | Financials | US40053W1018 | BQRX1Y4 | 802,778,872 | USD | Analyze
|
AVAN | Avanti Acquisition Corp. Class A | | 11/23/2020 | US Equity | Common stocks | Small cap | Financials | | | 602,400,000 | USD | Analyze
|
AVAN+ | Avanti Acquisition Corp. Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 11/23/2020 | US Equity | Warrants | Shell Companies | Financials | | | 602,400,000 | USD | Analyze
|
AVAN= | Avanti Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 10/02/2020 | US Equity | Units | Small cap | Financials | | | 602,400,000 | USD | Analyze
|
AVB | AvalonBay Communities, Inc | | 02/07/2001 | US Equity | REITs | Large cap | Real Estate | US0534841012 | 2131179 | 21,557,490,885 | USD | Analyze
|
AVD | American Vanguard Corp | | 02/07/2001 | US Equity | Common stocks | Small cap | Materials | US0303711081 | 2025711 | 639,926,392 | USD | Analyze
|
AVLR | Avalara Inc. | | 06/15/2018 | US Equity | Common stocks | Mid cap | Information Technology | US05338G1067 | BZ1NVP4 | 8,278,390,809 | USD | Analyze
|
AVNS | Avanos Medical Inc | | 10/21/2014 | US Equity | Common stocks | Small cap | Health Care | US05350V1061 | BFFVV54 | 1,304,449,543 | USD | Analyze
|
AVNT | Avient Corporation | | 01/04/1999 | US Equity | Common stocks | Mid cap | Materials | US05368V1061 | BMHWY55 | 3,457,633,092 | USD | Analyze
|
AVTR | Avantor, Inc. | | 05/17/2019 | US Equity | Common stocks | Large cap | Health Care | US05352A1007 | BJLT387 | 14,176,802,496 | USD | Analyze
|
AVY | Avery Dennison Corp | | 02/08/2001 | US Equity | Common stocks | Large cap | Materials | US0536111091 | 2066408 | 13,758,515,429 | USD | Analyze
|
AVYA | Avaya Holdings Corp. | | 12/19/2017 | US Equity | Common stocks | Micro cap | Information Technology | US05351X1019 | BD9G9B3 | 29,750,952 | USD | Analyze
|
AWI | Armstrong World Industries Inc | | 10/11/2006 | US Equity | Common stocks | Mid cap | Industrials | US04247X1028 | B1FT462 | 3,096,163,582 | USD | Analyze
|
AWK | American Water Works Inc | | 04/23/2008 | US Equity | Common stocks | Large cap | Utilities | US0304201033 | B2R3PV1 | 24,878,463,982 | USD | Analyze
|
AWR | American States Water | | 02/08/2001 | US Equity | Common stocks | Mid cap | Utilities | US0298991011 | 2267171 | 3,098,424,020 | USD | Analyze
|
AX | Axos Financial Inc | | 10/14/2013 | US Equity | Common stocks | Mid cap | Financials | US05465C1009 | BGK38H3 | 2,182,225,786 | USD | Analyze
|
AXAC | AXIOS Sustainable Growth Acquisition Corporation Class A | | 02/15/2022 | US Equity | Common stocks | Micro cap | Financials | | | 237,247,875 | USD | Analyze
|
AXAC^ | AXIOS Sustainable Growth Acquisition Corporation Rights to receive one-tenth (1/10) of one Class A | | 03/25/2022 | US Equity | Common stocks | Micro cap | Financials | | | 237,247,875 | USD | Analyze
|
AXAC+ | AXIOS Sustainable Growth Acquisition Corporation Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/25/2022 | US Equity | Warrants | Shell Companies | Financials | | | 237,247,875 | USD | Analyze
|
AXH | Industrial Human Capital, Inc. | | 05/26/2005 | US Equity | Common stocks | Micro cap | Financials | | | 146,912,500 | USD | Analyze
|
AXH+ | Industrial Human Capital, Inc. Warrant exercisable for one share at $11.50 per share | | 12/10/2021 | US Equity | Warrants | Shell Companies | Financials | | | 146,912,500 | USD | Analyze
|
AXH= | Industrial Human Capital Inc - Units (1 Ord Share & 1 War) | | 10/20/2021 | US Equity | Units | Micro cap | Financials | | | 146,912,500 | USD | Analyze
|
AXL | American Axle And Manufacturing Holdings | | 02/08/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US0240611030 | 2382416 | 851,326,941 | USD | Analyze
|
AXP | American Express | | 02/08/2001 | US Equity | Common stocks | Large cap | Financials | US0258161092 | 2026082 | 121,104,161,489 | USD | Analyze
|
AXR | Amrep Corp | | 07/30/2001 | US Equity | Common stocks | Micro cap | Real Estate | US0321591051 | | 71,098,919 | USD | Analyze
|
AXS | Axis Capital Holdings Ltd | | 07/01/2003 | US Equity | Common stocks | Mid cap | Financials | BMG0692U1099 | 2677606 | 4,410,037,064 | USD | Analyze
|
AXS-E | Axis Capital Holdings Limited ADRs of 5.5% Preferred Series E | | 11/01/2016 | US Equity | Preferred stocks | Non-convertible | Financials | US05461T3059 | BD2Z8N2 | 482,680,000 | USD | Analyze
|
AXTA | Axalta Coating Systems Ltd | | 11/12/2014 | US Equity | Common stocks | Mid cap | Materials | BMG0750C1082 | BSFWCF5 | 6,191,667,024 | USD | Analyze
|
AYI | Acuity Brands Inc | | 11/28/2001 | US Equity | Common stocks | Mid cap | Industrials | US00508Y1029 | 2818461 | 5,562,214,360 | USD | Analyze
|
AYX | Alteryx Inc Class A | | 03/24/2017 | US Equity | Common stocks | Mid cap | Information Technology | US02156B1035 | BYWMQJ2 | 3,504,084,485 | USD | Analyze
|
AZEK | The AZEK Company Inc. Class A | | 06/12/2020 | US Equity | Common stocks | Mid cap | Industrials | US05478C1053 | BKPVG43 | 3,304,029,548 | USD | Analyze
|
AZO | Autozone Inc | | 02/08/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US0533321024 | 2065955 | 42,458,591,553 | USD | Analyze
|
AZRE | Azure Power Global Limited Equity Shares | | 10/12/2016 | US Equity | Common stocks | Micro cap | Utilities | MU0527S00004 | BDG16Z4 | 101,015,078 | USD | Analyze
|
AZUL | Azul S.A. ADRs of preferred shares | | 04/11/2017 | US Equity | Preferred stocks | Non-convertible | Industrials | US05501U1060 | | 123,252,571 | USD | Analyze
|
AZZ | Azz Inc | | 02/08/2001 | US Equity | Common stocks | Small cap | Industrials | US0024741045 | 2067672 | 959,186,087 | USD | Analyze
|
B | Barnes Group Inc | | 02/08/2001 | US Equity | Common stocks | Small cap | Industrials | US0678061096 | 2080732 | 1,923,392,397 | USD | Analyze
|
BA | Boeing | | 02/08/2001 | US Equity | Common stocks | Large cap | Industrials | US0970231058 | 2108601 | 118,577,142,351 | USD | Analyze
|
BABA | Alibaba Group Holding Ltd ADRs | | 09/19/2014 | US Equity | ADRs | Large cap | Consumer Discretionary | US01609W1027 | BP41ZD1 | 229,116,943,020 | USD | Analyze
|
BAC | Bank of America Corp | | 02/08/2001 | US Equity | Common stocks | Large cap | Financials | US0605051046 | 2295677 | 215,863,543,817 | USD | Analyze
|
BACA+ | Berenson Acquisition Corp. I Warrants, each whole warrant exercisable for one share of class A common stock at an exercise price of $11.50 | | 11/18/2021 | US Equity | Warrants | Shell Companies | Financials | | | 277,851,000 | USD | Analyze
|
BACA= | Berenson Acquisition Corp I - Units (1 Ord Class A & 1/2 War) | | 09/28/2021 | US Equity | Units | Micro cap | Financials | | | 254,250,000 | USD | Analyze
|
BAC-B | Bank of America ADRs of 6.000% Non-Cumulative Preferred Series GG | | 05/17/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US0605052291 | BFZNM46 | 618,598,074 | USD | Analyze
|
BAC-E | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series E | | 12/28/2006 | US Equity | Preferred stocks | Non-convertible | Financials | US0605058157 | B1GH4Y3 | 256,738,930 | USD | Analyze
|
BAC-K | Bank of America ADRs of 5.875% Non- Cumulative Preferred Series HH | | 07/18/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US0605051954 | BYVQZ09 | 376,124,903 | USD | Analyze
|
BAC-L | Bank of America 7.25% Non Cumulative Convertible Preferred Series L | | 02/11/2013 | US Equity | Preferred stocks | Convertible | Financials | US0605056821 | B2PB3Z7 | 7,262,880,000 | USD | Analyze
|
BAC-M | Bank of America Corporation ADRs of 5.375% Non-Cumulative Preferred Stock, Series KK | | 06/18/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US06053U6010 | BJN6RX9 | 1,238,610,000 | USD | Analyze
|
BAC-N | Bank of America ADRs of 5.000% Non-Cumulative Preferred Stock, Series LL | | 09/18/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US06055H2022 | BKVJXF1 | 1,156,992,000 | USD | Analyze
|
BAC-O | Bank of America ADRs of 4.375% Non-Cumulative Preferred, Series NN | | 11/03/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BMVXBP3 | 862,840,000 | USD | Analyze
|
BAC-P | Bank of America ADRs of 4.125% Non-Cumulative Preferred, Series PP | | 01/29/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | BN4Q1G7 | 699,426,000 | USD | Analyze
|
BAC-Q | Bank of America ADRs of 4.250% Non-Cumulative Preferred, Series QQ | | 10/20/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 985,400,000 | USD | Analyze
|
BAC-S | Bank of America Corporation ADRs of 4.750% Non-Cumulative Preferred Stock, Series SS | | 02/03/2022 | US Equity | Preferred stocks | Non-convertible | Financials | | | 607,880,000 | USD | Analyze
|
BAH | Booz Allen Hamilton Holding Corp | | 11/17/2010 | US Equity | Common stocks | Large cap | Industrials | US0995021062 | B5367T7 | 11,914,087,881 | USD | Analyze
|
BAK | Braskem SA ADRs | | 12/21/1998 | US Equity | ADRs | Small cap | Materials | US1055321053 | | 1,086,720,727 | USD | Analyze
|
BALL | Ball Corporation | | 09/04/1984 | US Equity | Common stocks | Large cap | Materials | US0584981064 | 2073022 | 16,515,176,442 | USD | Analyze
|
BALY | Ballys Corporation | | 03/29/2019 | US Equity | Common stocks | Small cap | Consumer Discretionary | US05875B1061 | | 848,688,650 | USD | Analyze
|
BAM | Brookfield Asset Management Inc. | | 02/11/2013 | US Equity | Common stocks | Large cap | Financials | CA1125851040 | 2092555 | 12,882,842,233 | USD | Analyze
|
BAM# | Brookfield Asset Management Inc Class A Limited Voting Shares When-Issued | | 12/01/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
BAMH | Brookfield Finance Inc. 4.625% Subordinated Notes due October 16, 2080 | | 10/21/2020 | US Equity | Exchange traded debt | Long-term | Financials | US11271L1026 | BNHQ5L7 | 269,760,000 | USD | Analyze
|
BAMI | Brookfield Finance Inc. 4.50% Perpetual Subordinated Notes | | 11/27/2020 | US Equity | Exchange traded debt | Short-term | Financials | US11272B1035 | BLD4BQ8 | 128,480,000 | USD | Analyze
|
BAMR | Brookfield Asset Management Reinsurance Partners Ltd. Class A | | 06/28/2021 | US Equity | Common stocks | Small cap | Financials | BMG161691073 | BM94WM2 | 368,981,387 | USD | Analyze
|
BANC | Banc Of California Inc | | 08/23/2002 | US Equity | Common stocks | Small cap | Financials | US05990K1060 | BCD47X4 | 712,548,717 | USD | Analyze
|
BAP | Credicorp Ltd | | 09/17/2001 | US Equity | Common stocks | Large cap | Financials | BMG2519Y1084 | 2232878 | 11,784,576,101 | USD | Analyze
|
BARK | The Original BARK Company | | 12/28/2018 | US Equity | Common stocks | Micro cap | Consumer Discretionary | | BNVVLD2 | 225,640,302 | USD | Analyze
|
BARK+ | The Original BARK Company Warrants | | 06/01/2021 | US Equity | Warrants | Operating Companies | Consumer Discretionary | | | 225,640,302 | USD | Analyze
|
BAX | Baxter International Inc | | 02/08/2001 | US Equity | Common stocks | Large cap | Health Care | US0718131099 | 2085102 | 19,238,102,968 | USD | Analyze
|
BB | Blackberry Limited | | 02/11/2013 | US Equity | Common stocks | Mid cap | Information Technology | CA09228F1036 | BCBHZ31 | 2,229,662,087 | USD | Analyze
|
BBAI | BigBear.ai, Inc. | | 12/08/2021 | US Equity | Common stocks | Micro cap | Information Technology | | | 272,425,929 | USD | Analyze
|
BBAI+ | BigBear.ai, Inc. Redeemable Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 12/08/2021 | US Equity | Warrants | Operating Companies | Information Technology | | | 272,425,929 | USD | Analyze
|
BBAR | BBVA Banco Frances S.A. | | 06/02/1998 | US Equity | Common stocks | Small cap | Financials | US0589341009 | BKT4TC7 | 782,226,534 | USD | Analyze
|
BBD | Banco Bradesco SA ADRs | | 11/21/2001 | US Equity | ADRs | Large cap | Financials | US0594603039 | B00FSK0 | 21,962,470,362 | USD | Analyze
|
BBDC | Barings BDC Inc. | | 08/26/2013 | US Equity | BDCs | Small cap | Financials | | | 827,716,993 | USD | Analyze
|
BBDO | Banco Bradesco SA ADRs | | 03/13/2012 | US Equity | ADRs | Large cap | Financials | US0594604029 | | 21,962,470,362 | USD | Analyze
|
BBLN | Babylon Holdings Limited Class A | | 10/22/2021 | US Equity | Common stocks | Micro cap | Health Care | | BQWMWC1 | 164,329,571 | USD | Analyze
|
BBLN+ | Babylon Holdings Limited Warrant | | 10/22/2021 | US Equity | Warrants | Operating Companies | Health Care | | | 388,399,999 | USD | Analyze
|
BBU | Brookfield Business Partners L.P. | | 06/17/2016 | US Equity | MLPs | Small cap | Real Estate | | BYNDNQ0 | 1,229,622,191 | USD | Analyze
|
BBUC | Brookfield Business Corporation Class A Exchangeable Subordinate Voting Shares | | 03/15/2022 | US Equity | Common stocks | Small cap | Industrials | | BL5DCB5 | 1,254,827,565 | USD | Analyze
|
BBVA | Banco Bilbao Vizcaya Argentaria SA ADRs | | 01/02/2003 | US Equity | ADRs | Large cap | Financials | ES0113211835 | 5501906 | 40,884,190,304 | USD | Analyze
|
BBW | Build A Bear Workshop Inc | | 10/28/2004 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1200761047 | B034L50 | 345,307,894 | USD | Analyze
|
BBWI | Bath & Body Works, Inc. | | 11/05/1984 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US0708301041 | BNNTGJ5 | 7,858,117,287 | USD | Analyze
|
BBY | Best Buy Inc | | 02/08/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US0865161014 | 2094670 | 16,264,031,523 | USD | Analyze
|
BC | Brunswick Corp | | 02/08/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US1170431092 | 2149309 | 5,524,224,122 | USD | Analyze
|
BC-A | Brunswick Corporation 6.500% Senior Notes due 2048 | | 10/08/2018 | US Equity | Exchange traded debt | Long-term | Consumer Discretionary | US1170434062 | BG87WW0 | 179,410,000 | USD | Analyze
|
BC-B | Brunswick Corporation 6.625% Senior Notes due 2049 | | 12/06/2018 | US Equity | Exchange traded debt | Long-term | Consumer Discretionary | US1170435051 | BH42ZM7 | 146,268,500 | USD | Analyze
|
BCC | Boise Cascade | | 02/06/2013 | US Equity | Common stocks | Mid cap | Industrials | US09739D1000 | B9BP4R1 | 2,372,730,882 | USD | Analyze
|
BC-C | Brunswick Corporation 6.375% Notes due 2049 | | 03/08/2019 | US Equity | Exchange traded debt | Long-term | Consumer Discretionary | US1170436042 | BJT13Z2 | 233,864,000 | USD | Analyze
|
BCE | BCE, Inc. | | 09/07/2001 | US Equity | Common stocks | Large cap | Communication Services | CA05534B7604 | B188TH2 | 40,070,498,528 | USD | Analyze
|
BCH | Banco de Chile ADRs | | 01/08/2002 | US Equity | ADRs | Mid cap | Financials | US0595201064 | 2834252 | 9,424,893,676 | USD | Analyze
|
BCO | Brinks | | 08/01/2001 | US Equity | Common stocks | Mid cap | Industrials | US1096961040 | 2691305 | 2,831,981,468 | USD | Analyze
|
BCS | Barclays PLC ADRs | | 08/29/2001 | US Equity | ADRs | Large cap | Financials | US06738E2046 | 2077756 | 26,399,292,826 | USD | Analyze
|
BCSF | Bain Capital Specialty Finance, Inc. | | 11/15/2018 | US Equity | BDCs | Small cap | Financials | | | 768,290,954 | USD | Analyze
|
BDC | Belden Inc | | 02/08/2001 | US Equity | Common stocks | Mid cap | Information Technology | US0774541066 | B01WL78 | 3,605,377,702 | USD | Analyze
|
BDN | Brandywine Realty Trust | | 02/08/2001 | US Equity | REITs | Small cap | Real Estate | US1053682035 | 2518954 | 709,235,413 | USD | Analyze
|
BDX | Becton Dickinson | | 02/08/2001 | US Equity | Common stocks | Large cap | Health Care | US0758871091 | 2087807 | 67,108,670,136 | USD | Analyze
|
BDXB | Becton, Dickinson ADRs of 6.00% Mandatory Convertible Preferred, Series B | | 05/21/2020 | US Equity | Preferred stocks | Convertible | Health Care | US0758874061 | BL6D429 | 1,475,400,000 | USD | Analyze
|
BE | Bloom Energy Corporation Class A | | 07/25/2018 | US Equity | Common stocks | Mid cap | Industrials | US0937121079 | BDD1BB8 | 3,484,422,096 | USD | Analyze
|
BEDU | Bright Scholar Education Holdings Limited ADRs of Class A | | 05/18/2017 | US Equity | ADRs | Micro cap | Consumer Discretionary | US1091991091 | BYP7939 | 15,128,890 | USD | Analyze
|
BEKE | KE Holdings Inc ADRs of Class A | | 08/13/2020 | US Equity | ADRs | Large cap | Real Estate | US4824971042 | BMBX7M2 | 22,525,740,140 | USD | Analyze
|
BEN | Franklin Resources Inc | | 02/08/2001 | US Equity | Common stocks | Large cap | Financials | US3546131018 | 2350684 | 13,101,758,382 | USD | Analyze
|
BEP | Brookfield Renewable Partners L.P. | | 05/13/2013 | US Equity | MLPs | Mid cap | Utilities | BMG162581083 | B6XZN93 | 8,001,952,737 | USD | Analyze
|
BEP-A | Brookfield Renewable Partners L.P. 5.25% Class A Preferred Limited Partnership Units, Series 17 | | 02/27/2020 | US Equity | Preferred stocks | Non-convertible | Utilities | BMG162582313 | BL0FH99 | 170,560,000 | USD | Analyze
|
BEPC | Brookfield Renewable Corporation Class A | | 07/24/2020 | US Equity | Common stocks | Mid cap | Utilities | CA11284V1058 | BMW8YT2 | 5,433,826,401 | USD | Analyze
|
BEPH | Brookfield BRP Holdings (Canada) Inc. 4.625% Perpetual Subordinated Notes | | 04/16/2021 | US Equity | Exchange traded debt | Long-term | Utilities | | BLFF1H0 | 212,660,000 | USD | Analyze
|
BEPI | Brookfield BRP Holdings (Canada) Inc. 4.875% Perpetual Subordinated Notes | | 12/14/2021 | US Equity | Exchange traded debt | Long-term | Utilities | | | 162,552,000 | USD | Analyze
|
BERY | Berry Global Group Inc | | 10/04/2012 | US Equity | Common stocks | Mid cap | Materials | US08579W1036 | B8BR3H3 | 6,811,754,000 | USD | Analyze
|
BEST | BEST Inc. ADRs of Class A | | 08/20/2007 | US Equity | ADRs | Micro cap | Industrials | US08653C1062 | BF16M83 | 41,921,233 | USD | Analyze
|
BF.A | Brown Forman Inc Class A | | 05/03/1973 | US Equity | Common stocks | Large cap | Consumer Staples | US1156371007 | 2146816 | 29,737,520,002 | USD | Analyze
|
BF.B | Brown Forman Inc Class B | | 09/06/1984 | US Equity | Common stocks | Large cap | Consumer Staples | US1156372096 | 2146838 | 29,737,520,002 | USD | Analyze
|
BFAC | Battery Future Acquisition Corp. | | 02/03/2022 | US Equity | Common stocks | Small cap | Financials | | | 361,560,000 | USD | Analyze
|
BFAC+ | Battery Future Acquisition Corp. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 02/04/2022 | US Equity | Warrants | Shell Companies | Financials | | | 361,560,000 | USD | Analyze
|
BFAC= | Battery Future Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 12/15/2021 | US Equity | Units | Small cap | Financials | | | 361,560,000 | USD | Analyze
|
BFAM | Bright Horizons Family Solutions | | 01/25/2013 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US1091941005 | B7MJWP2 | 4,415,546,819 | USD | Analyze
|
BFH | Bread Financial Holdings, Inc. | | 06/15/2001 | US Equity | Common stocks | Small cap | Financials | US0185811082 | 2762030 | 1,400,224,863 | USD | Analyze
|
BFLY | Butterfly Network, Inc. Class A | | 08/27/2015 | US Equity | Common stocks | Small cap | Health Care | US1241551027 | BMHYQY4 | 337,830,607 | USD | Analyze
|
BFLY+ | Butterfly Network, Inc. Warrants exercisable for one share at $11.50 per share | | 12/31/1969 | US Equity | Warrants | Operating Companies | Health Care | | | 337,830,607 | USD | Analyze
|
BFS | Saul Centers, Inc | | 02/08/2001 | US Equity | REITs | Small cap | Real Estate | US8043951016 | 2777777 | 866,151,679 | USD | Analyze
|
BFS-D | Saul Centers ADRs of 6.125% Series D Cumulative Preferred | | 01/18/2018 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 70,350,000 | USD | Analyze
|
BFS-E | Saul Centers, Inc. ADRs of 6.000% Series E Cumulative Redeemable Preferred Stock | | 09/19/2019 | US Equity | Preferred stocks | Non-convertible | Real Estate | US8043958797 | BK1N483 | 89,280,000 | USD | Analyze
|
BG | Bunge Ltd | | 08/02/2001 | US Equity | Common stocks | Large cap | Consumer Staples | BMG169621056 | 2788713 | 14,024,113,024 | USD | Analyze
|
BGS | B And G Foods Inc | | 05/23/2007 | US Equity | Common stocks | Small cap | Consumer Staples | US05508R1068 | B034L49 | 1,082,188,974 | USD | Analyze
|
BGSF | BG Staffing Inc | | 04/29/2014 | US Equity | Common stocks | Micro cap | Industrials | US05601C1053 | | 112,754,486 | USD | Analyze
|
BGSX | Build Acquisition Corp. Class A | | 05/06/2021 | US Equity | Common stocks | Micro cap | Financials | | | 203,600,000 | USD | Analyze
|
BGSX+ | Build Acquisition Corp. Redeemable warrants, each whole warrant exercisable for one Class A common stock at an exercise price of $11.50 | | 05/07/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
BGSX= | Build Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 03/17/2021 | US Equity | Units | Micro cap | Financials | | | 204,000,000 | USD | Analyze
|
BH | Biglari Holdings Inc Class B | | 12/21/2009 | US Equity | Common stocks | Small cap | Consumer Discretionary | US08986R3093 | BDT5ZH8 | 512,546,933 | USD | Analyze
|
BH.A | Biglari Holdings Inc. Class A | | 05/01/2018 | US Equity | Common stocks | Small cap | Consumer Discretionary | US08986R4083 | BDT5ZF6 | 512,546,933 | USD | Analyze
|
BHC | Bausch Health Companies Inc. | | 08/26/2013 | US Equity | Common stocks | Mid cap | Health Care | CA0717341071 | BFFVVC1 | 2,634,399,994 | USD | Analyze
|
BHE | Benchmark Electronics Inc | | 02/09/2001 | US Equity | Common stocks | Small cap | Information Technology | US08160H1014 | 2090816 | 796,021,212 | USD | Analyze
|
BHG | Bright Health Group Inc. | | 01/03/2007 | US Equity | Common stocks | Micro cap | Financials | US10920V1070 | BMD1Z75 | 152,603,208 | USD | Analyze
|
BHIL | Benson Hill, Inc. | | 09/27/2021 | US Equity | Common stocks | Micro cap | Consumer Staples | | BN305Y6 | 248,239,106 | USD | Analyze
|
BHIL+ | Benson Hill, Inc. Warrants, each whole warrant exercisable for one share of common stock at an exercise price of $11.50 | | 09/30/2021 | US Equity | Warrants | Operating Companies | Consumer Staples | | | 248,239,106 | USD | Analyze
|
BHLB | Berkshire Hills Bancorp Inc | | 02/08/2001 | US Equity | Common stocks | Small cap | Financials | US0846801076 | 2606570 | 1,097,507,655 | USD | Analyze
|
BHP | BHP Billiton Ltd ADRs | | 08/29/2001 | US Equity | ADRs | Large cap | Materials | US0886061086 | 2144337 | 145,920,961,116 | USD | Analyze
|
BHR | Braemar Hotels & Resorts, Inc | | 11/06/2013 | US Equity | REITs | Micro cap | Real Estate | US10482B1017 | BD8ZZ24 | 253,564,785 | USD | Analyze
|
BHR-B | Braemar Hotels 5.50% Series B Cumulative Convertible Preferred Stock | | 05/02/2016 | US Equity | Preferred stocks | Convertible | Real Estate | US10482B2007 | BD8ZZ68 | 78,808,040 | USD | Analyze
|
BHR-D | Braemar Hotels 8.25% Series D Cumulative Preferred Stock | | 11/14/2018 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 46,257,600 | USD | Analyze
|
BHVN | Biohaven Pharmaceutical Holding Co | | 05/04/2017 | US Equity | Common stocks | Small cap | Health Care | VGG111961055 | BPLZ7S5 | 913,357,119 | USD | Analyze
|
BHVN# | Biohaven Ltd. When Issued | | 09/23/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
BIG | Big Lots Inc | | 02/09/2001 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US0893021032 | 2218447 | 290,747,005 | USD | Analyze
|
BILL | Bill.com Holdings, Inc. | | 12/12/2019 | US Equity | Common stocks | Mid cap | Information Technology | US0900431000 | BKDS4H5 | 7,685,291,121 | USD | Analyze
|
BIO | Bio Rad Laboratories Inc Class A | | 02/09/2001 | US Equity | Common stocks | Large cap | Health Care | US0905722072 | 2098508 | 13,544,591,575 | USD | Analyze
|
BIO.B | Bio-Rad Laboratories Inc. Class B | | 11/05/1984 | US Equity | Common stocks | Large cap | Health Care | | | 13,544,591,575 | USD | Analyze
|
BIP | Brookfield Infrastructure Partners LP | | 02/11/2013 | US Equity | MLPs | Large cap | Utilities | BMG162521014 | BL55WZ5 | 14,420,732,420 | USD | Analyze
|
BIP-A | Brookfield Infrastructure Partners LP 5.125% Class A Preferred Limited Partnership Units, Series 13 | | 09/25/2020 | US Equity | Preferred stocks | Non-convertible | Utilities | | | 151,152,000 | USD | Analyze
|
BIP-B | Brookfield Infrastructure Partners LP 5.000% Class A Preferred Limited Partnership Units, Series 14 | | 01/26/2021 | US Equity | Preferred stocks | Non-convertible | Utilities | | BMT9V97 | 148,800,000 | USD | Analyze
|
BIPC | Brookfield Infrastructure Partners LP Class A Subordinate Voting Shares | | 03/31/2020 | US Equity | Common stocks | Mid cap | Utilities | CA11275Q1072 | BJP50C4 | 4,854,024,337 | USD | Analyze
|
BIPH | Brookfield Infrastructure Corporation 5.000% Subordinated Notes due 2081 | | 12/07/2018 | US Equity | Exchange traded debt | Long-term | Utilities | | BNC42V5 | 167,300,000 | USD | Analyze
|
BIPI | BIP Bermuda Holdings I Limited 5.125% Perpetual Subordinated Notes | | 01/26/2022 | US Equity | Exchange traded debt | Long-term | Utilities | | | 204,600,000 | USD | Analyze
|
BJ | BJs Wholesale Club Holdings Inc | | 06/28/2018 | US Equity | Common stocks | Large cap | Consumer Staples | US05550J1016 | BFZNZF8 | 10,060,177,318 | USD | Analyze
|
BK | Bank Of New York Mellon Corp | | 02/09/2001 | US Equity | Common stocks | Large cap | Financials | US0640581007 | B1Z77F6 | 34,577,988,683 | USD | Analyze
|
BKD | Brookdale Senior Living Inc | | 11/22/2005 | US Equity | Common stocks | Small cap | Health Care | US1124631045 | B0PZN33 | 439,923,154 | USD | Analyze
|
BKDT | Brookdale Senior Living Inc. 7.00% Tangible Equity Units | | 11/25/2022 | US Equity | Units | Small cap | Financials | | | 439,923,154 | USD | Analyze
|
BKE | Buckle Inc | | 02/09/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1184401065 | 2149934 | 1,718,651,922 | USD | Analyze
|
BKH | Black Hills Corp | | 02/09/2001 | US Equity | Common stocks | Mid cap | Utilities | US0921131092 | 2101741 | 3,913,027,438 | USD | Analyze
|
BKI | Black Knight | | 02/11/2013 | US Equity | Common stocks | Mid cap | Information Technology | US09215C1053 | BDG75V1 | 8,560,224,855 | USD | Analyze
|
BKKT | Bakkt Holdings, Inc. Class A | | 11/19/2020 | US Equity | Common stocks | Micro cap | Financials | | BMQ7FW5 | 121,818,975 | USD | Analyze
|
BKKT+ | Bakkt Holdings, Inc. Warrant | | 10/18/2021 | US Equity | Warrants | Operating Companies | Financials | | | 121,818,975 | USD | Analyze
|
BKSY | BlackSky Technology Inc. Class A | | 12/20/2019 | US Equity | Common stocks | Micro cap | Industrials | | | 162,628,762 | USD | Analyze
|
BKSY+ | BlackSky Technology Inc. Redeemable Warrants, each whole Warrant exercisable for one share of Class A Common Stock | | 09/10/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 162,628,762 | USD | Analyze
|
BKU | Bankunited Inc | | 01/28/2011 | US Equity | Common stocks | Small cap | Financials | US06652K1034 | B3NNTZ4 | 1,609,078,697 | USD | Analyze
|
BLCO | Bausch + Lomb Corporation | | 05/06/2022 | US Equity | Common stocks | Mid cap | Health Care | | | 5,547,514,788 | USD | Analyze
|
BLD | Topbuild Corp | | 06/17/2015 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US89055F1030 | BZ0P3W2 | 6,025,577,799 | USD | Analyze
|
BLDR | Builders Firstsource Inc | | 06/22/2005 | US Equity | Common stocks | Large cap | Industrials | US12008R1077 | B0BV2M7 | 11,635,817,182 | USD | Analyze
|
BLK | Blackrock Inc | | 02/09/2001 | US Equity | Common stocks | Large cap | Financials | US09247X1019 | 2494504 | 97,921,063,194 | USD | Analyze
|
BLND | Blend Labs, Inc. | | 07/16/2021 | US Equity | Common stocks | Micro cap | Information Technology | GB0001367019 | BP8K987 | 223,166,197 | USD | Analyze
|
BLX | Banco Latinoamericano De Comercio | | 02/09/2001 | US Equity | Common stocks | Small cap | Financials | PAP169941328 | 2069485 | 463,980,031 | USD | Analyze
|
BMA | Banco Macro S.A. ADRs of Class B shares | | 03/24/2006 | US Equity | ADRs | Small cap | Financials | US05961W1053 | B0Y62M9 | 1,070,414,869 | USD | Analyze
|
BMAC | Black Mountain Acquisition Corp. Class A | | 11/12/2021 | US Equity | Common stocks | Micro cap | Financials | | | 285,936,000 | USD | Analyze
|
BMAC+ | Black Mountain Acquisition Corp. Warrant exercisable for one share at $11.50 per share | | 11/12/2021 | US Equity | Warrants | Shell Companies | Financials | | | 285,936,000 | USD | Analyze
|
BMAC= | Black Mountain Acquisition Corp - Units (1 Ord Class A & 0.75 War) | | 10/14/2021 | US Equity | Units | Micro cap | Financials | | | 285,936,000 | USD | Analyze
|
BMI | Badger Meter Inc | | 02/09/2001 | US Equity | Common stocks | Mid cap | Information Technology | US0565251081 | 2069128 | 3,394,742,824 | USD | Analyze
|
BML-G | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 1 | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | | | 71,540,000 | USD | Analyze
|
BML-H | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 2 | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US0605056250 | B06H0T3 | 222,456,000 | USD | Analyze
|
BML-J | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 4 | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US0605055914 | B0PR2S7 | 175,728,000 | USD | Analyze
|
BML-L | Bank of America ADRs of Floating Rate Non-Cumulative Preferred Series 5 | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US0605055831 | B1VN1F6 | 344,014,400 | USD | Analyze
|
BMN | BlackRock 2037 Municipal Target Term Trust of Beneficial Interest | | 10/27/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
BMO | Bank Of Montreal | | 09/07/2001 | US Equity | Common stocks | Large cap | Financials | CA0636711016 | 2076009 | 60,170,513,132 | USD | Analyze
|
BMY | Bristol Myers Squibb | | 02/09/2001 | US Equity | Common stocks | Large cap | Health Care | US1101221083 | 2126335 | 140,576,015,006 | USD | Analyze
|
BN | Brookfield Corporation Class A Limited Voting Shares | | 12/30/1983 | US Equity | Common stocks | Large cap | Unknown | | | 47,971,377,748 | USD | Analyze
|
BN# | Brookfield Corporation Class A Limited Voting Shares When-Issued | | 12/01/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
BNED | Barnes And Noble Education Inc | | 07/23/2015 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US06777U1016 | BYQDT70 | 85,218,924 | USD | Analyze
|
BNH | Brookfield Finance Inc. 4.625% Subordinated Notes due October 16, 2080 | | 12/12/2022 | US Equity | Exchange traded debt | Unknown | Unknown | | | 0 | USD | Analyze
|
BNJ | Brookfield Finance Inc. 4.50% Perpetual Subordinated Notes | | 11/27/2020 | US Equity | Exchange traded debt | Unknown | Unknown | | | 0 | USD | Analyze
|
BNL | Broadstone Net Lease, Inc. | | 11/15/2016 | US Equity | REITs | Mid cap | Real Estate | US11135E2037 | BN93088 | 3,038,489,293 | USD | Analyze
|
BNRE | Brookfield Reinsurance Ltd. Class A Exchangeable Limited Voting Shares | | 06/23/2022 | US Equity | Common stocks | Small cap | Unknown | | | 320,002,073 | USD | Analyze
|
BNS | The Bank Of Nova Scotia | | 06/07/2002 | US Equity | Common stocks | Large cap | Financials | CA0641491075 | 2076281 | 57,514,229,498 | USD | Analyze
|
BOAC | Bluescape Opportunities Acquisition Corp. Class A | | 12/18/2020 | US Equity | Common stocks | Small cap | Financials | | | 754,818,750 | USD | Analyze
|
BOAC+ | Bluescape Opportunities Acquisition Corp. Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 12/18/2020 | US Equity | Warrants | Shell Companies | Financials | | | 754,818,750 | USD | Analyze
|
BOAC= | Bluescape Opportunities Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 10/23/2020 | US Equity | Units | Small cap | Financials | | | 605,677,500 | USD | Analyze
|
BOAS | BOA Acquisition Corp. Class A | | 04/05/2021 | US Equity | Common stocks | Micro cap | Financials | | | 209,990,000 | USD | Analyze
|
BOAS+ | BOA Acquisition Corp. Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock at a price of $11.50 per share | | 04/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 209,990,000 | USD | Analyze
|
BOAS= | BOA Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 02/24/2021 | US Equity | Units | Micro cap | Financials | | | 186,200,000 | USD | Analyze
|
BOC | Boston Omaha Corporation Class A | | 06/13/2017 | US Equity | Common stocks | Small cap | Communication Services | | BZB2L51 | 628,709,482 | USD | Analyze
|
BODY | The Beachbody Company, Inc. Class A | | 01/15/2021 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US0734631015 | BL98755 | 81,456,573 | USD | Analyze
|
BODY+ | The Beachbody Company, Inc. Warrants | | 06/28/2021 | US Equity | Warrants | Operating Companies | Consumer Discretionary | | | 81,456,573 | USD | Analyze
|
BOH | Bank Of Hawaii Corp. | | 02/09/2001 | US Equity | Common stocks | Small cap | Financials | US0625401098 | 2074070 | 1,999,017,699 | USD | Analyze
|
BOH-A | Bank of Hawaii Corporation ADRs of 4.375% Fixed Rate Non-Cumulative Preferred, Series A | | 06/18/2021 | US Equity | Preferred stocks | Non-convertible | Financials | US0625452075 | BMD0HP4 | 141,048,000 | USD | Analyze
|
BOOT | Boot Barn Holdings Inc | | 10/30/2014 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US0994061002 | BRS6600 | 2,191,706,090 | USD | Analyze
|
BORR | Borr Drilling Limited | | 07/31/2019 | US Equity | Common stocks | Small cap | Energy | | BPK3M63 | 1,848,496,357 | USD | Analyze
|
BOWL | Bowlero Corp. Class A | | 04/23/2021 | US Equity | Common stocks | Small cap | Consumer Discretionary | | BPG5F19 | 1,620,648,500 | USD | Analyze
|
BOX | Box Inc | | 01/23/2015 | US Equity | Common stocks | Mid cap | Information Technology | US10316T1043 | BVB3BV2 | 3,660,917,385 | USD | Analyze
|
BOXD | Boxed, Inc. | | 12/08/2021 | US Equity | Common stocks | Micro cap | Consumer Discretionary | | BLDBMR7 | 25,407,520 | USD | Analyze
|
BOXD+ | Boxed, Inc. Warrants, each whole warrant exercisable to purchase one share of Common Stock at an exercise price of $11.50 per share | | 12/06/2021 | US Equity | Warrants | Operating Companies | Consumer Discretionary | | | 25,407,520 | USD | Analyze
|
BP | BP PLC ADRs | | 08/29/2001 | US Equity | ADRs | Large cap | Energy | US0556221044 | 2142621 | 109,308,952,860 | USD | Analyze
|
BPT | BP Prudhoe Bay Royalty Trust | | 02/11/2013 | US Equity | Royalty trusts | Micro cap | Financials | AU000000BPT9 | 6088204 | 184,254,000 | USD | Analyze
|
BQ | Boqii Holding Limited ADRs of Class A | | 09/30/2020 | US Equity | ADRs | Micro cap | Consumer Discretionary | | BMBQMH1 | 14,493,269 | USD | Analyze
|
BR | Broadridge Financial Solutions Inc | | 03/22/2007 | US Equity | Common stocks | Large cap | Information Technology | US11133T1034 | B1VP7R6 | 16,225,159,186 | USD | Analyze
|
BRBR | BellRing Brands, Inc. Class A | | 10/17/2019 | US Equity | Common stocks | Mid cap | Consumer Staples | US07831C1036 | BN70ZC0 | 4,263,663,886 | USD | Analyze
|
BRC | Brady Corp Class A | | 02/09/2001 | US Equity | Common stocks | Mid cap | Industrials | US1046741062 | 2117726 | 2,398,302,400 | USD | Analyze
|
BRCC | BRC Inc. | | 02/09/2022 | US Equity | Common stocks | Micro cap | Consumer Staples | | BNBV240 | 287,807,765 | USD | Analyze
|
BRD | Beard Energy Transition Acquisition Corp. Class A | | 01/14/2022 | US Equity | Common stocks | Micro cap | Financials | | | 238,062,938 | USD | Analyze
|
BRD+ | Beard Energy Transition Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share | | 01/14/2022 | US Equity | Warrants | Shell Companies | Financials | | | 238,062,938 | USD | Analyze
|
BRD= | Beard Energy Transition Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 11/24/2021 | US Equity | Units | Micro cap | Financials | | | 238,062,938 | USD | Analyze
|
BRDG | Bridge Investment Group Holdings Inc. | | 07/16/2021 | US Equity | REITs | Small cap | Financials | US10806B1008 | BL53YS6 | 374,101,633 | USD | Analyze
|
BRDS | Bird Global, Inc. Class A | | 03/01/2021 | US Equity | Common stocks | Micro cap | Industrials | | BL5C717 | 40,611,780 | USD | Analyze
|
BRDS+ | Bird Global, Inc. Warrants, each whole warrant exercisable to purchase one share of Class A Common Stock at an exercise price of $11.50 per share | | 11/04/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 40,611,780 | USD | Analyze
|
BRFS | BRF SA ADRs | | 01/02/2003 | US Equity | ADRs | Small cap | Consumer Staples | US10552T1079 | 2605210 | 1,179,895,838 | USD | Analyze
|
BRK.A | Berkshire Hathaway Inc. Class A | | 02/11/2013 | US Equity | Common stocks | Large cap | Financials | | 2093666 | 654,571,252,838 | USD | Analyze
|
BRK.B | Berkshire Hathaway Inc. Class B | | 02/09/2001 | US Equity | Common stocks | Large cap | Financials | US0846707026 | 2073390 | 654,571,252,838 | USD | Analyze
|
BRMK | Broadmark Realty Capital Inc. | | 11/15/2019 | US Equity | Mortgage REITs | Small cap | Financials | US11135B1008 | BL3LMX3 | 569,159,814 | USD | Analyze
|
BRO | Brown & Brown Inc | | 02/11/1981 | US Equity | Common stocks | Large cap | Financials | US1152361010 | 2692687 | 15,653,255,170 | USD | Analyze
|
BROS | Dutch Bros Inc. | | 09/15/2021 | US Equity | Common stocks | Small cap | Consumer Discretionary | | BMWP7H2 | 1,355,293,511 | USD | Analyze
|
BRSP | BrightSpire Capital, Inc. Class A | | 01/31/2018 | US Equity | REITs | Small cap | Financials | US10949T1097 | BN7VBP8 | 706,221,141 | USD | Analyze
|
BRT | BRT Apartments Corp | | 08/01/2001 | US Equity | REITs | Small cap | Real Estate | US0556453035 | 2068512 | 356,085,487 | USD | Analyze
|
BRX | Brixmor Property Group Inc | | 10/30/2013 | US Equity | REITs | Mid cap | Real Estate | US11120U1051 | BFTDJL8 | 5,941,297,995 | USD | Analyze
|
BSAC | Banco Santander Chile ADRs | | 08/30/2001 | US Equity | ADRs | Mid cap | Financials | US05965X1090 | 2136646 | 8,023,093,849 | USD | Analyze
|
BSAQ | Black Spade Acquisition Co Class A | | 09/07/2021 | US Equity | Common stocks | Micro cap | Financials | | | 172,380,000 | USD | Analyze
|
BSAQ+ | Black Spade Acquisition Co Warrant exercisable for one share at $11.50 per share | | 09/06/2021 | US Equity | Warrants | Shell Companies | Financials | | | 172,380,000 | USD | Analyze
|
BSAQ= | Black Spade Acquisition Co - Units (1 Ord Share Class A & 1/2 War) | | 07/16/2021 | US Equity | Units | Micro cap | Financials | | | 172,380,000 | USD | Analyze
|
BSBR | Banco Santander Brasil ADRs | | 10/07/2009 | US Equity | ADRs | Mid cap | Financials | US05967A1079 | B4Q2DV9 | 6,871,190,765 | USD | Analyze
|
BSIG | Brightsphere Investment Group | | 10/09/2014 | US Equity | Common stocks | Small cap | Financials | US10948W1036 | BJBLBN4 | 936,399,867 | USD | Analyze
|
BSM | Black Stone Minerals LP | | 05/01/2015 | US Equity | MLPs | Mid cap | Energy | US09225M1018 | BWZWYS0 | 3,059,284,308 | USD | Analyze
|
BSMX | Santander Mexico ADRs | | 09/26/2012 | US Equity | ADRs | Mid cap | Financials | US40053C1053 | B84CZX5 | 4,332,781,514 | USD | Analyze
|
BSX | Boston Scientific Corp | | 02/09/2001 | US Equity | Common stocks | Large cap | Health Care | US1011371077 | 2113434 | 68,905,505,471 | USD | Analyze
|
BSX-A | Boston Scientific Corporation 5.50% Mandatory Convertible Preferred Series A | | 06/02/2020 | US Equity | Preferred stocks | Convertible | Health Care | US1011372067 | BMH5QL4 | 906,937,500 | USD | Analyze
|
BTCM | BIT Mining Limited ADRs | | 11/21/2013 | US Equity | ADRs | Micro cap | Information Technology | US0554741001 | BM8F5C7 | 26,911,478 | USD | Analyze
|
BTE | Baytex Energy Corp | | 02/23/2023 | US Equity | Common stocks | Small cap | Unknown | | | 1,820,066,440 | USD | Analyze
|
BTI | British American Tobacco PLC ADRs | | 04/14/1980 | US Equity | ADRs | Large cap | Consumer Staples | US1104481072 | 2290791 | 77,362,379,328 | USD | Analyze
|
BTU | Peabody Energy Corp | | 05/22/2001 | US Equity | Common stocks | Mid cap | Energy | US7045511000 | BDVPZV0 | 3,412,645,669 | USD | Analyze
|
BUD | Anheuser-Busch InBev SA/NV ADRs | | 01/02/2001 | US Equity | ADRs | Large cap | Consumer Staples | US03524A1088 | B3P93Y7 | 107,445,554,973 | USD | Analyze
|
BUR | Burford Capital Limited | | 04/01/2015 | US Equity | Common stocks | Small cap | Financials | GG00BMGYLN96 | BMGYLN9 | 1,539,920,635 | USD | Analyze
|
BURL | Burlington Stores Inc | | 10/02/2013 | US Equity | Common stocks | Large cap | Consumer Discretionary | US1220171060 | BF311Y5 | 13,233,187,165 | USD | Analyze
|
BV | Brightview Holdings Inc. | | 02/24/2012 | US Equity | Common stocks | Small cap | Industrials | US10948C1071 | BG0ZML1 | 530,145,000 | USD | Analyze
|
BVH | Bluegreen Vacations Holding Corporation Class A | | 12/28/2009 | US Equity | Common stocks | Small cap | Consumer Discretionary | US0963081015 | BM9LQ98 | 334,341,650 | USD | Analyze
|
BVN | Compania de Minas Buenaventura ADRs | | 08/30/2001 | US Equity | ADRs | Mid cap | Materials | US2044481040 | 2210476 | 2,226,608,384 | USD | Analyze
|
BW | Babcock And Wilcox Enterprises Inc | | 06/16/2015 | US Equity | Common stocks | Small cap | Industrials | US05614L2097 | BKDWYT9 | 490,687,772 | USD | Analyze
|
BWA | BorgWarner Inc | | 02/12/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US0997241064 | 2111955 | 10,899,070,919 | USD | Analyze
|
BW-A | Babcock & Wilcox Enterprises, Inc. 7.75% Series A Cumulative Perpetual Preferred Stock | | 05/13/2021 | US Equity | Preferred stocks | Non-convertible | Industrials | US05614L4077 | BMV7N60 | 67,000,000 | USD | Analyze
|
BWNB | Babcock & Wilcox Enterprises, Inc. 6.50% Senior Notes due 2026 | | 12/17/2021 | US Equity | Exchange traded debt | Short-term | Industrials | | | 114,800,000 | USD | Analyze
|
BWSN | Babcock & Wilcox Enterprises, Inc. 8.125% Senior Notes due 2026 | | 02/17/2021 | US Equity | Exchange traded debt | Short-term | Industrials | US05614L3087 | BN0Y9Z0 | 106,560,000 | USD | Analyze
|
BWXT | BWX Technologies Inc | | 07/12/2010 | US Equity | Common stocks | Mid cap | Industrials | US05605H1005 | BZ0W624 | 5,568,601,179 | USD | Analyze
|
BX | Blackstone Group Inc. Class A | | 06/22/2007 | US Equity | Common stocks | Large cap | Financials | US09260D1072 | BKF2SL7 | 59,652,934,339 | USD | Analyze
|
BXC | Bluelinx Holdings Inc | | 12/14/2004 | US Equity | Common stocks | Small cap | Industrials | US09624H2085 | BYQLZ65 | 618,978,306 | USD | Analyze
|
BXMT | Blackstone Mortgage Trust Inc. | | 12/29/1980 | US Equity | Mortgage REITs | Mid cap | Financials | US09257W1009 | B94QHZ0 | 2,977,069,559 | USD | Analyze
|
BXP | Boston Properties, Inc | | 02/12/2001 | US Equity | REITs | Mid cap | Real Estate | US1011211018 | 2019479 | 7,428,691,394 | USD | Analyze
|
BXSL | Blackstone Secured Lending Fund | | 10/28/2021 | US Equity | BDCs | Mid cap | Financials | | | 4,078,512,823 | USD | Analyze
|
BY | Byline Bancorp Inc. | | 06/30/2017 | US Equity | Common stocks | Small cap | Financials | US1244111092 | BD5G2C9 | 783,769,629 | USD | Analyze
|
BYD | Boyd Gaming Corp | | 02/12/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US1033041013 | 2117232 | 6,108,980,350 | USD | Analyze
|
BYN | Banyan Acquisition Corporation | | 06/13/2007 | US Equity | Common stocks | Micro cap | Financials | | | 250,677,000 | USD | Analyze
|
BYN+ | Banyan Acquisition Corporation Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 03/11/2022 | US Equity | Warrants | Shell Companies | Financials | | | 250,677,000 | USD | Analyze
|
BYN= | Banyan Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 01/20/2022 | US Equity | Units | Micro cap | Financials | | | 250,677,000 | USD | Analyze
|
BZH | Beazer Homes Inc | | 02/12/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US07556Q8814 | B8KHZT0 | 459,239,981 | USD | Analyze
|
C | Citigroup Inc | | 02/12/2001 | US Equity | Common stocks | Large cap | Financials | US1729674242 | 2297907 | 84,454,305,344 | USD | Analyze
|
CAAP | Corporacion America Airports SA | | 02/01/2018 | US Equity | Common stocks | Small cap | Industrials | LU1756447840 | BD45SN0 | 1,501,648,904 | USD | Analyze
|
CABO | Cable One Inc | | 06/11/2015 | US Equity | Common stocks | Mid cap | Communication Services | US12685J1051 | BZ07DS4 | 3,732,295,043 | USD | Analyze
|
CACI | CACI International Inc | | 01/02/2003 | US Equity | Common stocks | Mid cap | Industrials | US1271903049 | 2159267 | 6,640,338,374 | USD | Analyze
|
CADE | Cadence Bancorporation | | 04/13/2017 | US Equity | Common stocks | Mid cap | Financials | US12740C1036 | BMCS168 | 2,036,499,239 | USD | Analyze
|
CADE-A | Cadence Bank 5.50% Series A Non-Cumulative Perpetual Preferred | | 10/29/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 140,700,000 | USD | Analyze
|
CAE | CAE Inc. | | 09/07/2001 | US Equity | Common stocks | Mid cap | Industrials | CA1247651088 | 2162760 | 6,780,718,267 | USD | Analyze
|
CAG | Conagra Brands Inc | | 02/12/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US2058871029 | 2215460 | 17,430,084,862 | USD | Analyze
|
CAH | Cardinal Health Inc | | 02/12/2001 | US Equity | Common stocks | Large cap | Health Care | US14149Y1082 | 2175672 | 17,779,671,462 | USD | Analyze
|
CAJ | Canon Inc ADRs | | 08/30/2001 | US Equity | ADRs | Large cap | Information Technology | US1380063099 | 2173706 | 28,889,316,630 | USD | Analyze
|
CAL | Caleres Inc | | 02/12/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1295001044 | BWX4MD9 | 747,224,624 | USD | Analyze
|
CALX | Calix Networks Inc | | 03/24/2010 | US Equity | Common stocks | Mid cap | Information Technology | US13100M5094 | B3S4L67 | 3,394,278,524 | USD | Analyze
|
CANG | Cango Inc. ADRs of Class A | | 07/26/2018 | US Equity | ADRs | Micro cap | Consumer Discretionary | US1375861036 | BFNQYH4 | 109,406,214 | USD | Analyze
|
CANO | Cano Health, Inc. Class A | | 07/02/2020 | US Equity | Common stocks | Micro cap | Health Care | US13781Y1038 | BN0WWW2 | 290,592,110 | USD | Analyze
|
CANO+ | Cano Health, Inc. Warrants | | 06/03/2021 | US Equity | Warrants | Operating Companies | Health Care | | | 290,592,110 | USD | Analyze
|
CAPL | CrossAmerica Partners LP | | 10/25/2012 | US Equity | MLPs | Small cap | Energy | US22758A1051 | BRGMGR7 | 759,890,208 | USD | Analyze
|
CARR | Carrier Global Corporation | | 04/03/2020 | US Equity | Common stocks | Large cap | Industrials | US14448C1045 | BK4N0D7 | 36,988,351,406 | USD | Analyze
|
CARS | Cars.Com Inc | | 05/18/2017 | US Equity | Common stocks | Small cap | Communication Services | US14575E1055 | BYXHTC0 | 1,185,477,494 | USD | Analyze
|
CAS | Cascade Acquisition Corp. Class A | | 01/15/2021 | US Equity | Common stocks | Micro cap | Financials | CA1469001053 | 2179254 | 201,800,000 | USD | Analyze
|
CAS+ | Cascade Acquisition Corp. Redeemable Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 01/15/2021 | US Equity | Warrants | Shell Companies | Financials | | | 232,070,000 | USD | Analyze
|
CAS= | Cascade Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 11/20/2020 | US Equity | Units | Micro cap | Financials | | | 201,800,000 | USD | Analyze
|
CAT | Caterpillar Inc | | 02/12/2001 | US Equity | Common stocks | Large cap | Industrials | US1491231015 | 2180201 | 113,306,854,326 | USD | Analyze
|
CATO | Cato Corp Class A | | 01/02/2003 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US1492051065 | 2180438 | 167,373,781 | USD | Analyze
|
CB | Chubb Ltd | | 03/25/1993 | US Equity | Common stocks | Large cap | Financials | CH0044328745 | B3BQMF6 | 76,916,309,839 | USD | Analyze
|
CBD | Companhia Brasileira de Distribuica ADRs | | 08/30/2001 | US Equity | ADRs | Small cap | Consumer Staples | US20440T2015 | 2228532 | 696,958,798 | USD | Analyze
|
CBL | CBL & Associates Properties, Inc. | | 11/02/2021 | US Equity | REITs | Small cap | Real Estate | | BNTC8Y7 | 774,592,697 | USD | Analyze
|
CBRE | CBRE Group Inc | | 03/25/2013 | US Equity | Common stocks | Large cap | Real Estate | US12504L1098 | B6WVMH3 | 21,354,656,755 | USD | Analyze
|
CBT | Cabot Corp | | 02/12/2001 | US Equity | Common stocks | Mid cap | Materials | US1270551013 | 2162500 | 4,081,204,868 | USD | Analyze
|
CBU | Community Bank System Inc | | 02/12/2001 | US Equity | Common stocks | Mid cap | Financials | US2036071064 | 2222062 | 2,786,545,672 | USD | Analyze
|
CBZ | Cbiz Inc | | 02/12/2001 | US Equity | Common stocks | Mid cap | Industrials | US1248051021 | 2730781 | 2,352,761,318 | USD | Analyze
|
CC | Chemours Company | | 06/19/2015 | US Equity | Common stocks | Mid cap | Materials | US1638511089 | BZ0CTP8 | 4,223,094,102 | USD | Analyze
|
CCI | Crown Castle International Corp. | | 01/02/2001 | US Equity | REITs | Large cap | Real Estate | US22822V1017 | BTGQCX1 | 53,637,889,883 | USD | Analyze
|
CCJ | Cameco Corporation | | 08/27/2001 | US Equity | Common stocks | Large cap | Energy | CA13321L1085 | | 10,561,313,581 | USD | Analyze
|
CCK | Crown Holdings Inc | | 02/12/2001 | US Equity | Common stocks | Mid cap | Materials | US2283681060 | 2427986 | 9,280,682,571 | USD | Analyze
|
CCL | Carnival Corp | | 02/09/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | PA1436583006 | 2523044 | 10,266,281,128 | USD | Analyze
|
CCM | Concord Medical Services ADRs | | 12/11/2009 | US Equity | ADRs | Micro cap | Health Care | US2062771058 | | 30,970,037 | USD | Analyze
|
CCO | Clear Channel Outdoor Holdings Inc | | 11/11/2005 | US Equity | Common stocks | Small cap | Communication Services | US18453H1068 | BJHVCH9 | 515,633,907 | USD | Analyze
|
CCRD | CoreCard Corporation | | 01/02/1987 | US Equity | Common stocks | Micro cap | Information Technology | | 2453419 | 236,631,115 | USD | Analyze
|
CCS | Century Communities Inc | | 06/18/2014 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1565043007 | BN7ZZ47 | 1,926,066,590 | USD | Analyze
|
CCU | Compania Cervecerias Unidas SA ADRs | | 08/30/2001 | US Equity | ADRs | Mid cap | Consumer Staples | US2044291043 | 2217596 | 2,701,065,994 | USD | Analyze
|
CCV | Churchill Capital Corp V Class A | | 02/05/2021 | US Equity | Common stocks | Small cap | Financials | | | 454,050,000 | USD | Analyze
|
CCV+ | Churchill Capital Corp V Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 02/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 631,250,000 | USD | Analyze
|
CCV= | Churchill Capital Corp V - Units (1 Ord Class A & 1/4 War) | | 12/16/2020 | US Equity | Units | Small cap | Financials | | | 454,500,000 | USD | Analyze
|
CCVI | Churchill Capital Corp VI Class A | | 04/05/2021 | US Equity | Common stocks | Small cap | Financials | | | 556,968,000 | USD | Analyze
|
CCVI+ | Churchill Capital Corp VI Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 04/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 556,968,000 | USD | Analyze
|
CCVI= | Churchill Capital Corp VI - Units (1 Ord Share Class A & 1/5 War) | | 02/12/2021 | US Equity | Units | Small cap | Financials | | | 484,320,000 | USD | Analyze
|
CCZ | Comcast Holdings Corp., ZONES 2.0% Exchangeable Subordinated Debentures 11/15/2029 | | 11/13/2013 | US Equity | Exchange traded debt | Intermediate-term | Communication Services | | | 372,400,000 | USD | Analyze
|
CDAY | Ceridian HCM Holding Inc. | | 04/26/2018 | US Equity | Common stocks | Large cap | Information Technology | US15677J1088 | BFX1V56 | 10,551,351,506 | USD | Analyze
|
CDE | Coeur Mining Inc | | 02/12/2001 | US Equity | Common stocks | Small cap | Materials | US1921085049 | 2208136 | 966,758,283 | USD | Analyze
|
CDR | Cedar Realty Trust, Inc | | 12/17/1986 | US Equity | REITs | Small cap | Real Estate | US1506026053 | 7302215 | 395,570,846 | USD | Analyze
|
CDR-B | Cedar Realty Trust 7.25% Series B Cumulative Preferred Stock | | 05/24/2012 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 3,992,000 | USD | Analyze
|
CDR-C | Cedar Realty Trust 6.50% Series C Cumulative Preferred Stock | | 08/18/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US1506025063 | BF2N4D2 | 36,675,000 | USD | Analyze
|
CDRE | Cadre Holdings, Inc. | | 11/04/2021 | US Equity | Common stocks | Small cap | Industrials | | BKVKB49 | 686,167,141 | USD | Analyze
|
CE | Celanese Corporation | | 01/21/2005 | US Equity | Common stocks | Large cap | Materials | US1508701034 | B05MZT4 | 11,032,620,189 | USD | Analyze
|
CEA | China Eastern Airlines ADRs | | 08/23/2001 | US Equity | ADRs | Mid cap | Industrials | US16937R1041 | | 2,080,029,320 | USD | Analyze
|
CEIX | Consol Energy Corporation | | 11/29/2017 | US Equity | Common stocks | Small cap | Energy | US20854L1089 | BF4L070 | 1,838,806,160 | USD | Analyze
|
CELG^ | Bristol-Myers Squibb Company Celegne Contingent Value Rights | | 12/02/2019 | US Equity | Rights | Large cap | Unknown | | | 140,576,015,006 | USD | Analyze
|
CEPU | Central Puerto S.A. ADRs | | 02/02/2018 | US Equity | ADRs | Small cap | Utilities | US1550382014 | BDVP1Y5 | 779,721,464 | USD | Analyze
|
CEQP | Crestwood Equity Partners LP | | 03/24/2010 | US Equity | MLPs | Mid cap | Energy | US2263442087 | BY7R056 | 2,392,647,478 | USD | Analyze
|
CEQP- | Crestwood Equity Partners LP 9.25% Cumulative Preferred Units | | 07/10/2019 | US Equity | Preferred stocks | Convertible | Energy | | BD6VLS2 | 644,879,877 | USD | Analyze
|
CF | CF Industries Holdings Inc | | 08/11/2005 | US Equity | Common stocks | Large cap | Materials | US1252691001 | B0G4K50 | 13,718,196,870 | USD | Analyze
|
CFG | Citizens Financial Group Inc | | 09/24/2014 | US Equity | Common stocks | Large cap | Financials | US1746101054 | BQRX1X3 | 14,475,986,804 | USD | Analyze
|
CFG-D | Citizens Financial ADRs of 6.350% Fixed-to-Floating Rate Non-Cumulative Preferred Series D | | 01/30/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US1746102045 | BGPFT82 | 303,360,000 | USD | Analyze
|
CFG-E | Citizens Financial Group ADRs of 5.000% Non-Cumulative Perpetual Preferred, Series E | | 10/28/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US1746104025 | BK229B7 | 370,260,000 | USD | Analyze
|
CFR | Cullen Frost Bankers Inc | | 02/13/2001 | US Equity | Common stocks | Mid cap | Financials | US2298991090 | 2239556 | 6,299,720,962 | USD | Analyze
|
CFR-B | Cullen/Frost Bankers, Inc. ADRs of 4.450% non-cumulative preferred Series B | | 11/25/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BNKVVC2 | 117,960,000 | USD | Analyze
|
CGA | China Green Agriculture Inc. | | 02/20/2008 | US Equity | Common stocks | Micro cap | Materials | | | 54,460,320 | USD | Analyze
|
CGAU | Centerra Gold Inc. | | 04/15/2021 | US Equity | Common stocks | Small cap | Materials | | | 1,376,516,270 | USD | Analyze
|
CHAA | Catcha Investment Corp. Class A | | 10/31/2013 | US Equity | Common stocks | Small cap | Financials | | | 307,200,000 | USD | Analyze
|
CHAA+ | Catcha Investment Corp. Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 04/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 307,200,000 | USD | Analyze
|
CHAA= | Catcha Investment Corp - Units (1 Ord Share Class A & 1/3 War) | | 02/12/2021 | US Equity | Units | Micro cap | Financials | | | 278,850,000 | USD | Analyze
|
CHCT | Community Healthcare Trust Incorporated | | 05/21/2015 | US Equity | REITs | Small cap | Real Estate | US20369C1062 | BXC87C3 | 892,951,226 | USD | Analyze
|
CHD | Church And Dwight Inc | | 03/17/1980 | US Equity | Common stocks | Large cap | Consumer Staples | US1713401024 | 2195841 | 20,579,008,167 | USD | Analyze
|
CHE | Chemed Corp | | 02/13/2001 | US Equity | Common stocks | Mid cap | Health Care | US16359R1032 | 2190084 | 7,650,057,714 | USD | Analyze
|
CHGG | Chegg Inc | | 11/13/2013 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1630921096 | BG6N6K6 | 1,952,695,586 | USD | Analyze
|
CHH | Choice Hotels International Inc | | 02/13/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US1699051066 | 2106780 | 5,815,866,181 | USD | Analyze
|
CHMI | Cherry Hill Mortgage Investment Corporation | | 10/04/2013 | US Equity | Mortgage REITs | Micro cap | Financials | US1646511014 | BF8H8T2 | 138,682,584 | USD | Analyze
|
CHMI-A | Cherry Hill Mortgage 8.20% Series A Cumulative Preferred Stock | | 08/11/2017 | US Equity | Preferred stocks | Non-convertible | Financials | | | 53,160,000 | USD | Analyze
|
CHMI-B | Cherry Hill Mortgage 8.250% Series B Fixed-to-Floating Rate Cumulative Preferred | | 02/13/2019 | US Equity | Preferred stocks | Non-convertible | Financials | | | 40,158,000 | USD | Analyze
|
CHPT | ChargePoint Holdings, Inc. | | 09/16/2019 | US Equity | Common stocks | Mid cap | Industrials | US15961R1059 | BMC9RZ2 | 3,437,343,736 | USD | Analyze
|
CHRA | Charah Solutions Inc. | | 06/14/2018 | US Equity | Common stocks | Micro cap | Industrials | US15957P1057 | | 120,313,226 | USD | Analyze
|
CHRB | Charah Solutions, Inc. 8.50% Senior Notes due 2026 | | 08/31/2021 | US Equity | Exchange traded debt | Short-term | Industrials | | | 56,403,000 | USD | Analyze
|
CHS | Chicos FAS Inc | | 08/02/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1686151028 | 2196781 | 681,627,783 | USD | Analyze
|
CHT | Chunghwa Telecom Co Ltd ADRs | | 07/17/2003 | US Equity | ADRs | Large cap | Communication Services | US17133Q5027 | B4TDF13 | 30,479,007,495 | USD | Analyze
|
CHWY | Chewy, Inc. Class A | | 06/14/2019 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US16679L1098 | BJLFHW7 | 4,043,396,865 | USD | Analyze
|
CI | Cigna Corp | | 02/13/2001 | US Equity | Common stocks | Large cap | Health Care | US1255231003 | BHJ0775 | 76,219,647,872 | USD | Analyze
|
CIA | Citizens Inc Class A | | 02/13/2001 | US Equity | Common stocks | Micro cap | Financials | US1747401008 | 2199478 | 158,491,566 | USD | Analyze
|
CIAN | Cian PLC ADRs | | 11/05/2021 | US Equity | ADRs | Micro cap | Real Estate | | | 237,563,137 | USD | Analyze
|
CIB | Bancolombia SA ADRs | | 08/30/2001 | US Equity | ADRs | Mid cap | Financials | US05968L1026 | 2082567 | 2,553,361,344 | USD | Analyze
|
CIEN | Ciena Corp | | 02/10/1997 | US Equity | Common stocks | Mid cap | Information Technology | US1717793095 | B1FLZ21 | 7,323,744,609 | USD | Analyze
|
CIG | Companhia Energetica de Minas Gerais-CEMIG ADRs | | 09/18/2001 | US Equity | ADRs | Mid cap | Utilities | US2044096012 | 2178938 | 4,977,072,854 | USD | Analyze
|
CIG.C | Comp En De Mn Cemig ADRs | | 02/13/2013 | US Equity | ADRs | Mid cap | Utilities | US2044098828 | | 4,977,072,854 | USD | Analyze
|
CIM | Chimera Investment Corp | | 11/16/2007 | US Equity | Mortgage REITs | Small cap | Financials | US16934Q2084 | BVZCNC0 | 1,203,179,639 | USD | Analyze
|
CIM-A | Chimera Investment 8.00% Series A Cumulative Preferred Stock | | 10/07/2016 | US Equity | Preferred stocks | Non-convertible | Financials | US16934Q3074 | BYWYML2 | 130,210,000 | USD | Analyze
|
CIM-B | Chimera Investment 8.00% Series B Fixed-to-Floating Rate Cumulative Preferred | | 02/23/2017 | US Equity | Preferred stocks | Non-convertible | Financials | US16934Q4064 | BYYPKL9 | 280,150,000 | USD | Analyze
|
CIM-C | Chimera Investment 7.75% Series C Fixed-to-Floating Rate Cumulative Preferred | | 09/14/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US16934Q5053 | BGHCHV0 | 209,560,000 | USD | Analyze
|
CIM-D | Chimera Investment 8.00% Series D Fixed-to-Floating Rate Cumulative Preferred | | 01/24/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US16934Q6044 | BHRS1F7 | 152,810,000 | USD | Analyze
|
CINT | CI&T Inc | | 11/10/2021 | US Equity | Common stocks | Small cap | Information Technology | | | 1,832,029,056 | USD | Analyze
|
CIO | City Office REIT, Inc | | 04/15/2014 | US Equity | REITs | Micro cap | Real Estate | US1785871013 | BL25F37 | 240,030,091 | USD | Analyze
|
CIO-A | City Office REIT Inc. 6.625% Series A Cumulative Preferred Stock | | 09/27/2016 | US Equity | Preferred stocks | Non-convertible | Real Estate | US1785872003 | BDCG2S8 | 95,424,000 | USD | Analyze
|
CION | CION Investment Corporation | | 10/05/2021 | US Equity | BDCs | Small cap | Financials | | | 524,867,389 | USD | Analyze
|
CIR | Circor International Inc | | 02/13/2001 | US Equity | Common stocks | Small cap | Industrials | US17273K1097 | 2496384 | 600,368,838 | USD | Analyze
|
CIVI | Civitas Resources, Inc. | | 12/15/2011 | US Equity | Common stocks | Mid cap | Energy | US17888H1032 | BMG9GG2 | 5,077,284,455 | USD | Analyze
|
CIXX | CI Financial Corp. | | 11/02/2020 | US Equity | Common stocks | Mid cap | Financials | | | 2,127,378,708 | USD | Analyze
|
C-J | Citigroup Inc. ADRs of Series J Fixed to Floating Rate Preferred | | 09/16/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US1729673582 | BDX8YP4 | 928,800,000 | USD | Analyze
|
C-K | Citigroup ADRs of 6.875% Fixed Rate/Floating Rate Noncumulative Preferred Series K | | 10/28/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US1729673418 | BG05028 | 1,344,200,000 | USD | Analyze
|
CL | Colgate-Palmolive | | 02/13/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US1941621039 | 2209106 | 59,646,108,486 | USD | Analyze
|
CLAA | Colonnade Acquisition Corp. II Class A | | 04/30/2021 | US Equity | Common stocks | Small cap | Financials | | | 335,610,000 | USD | Analyze
|
CLAA+ | Colonnade Acquisition Corp. II Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 04/30/2021 | US Equity | Warrants | Shell Companies | Financials | | | 335,940,000 | USD | Analyze
|
CLAA= | Colonnade Acquisition Corp II - Units (1 Ord Share Class A & 1/5 War) | | 03/10/2021 | US Equity | Units | Small cap | Financials | | | 335,940,000 | USD | Analyze
|
CLAS | Class Acceleration Corp. Class A | | 03/08/2021 | US Equity | Common stocks | Micro cap | Financials | | | 228,825,000 | USD | Analyze
|
CLAS+ | Class Acceleration Corp. Redeemable Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 03/08/2021 | US Equity | Warrants | Shell Companies | Financials | | | 263,148,750 | USD | Analyze
|
CLAS= | Class Acceleration Corp - Units (1 Ord Class A & 1/2 War) | | 01/15/2021 | US Equity | Units | Micro cap | Financials | | | 226,350,000 | USD | Analyze
|
CLB | Core Laboratories Nv | | 02/13/2001 | US Equity | Common stocks | Small cap | Energy | NL0000200384 | 2182531 | 946,202,521 | USD | Analyze
|
CLBR | Colombier Acquisition Corp. Class A | | 07/07/2021 | US Equity | Common stocks | Micro cap | Financials | | | 174,742,500 | USD | Analyze
|
CLBR+ | Colombier Acquisition Corp. Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 07/07/2021 | US Equity | Warrants | Shell Companies | Financials | | | 174,742,500 | USD | Analyze
|
CLBR= | Colombier Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 06/09/2021 | US Equity | Units | Micro cap | Financials | | | 174,742,500 | USD | Analyze
|
CLCO | Cool Company Ltd. | | 03/17/2023 | US Equity | Common stocks | Small cap | Unknown | | | 0 | USD | Analyze
|
CLDT | Chatham Lodging Trust | | 04/16/2010 | US Equity | REITs | Small cap | Real Estate | US16208T1025 | B5LYMC1 | 468,981,283 | USD | Analyze
|
CLDT-A | Chatham Lodging Trust (REIT) 6.625% Series A Cumulative Preferred | | 06/24/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 97,824,000 | USD | Analyze
|
CLF | Cleveland-Cliffs Inc. | | 02/13/2001 | US Equity | Common stocks | Mid cap | Materials | US1858991011 | BYVZ186 | 9,085,995,916 | USD | Analyze
|
CLH | Clean Harbors Inc | | 11/24/1987 | US Equity | Common stocks | Mid cap | Industrials | US1844961078 | 2202473 | 7,176,423,232 | USD | Analyze
|
CLIM | Climate Real Impact Solutions II Acquisition Corporation Class A | | 03/19/2021 | US Equity | Common stocks | Micro cap | Financials | | | 242,224,500 | USD | Analyze
|
CLIM+ | Climate Real Impact Solutions II Acquisition Corporation Redeemable Warrants, each whole Warrant exercisable for one share of Class A Common Stock, each at an exercise price of $11.50 per share | | 03/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
CLIM= | Climate Real Impact Solutions II Acquisition Corp - Units (1 Ord Share Class A & 1/5 War) | | 01/22/2021 | US Equity | Units | Micro cap | Financials | | | 210,210,000 | USD | Analyze
|
CLPR | Clipper Realty Inc | | 02/10/2017 | US Equity | REITs | Micro cap | Real Estate | US18885T3068 | BYPD5H3 | 91,721,032 | USD | Analyze
|
CLR | Continental Resources Inc | | 05/15/2007 | US Equity | Common stocks | Large cap | Energy | US2120151012 | B1XGWS3 | 26,961,475,199 | USD | Analyze
|
CLS | Celestica | | 08/27/2001 | US Equity | Common stocks | Small cap | Information Technology | CA15101Q1081 | | 1,275,352,171 | USD | Analyze
|
CLVT | Clarivate Plc | | 10/29/2018 | US Equity | Common stocks | Mid cap | Industrials | JE00BJJN4441 | BJJN444 | 6,359,859,869 | USD | Analyze
|
CLVT-A | Clarivate Plc 5.25% Series A Mandatory Convertible Preferred Shares | | 06/17/2021 | US Equity | Preferred stocks | Convertible | Industrials | JE00BM91P354 | BM91P35 | 738,875,000 | USD | Analyze
|
CLW | Clearwater Paper Corp | | 12/05/2008 | US Equity | Common stocks | Small cap | Materials | US18538R1032 | B3K9Z35 | 546,772,167 | USD | Analyze
|
CLX | Clorox | | 02/13/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US1890541097 | 2204026 | 19,098,189,118 | USD | Analyze
|
CM | Canadian Imperial Bank Of Commerce | | 08/03/2001 | US Equity | Common stocks | Large cap | Financials | CA1360691010 | 2170525 | 37,743,499,651 | USD | Analyze
|
CMA | Comerica Inc | | 02/13/2001 | US Equity | Common stocks | Mid cap | Financials | US2003401070 | 2212870 | 5,352,617,602 | USD | Analyze
|
CMC | Commercial Metals | | 02/13/2001 | US Equity | Common stocks | Mid cap | Materials | US2017231034 | 2213260 | 5,387,889,115 | USD | Analyze
|
CMCM | Cheetah Mobile ADRs | | 05/08/2014 | US Equity | ADRs | Micro cap | Information Technology | US1630751048 | BM67GG6 | 20,148,347 | USD | Analyze
|
CMG | Chipotle Mexican Grill Inc | | 01/26/2006 | US Equity | Common stocks | Large cap | Consumer Discretionary | US1696561059 | B0X7DZ3 | 45,093,493,883 | USD | Analyze
|
CMI | Cummins Inc | | 02/13/2001 | US Equity | Common stocks | Large cap | Industrials | US2310211063 | 2240202 | 31,977,669,155 | USD | Analyze
|
CMP | Compass Minerals International Inc | | 12/12/2003 | US Equity | Common stocks | Small cap | Materials | US20451N1019 | 2202763 | 1,268,302,333 | USD | Analyze
|
CMRE | Costamare Inc | | 11/04/2010 | US Equity | Common stocks | Small cap | Industrials | MHY1771G1026 | B566T98 | 1,117,266,999 | USD | Analyze
|
CMRE-B | Costamare Inc. 7.625% Cumulative Series B Preferred Stock | | 08/01/2013 | US Equity | Preferred stocks | Non-convertible | Industrials | | | 50,100,000 | USD | Analyze
|
CMRE-C | Costamare 8.50% Series C Cumulative Preferred Stock | | 01/15/2014 | US Equity | Preferred stocks | Non-convertible | Industrials | MHY1771G1281 | | 102,700,000 | USD | Analyze
|
CMRE-D | Costamare Inc. 8.75% Series D Cumulative Preferred Stock | | 05/08/2015 | US Equity | Preferred stocks | Non-convertible | Industrials | MHY1771G1364 | BXC8LV0 | 105,960,000 | USD | Analyze
|
CMRE-E | Costamare Inc. 8.875% Series E Cumulative Preferred Stock | | 01/26/2018 | US Equity | Preferred stocks | Non-convertible | Industrials | MHY1771G2016 | BG143V4 | 119,094,000 | USD | Analyze
|
CMS | CMS Energy Corp | | 02/13/2001 | US Equity | Common stocks | Large cap | Utilities | US1258961002 | 2219224 | 16,901,154,663 | USD | Analyze
|
CMSA | CMS Energy Corporation 5.625% Junior Subordinated Notes due 2078 | | 03/12/2018 | US Equity | Exchange traded debt | Long-term | Utilities | US1258968601 | BYWSYZ2 | 186,024,000 | USD | Analyze
|
CMS-B | CMS Energy Cumulative Preferred Stock, $100 par value: $4.50 Series | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Utilities | | | 784,425,000 | USD | Analyze
|
CMSC | CMS Energy Corporation 5.875% Junior Subordinated Notes due 2078 | | 10/01/2018 | US Equity | Exchange traded debt | Long-term | Utilities | US1258968528 | BFXBC20 | 272,608,000 | USD | Analyze
|
CMS-C | CMS Energy Corporation ADRs of 4.200% Cumulative Redeemable Preferred, Series C | | 07/09/2021 | US Equity | Preferred stocks | Non-convertible | Utilities | | BLNB396 | 182,068,000 | USD | Analyze
|
CMSD | CMS Energy Corporation 5.875% Junior Subordinated Notes due 2079 | | 02/21/2019 | US Equity | Exchange traded debt | Long-term | Utilities | US1258968452 | BJJP666 | 604,396,800 | USD | Analyze
|
CMTG | Claros Mortgage Trust, Inc. | | 11/03/2021 | US Equity | Mortgage REITs | Small cap | Financials | | BNTW041 | 1,541,500,153 | USD | Analyze
|
C-N | Citigroup Capital VIII 7.875% Fixed rate Floating Rate trust Preferred Securities (TruPS) | | 10/04/2010 | US Equity | Exchange traded debt | Long-term | Financials | US1730802014 | B3Z1BZ0 | 2,443,648,000 | USD | Analyze
|
CNA | CNA Financial Corp | | 08/02/2001 | US Equity | Common stocks | Mid cap | Financials | US1261171003 | 2204866 | 9,962,464,899 | USD | Analyze
|
CNC | Centene Corp | | 12/13/2001 | US Equity | Common stocks | Large cap | Health Care | US15135B1017 | 2807061 | 34,498,136,102 | USD | Analyze
|
CND | Concord Acquisition Corp. Class A | | 01/28/2021 | US Equity | Common stocks | Micro cap | Financials | | | 288,056,320 | USD | Analyze
|
CND+ | Concord Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 01/28/2021 | US Equity | Warrants | Shell Companies | Financials | | | 288,623,360 | USD | Analyze
|
CND= | Concord Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 12/03/2020 | US Equity | Units | Micro cap | Financials | | | 288,056,320 | USD | Analyze
|
CNDA | Concord Acquisition Corp II Class A | | 10/22/2021 | US Equity | Common stocks | Micro cap | Financials | | | 283,038,524 | USD | Analyze
|
CNDA+ | Concord Acquisition Corp II Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 10/22/2021 | US Equity | Warrants | Shell Companies | Financials | | | 283,038,524 | USD | Analyze
|
CNDA= | Concord Acquisition Corp. II - Units (1 Ord Share Class A & 1/3 War) | | 09/01/2021 | US Equity | Units | Micro cap | Financials | | | 283,038,524 | USD | Analyze
|
CNDB | Concord Acquisition Corp III | | 12/27/2021 | US Equity | Common stocks | Small cap | Financials | | | 357,765,000 | USD | Analyze
|
CNDB+ | Concord Acquisition Corp III Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 12/27/2021 | US Equity | Warrants | Shell Companies | Financials | | | 357,765,000 | USD | Analyze
|
CNDB= | Concord Acquisition Corp III - Units (1 Ord Share Class A & 1/2 War) | | 11/04/2021 | US Equity | Units | Small cap | Financials | | | 357,765,000 | USD | Analyze
|
CNF | CNFinance Holdings Limited ADRs | | 11/07/2018 | US Equity | ADRs | Micro cap | Financials | US18979T1051 | | 154,309,865 | USD | Analyze
|
CNHI | CNH Industrial N.V. | | 09/30/2013 | US Equity | Common stocks | Large cap | Industrials | NL0010545661 | BDX85Z1 | 19,585,590,947 | USD | Analyze
|
CNI | Canadian National Railway Company | | 02/11/2013 | US Equity | Common stocks | Large cap | Industrials | AU000000CNI5 | 6518745 | 75,262,769,613 | USD | Analyze
|
CNK | Cinemark Holdings Inc | | 04/24/2007 | US Equity | Common stocks | Small cap | Communication Services | US17243V1026 | B1W7RQ0 | 1,594,115,834 | USD | Analyze
|
CNM | Core & Main, Inc. | | 07/23/2021 | US Equity | Common stocks | Mid cap | Industrials | US21874C1027 | BNXKS92 | 3,637,625,884 | USD | Analyze
|
CNMD | CONMED Corporation | | 02/12/2001 | US Equity | Common stocks | Mid cap | Health Care | US2074101013 | 2216010 | 2,939,535,931 | USD | Analyze
|
CNNE | Cannae Holdings, Inc. | | 11/20/2017 | US Equity | Common stocks | Small cap | Financials | US13765N1072 | BFMQPR2 | 1,457,287,093 | USD | Analyze
|
CNO | CNO Financial Group Inc | | 09/12/2003 | US Equity | Common stocks | Mid cap | Financials | US12621E1038 | 2657750 | 2,394,069,980 | USD | Analyze
|
CNO-A | CNO Financial Group, Inc. 5.125% Subordinated Debentures due 2060 | | 11/30/2020 | US Equity | Exchange traded debt | Long-term | Financials | US12621E3018 | BMWB509 | 115,320,000 | USD | Analyze
|
CNP | Centerpoint Energy Inc | | 02/13/2001 | US Equity | Common stocks | Large cap | Utilities | US15189T1079 | 2440637 | 17,238,993,163 | USD | Analyze
|
CNQ | Canadian Natural Resources Limited | | 08/27/2001 | US Equity | Common stocks | Large cap | Energy | CA1363851017 | | 56,667,589,568 | USD | Analyze
|
CNR | Cornerstone Building Brands, Inc. | | 01/04/2016 | US Equity | Common stocks | Mid cap | Industrials | US21925D1090 | BJXSDX7 | 3,140,549,665 | USD | Analyze
|
CNS | Cohen & Steers Inc | | 08/13/2004 | US Equity | Common stocks | Mid cap | Financials | US19247A1007 | B02H882 | 2,972,706,699 | USD | Analyze
|
CNVY | Convey Holding Parent, Inc. | | 06/16/2021 | US Equity | Common stocks | Small cap | Health Care | US21258C1080 | BMCR240 | 769,270,737 | USD | Analyze
|
CNX | CNX Resources Corporation | | 02/13/2001 | US Equity | Common stocks | Mid cap | Energy | US12653C1080 | BF3FTF4 | 2,592,728,287 | USD | Analyze
|
CO | Global Cord Blood Corporation | | 02/11/2013 | US Equity | Common stocks | Unknown | Consumer Staples | KYG393421030 | BZ8VL95 | 0 | USD | Analyze
|
CODI | Compass Diversified Holdings | | 05/18/2006 | US Equity | MLPs | Small cap | Financials | US20451Q1040 | B14TC70 | 1,314,089,668 | USD | Analyze
|
CODI-A | Compass Diversified Holdings 7.250% Series A Preferred Shares | | 06/20/2017 | US Equity | Preferred stocks | Non-convertible | Financials | US20451Q2030 | BD5HD30 | 100,440,000 | USD | Analyze
|
CODI-B | Compass Diversified 7.875% Series B Fixed-to-Floating Rate Cumulative Preferred | | 03/06/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US20451Q3020 | BYWSZQ0 | 105,400,000 | USD | Analyze
|
CODI-C | Compass Diversified Holdings 7.875% Series C Cumulative Preferred Shares | | 11/27/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US20451Q4010 | BKSQJK2 | 102,440,000 | USD | Analyze
|
COE | China Online Education ADRs of Class A | | 06/10/2016 | US Equity | ADRs | Micro cap | Consumer Discretionary | US16954L1052 | BYQLR47 | 76,779,385 | USD | Analyze
|
COF | Capital One Financial Corp | | 02/13/2001 | US Equity | Common stocks | Large cap | Financials | US14040H1059 | 2654461 | 34,277,853,574 | USD | Analyze
|
COF-I | Capital One Financial ADRs of 5% Non-Cumulative Preferred, Series I | | 09/16/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US14040H8245 | BGMJPW3 | 1,117,800,000 | USD | Analyze
|
COF-J | Capital One Financial ADRs of Fixed Rate Non- Cumulative Perpetual Preferred Stock, Series J | | 02/05/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BK9PWX2 | 987,000,000 | USD | Analyze
|
COF-K | Capital One Financial Corporation ADRs of 4.625% Fixed Rate Non-Cumulative Preferred, Series K | | 09/21/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BLNPMY6 | 96,450,000 | USD | Analyze
|
COF-L | Capital One Financial Corporation ADRs of Fixed Rate Non-Cumulative Preferred, Series L | | 05/06/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | BMX47S9 | 482,760,000 | USD | Analyze
|
COF-N | Capital One Financial ADRs of 4.25% Non-Cumulative Preferred, Series N | | 07/27/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 301,920,000 | USD | Analyze
|
COHR | Coherent Inc | | 02/12/2001 | US Equity | Common stocks | Mid cap | Information Technology | US19247G1076 | BNG8Z81 | 4,817,835,457 | USD | Analyze
|
COLD | Americold Realty Trust | | 01/19/2018 | US Equity | REITs | Mid cap | Real Estate | US03064D1081 | B3SKZK7 | 7,303,407,548 | USD | Analyze
|
COO | Cooper Companies, Inc. | | 02/13/2001 | US Equity | Common stocks | Large cap | Health Care | US2166484020 | 2222631 | 17,060,225,853 | USD | Analyze
|
COOK | Traeger, Inc. | | 07/29/2021 | US Equity | Common stocks | Small cap | Consumer Discretionary | US89269P1030 | BN72WR0 | 469,715,011 | USD | Analyze
|
COP | ConocoPhillips | | 02/13/2001 | US Equity | Common stocks | Large cap | Energy | US20825C1045 | 2685717 | 117,514,429,551 | USD | Analyze
|
CORR | CorEnergy Infrastructure Trust, Inc | | 02/02/2007 | US Equity | REITs | Micro cap | Real Estate | US21870U5020 | BZ4BVL1 | 19,881,753 | USD | Analyze
|
CORR-A | CorEnergy ADRs of 7.375% Series A Cumulative Preferred Stock | | 01/26/2015 | US Equity | Preferred stocks | Convertible | Real Estate | US21870U3041 | BVLY0Y1 | 34,760,000 | USD | Analyze
|
CORS | Corsair Partnering Corporation Class A | | 08/23/2021 | US Equity | Common stocks | Micro cap | Financials | | | 286,518,000 | USD | Analyze
|
CORS+ | Corsair Partnering Corporation Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 08/23/2021 | US Equity | Warrants | Shell Companies | Financials | | | 286,518,000 | USD | Analyze
|
CORS= | Corsair Partnering Corp - Units (1 Ord Share Class A & 1/3 War) | | 07/01/2021 | US Equity | Units | Micro cap | Financials | | | 286,518,000 | USD | Analyze
|
COTY | Coty Inc Class A | | 06/13/2013 | US Equity | Common stocks | Mid cap | Consumer Staples | US2220702037 | BBBSMJ2 | 9,753,696,192 | USD | Analyze
|
COUR | Coursera, Inc. | | 03/27/1991 | US Equity | Common stocks | Small cap | Consumer Discretionary | US22266M1045 | BNSNZL7 | 1,586,288,951 | USD | Analyze
|
CP | Canadian Pacific Railway Limited | | 08/21/2001 | US Equity | Common stocks | Large cap | Industrials | CA13645T1003 | 2793104 | 69,612,808,764 | USD | Analyze
|
CPA | Copa Holdings SA Class A | | 12/15/2005 | US Equity | Common stocks | Mid cap | Industrials | PAP310761054 | B0TNJH9 | 2,731,289,974 | USD | Analyze
|
CPAC | Cementos Pacasmayo SAA ADRs | | 02/11/2013 | US Equity | ADRs | Small cap | Materials | US15126Q2084 | | 447,605,083 | USD | Analyze
|
CPB | Campbell Soup | | 02/13/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US1344291091 | 2162845 | 16,021,965,519 | USD | Analyze
|
CPE | Callon Petroleum | | 09/19/1994 | US Equity | Common stocks | Small cap | Energy | US13123X5086 | BMYVSM0 | 1,864,777,644 | USD | Analyze
|
CPF | Central Pacific Financial Corp | | 02/13/2001 | US Equity | Common stocks | Small cap | Financials | US1547604090 | 2230946 | 483,538,585 | USD | Analyze
|
CPG | Crescent Point Energy Corporation | | 09/11/2003 | US Equity | Common stocks | Mid cap | Energy | CA22576C1014 | B67C970 | 3,594,599,475 | USD | Analyze
|
CPK | Chesapeake Utilities Corp | | 02/13/2001 | US Equity | Common stocks | Mid cap | Utilities | US1653031088 | 2190750 | 2,156,904,036 | USD | Analyze
|
CPNG | Coupang, Inc. Class A | | 03/11/2021 | US Equity | Common stocks | Large cap | Consumer Discretionary | US22266T1097 | BNYHDF3 | 23,367,826,494 | USD | Analyze
|
CPRI | Capri Holdings Limited | | 01/02/2019 | US Equity | Common stocks | Mid cap | Consumer Discretionary | VGG1890L1076 | BJ1N1M9 | 5,458,308,661 | USD | Analyze
|
CPS | Cooper Standard Holdings Inc | | 05/25/2010 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US21676P1030 | B51JS17 | 226,681,384 | USD | Analyze
|
CPT | Camden Property Trust | | 02/13/2001 | US Equity | REITs | Large cap | Real Estate | US1331311027 | 2166320 | 10,526,003,141 | USD | Analyze
|
CPTK | Crown PropTech Acquisitions Class A | | 03/30/2021 | US Equity | Common stocks | Micro cap | Financials | | | 275,310,000 | USD | Analyze
|
CPTK+ | Crown PropTech Acquisitions Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/30/2021 | US Equity | Warrants | Shell Companies | Financials | | | 275,310,000 | USD | Analyze
|
CPTK= | Crown PropTech Acquisitions - Units (1 Ord Share Class A & 1/3 War) | | 02/09/2021 | US Equity | Units | Micro cap | Financials | | | 240,240,000 | USD | Analyze
|
CPUH | Compute Health Acquisition Corp. Class A | | 03/29/2021 | US Equity | Common stocks | Small cap | Financials | | | 1,104,000,000 | USD | Analyze
|
CPUH+ | Compute Health Acquisition Corp. Redeemable warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 | | 03/29/2021 | US Equity | Warrants | Shell Companies | Financials | | | 1,104,000,000 | USD | Analyze
|
CPUH= | Compute Health Acquisition Corp - Units (1 Ord Share Class A & 1/4 War) | | 02/05/2021 | US Equity | Units | Small cap | Financials | | | 774,750,000 | USD | Analyze
|
CR | Crane | | 02/13/2001 | US Equity | Common stocks | Mid cap | Industrials | US2244411052 | BQ7W2W6 | 6,155,636,811 | USD | Analyze
|
CRBG | Corebridge Financial Inc. | | 09/15/2022 | US Equity | Common stocks | Mid cap | Unknown | | BMTX0G9 | 9,551,571,036 | USD | Analyze
|
CRC | California Resources Corporation | | 08/04/2020 | US Equity | Common stocks | Mid cap | Energy | US13057Q3056 | BMBK002 | 2,564,327,179 | USD | Analyze
|
CRD.A | Crawford & Company Class A | | 02/11/2013 | US Equity | Common stocks | Small cap | Financials | US2246332066 | 2232094 | 355,750,725 | USD | Analyze
|
CRD.B | Crawford & Company Class B | | 02/13/2001 | US Equity | Common stocks | Small cap | Financials | US2246331076 | 2232072 | 355,750,725 | USD | Analyze
|
CRGY | Crescent Energy Company Class A | | 12/08/2021 | US Equity | Common stocks | Small cap | Energy | US44952J1043 | BNR4QY1 | 498,271,922 | USD | Analyze
|
CRH | CRH PLC ADRs | | 08/30/2001 | US Equity | ADRs | Large cap | Materials | US12626K2033 | 0182704 | 36,799,934,631 | USD | Analyze
|
CRHC | Cohn Robbins Holdings Corp. Class A | | 10/30/2020 | US Equity | Common stocks | Small cap | Financials | | | 828,000,000 | USD | Analyze
|
CRHC+ | Cohn Robbins Holdings Corp. Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 10/30/2020 | US Equity | Warrants | Shell Companies | Financials | | | 828,000,000 | USD | Analyze
|
CRHC= | Cohn Robbins Holdings Corp - Units (1 Ord Share Class A & 1/3 War) | | 09/09/2020 | US Equity | Units | Small cap | Financials | | | 828,000,000 | USD | Analyze
|
CRI | Carters Inc | | 10/24/2003 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US1462291097 | 2980939 | 2,639,167,668 | USD | Analyze
|
CRK | Comstock Resources Inc | | 08/02/2001 | US Equity | Common stocks | Mid cap | Energy | US2057683029 | BD82PS1 | 2,764,001,243 | USD | Analyze
|
CRL | Charles River Laboratories International | | 02/13/2001 | US Equity | Common stocks | Mid cap | Health Care | US1598641074 | 2604336 | 9,876,406,435 | USD | Analyze
|
CRM | Salesforce.Com Inc | | 06/23/2004 | US Equity | Common stocks | Large cap | Information Technology | US79466L3024 | 2310525 | 187,440,000,000 | USD | Analyze
|
CRS | Carpenter Technology Corp | | 02/13/2001 | US Equity | Common stocks | Small cap | Materials | US1442851036 | 2177504 | 1,952,010,570 | USD | Analyze
|
CRT | Cross Timbers Royalty Trust | | 02/11/2013 | US Equity | Royalty trusts | Micro cap | Energy | | | 99,060,000 | USD | Analyze
|
CRU | Crucible Acquisition Corporation Class A | | 11/14/2011 | US Equity | Common stocks | Micro cap | Financials | | | 22,612,500 | USD | Analyze
|
CRU+ | Crucible Acquisition Corporation Redeemable warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 | | 02/25/2021 | US Equity | Warrants | Shell Companies | Financials | | | 256,938,750 | USD | Analyze
|
CRU= | Crucible Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 12/31/2020 | US Equity | Units | Micro cap | Financials | | | 22,545,000 | USD | Analyze
|
CS | Credit Suisse Group AG ADRs | | 09/25/2001 | US Equity | ADRs | Mid cap | Financials | US2254011081 | | 3,489,481,614 | USD | Analyze
|
CSAN | Cosan S.A. ADRs | | 03/11/2021 | US Equity | ADRs | Mid cap | Energy | | | 4,816,362,295 | USD | Analyze
|
CSL | Carlisle Companies Inc | | 02/13/2001 | US Equity | Common stocks | Large cap | Industrials | US1423391002 | 2176318 | 10,877,958,893 | USD | Analyze
|
CSR | Centerspace | | 10/17/1997 | US Equity | REITs | Small cap | Real Estate | US15202L1070 | BN47P80 | 779,114,381 | USD | Analyze
|
CSR-C | Centerspace 6.625% Series C Cumulative Preferred | | 09/26/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 108,439,052 | USD | Analyze
|
CSTA | Constellation Acquisition Corp I Class A | | 03/19/2021 | US Equity | Common stocks | Small cap | Financials | | | 308,400,000 | USD | Analyze
|
CSTA+ | Constellation Acquisition Corp I Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 318,680,000 | USD | Analyze
|
CSTA= | Constellation Acquisition Corp I - Units (1 Ord Share Class A & 1/3 War) | | 01/27/2021 | US Equity | Units | Small cap | Financials | | | 309,450,000 | USD | Analyze
|
CSTM | Constellium NV Class A | | 05/23/2013 | US Equity | Common stocks | Mid cap | Materials | FR0013467479 | BKPR6S5 | 2,031,766,415 | USD | Analyze
|
CSV | Carriage Services Inc | | 02/13/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1439051079 | 2177786 | 455,801,970 | USD | Analyze
|
CTA-A | Corteva $3.50 Series Cumulative Preferred Stock | | 03/21/1980 | US Equity | Preferred stocks | Non-convertible | Materials | | | 50,059,100 | USD | Analyze
|
CTA-B | Corteva $4.50 Series Cumulative Preferred Stock | | 03/18/1980 | US Equity | Preferred stocks | Non-convertible | Materials | US2635343070 | 2287748 | 187,125,050 | USD | Analyze
|
CTBB | Qwest Corporation 6.5% Notes due 2056 | | 08/23/2016 | US Equity | Exchange traded debt | Long-term | Communication Services | US74913G8814 | BZ4C835 | 519,248,000 | USD | Analyze
|
CTDD | Qwest Corporation 6.75% Notes due 2057 | | 04/28/2017 | US Equity | Exchange traded debt | Long-term | Communication Services | US74913G8731 | BD2ZSL0 | 321,024,000 | USD | Analyze
|
CTLT | Catalent Inc | | 07/31/2014 | US Equity | Common stocks | Large cap | Health Care | US1488061029 | BP96PQ4 | 11,280,867,855 | USD | Analyze
|
CTO | Consolidated Tomoka Land | | 02/13/2001 | US Equity | Common stocks | Small cap | Real Estate | US22948Q1013 | BN7JWR1 | 372,104,169 | USD | Analyze
|
CTO-A | CTO Realty Growth, Inc. 6.375% Series A Cumulative Redeemable Preferred Stock | | 07/08/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 67,200,000 | USD | Analyze
|
CTOS | Custom Truck One Source, Inc. | | 10/06/2017 | US Equity | Common stocks | Small cap | Industrials | US23204X1037 | BL66YS4 | 1,621,896,934 | USD | Analyze
|
CTOS+ | Custom Truck One Source, Inc. Warrants | | 04/05/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 1,621,896,934 | USD | Analyze
|
CTRA | Coterra Energy Inc. | | 02/08/1990 | US Equity | Common stocks | Large cap | Energy | US1270971039 | 2162340 | 17,683,132,790 | USD | Analyze
|
CTRE | CareTrust REIT, Inc | | 05/29/2014 | US Equity | REITs | Small cap | Real Estate | US14174T1079 | BMP8TL6 | 1,785,243,917 | USD | Analyze
|
CTS | Cts Corp | | 02/13/2001 | US Equity | Common stocks | Small cap | Information Technology | US1265011056 | 2239244 | 1,441,528,498 | USD | Analyze
|
CTT | CatchMark Timber Trust, Inc | | 12/12/2013 | US Equity | REITs | Small cap | Real Estate | US14912Y2028 | BH667R6 | 510,983,523 | USD | Analyze
|
CTV | Innovid Corp. | | 09/30/2014 | US Equity | Common stocks | Micro cap | Communication Services | | BNR5C13 | 205,784,606 | USD | Analyze
|
CTV+ | Innovid Corp. Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 11/30/2021 | US Equity | Warrants | Operating Companies | Communication Services | | | 205,784,606 | USD | Analyze
|
CTVA | Corteva, Inc. | | 05/24/2019 | US Equity | Common stocks | Large cap | Materials | US22052L1044 | BK73B42 | 40,483,113,967 | USD | Analyze
|
CUBB | Customers Bancorp, Inc 5.375% Subordinated Notes Due 2034 | | 12/23/2019 | US Equity | Exchange traded debt | Long-term | Financials | | | 41,600,000 | USD | Analyze
|
CUBE | CubeSmart | | 10/22/2004 | US Equity | REITs | Mid cap | Real Estate | US2296631094 | B6SW913 | 9,917,478,385 | USD | Analyze
|
CUBI | Customers Bancorp Inc | | 02/21/2012 | US Equity | Common stocks | Small cap | Financials | US23204G1004 | B6XHXY4 | 548,925,177 | USD | Analyze
|
CUBI-E | Customers Bancorp Fixed-to-Floating Non-Cumulative Preferred Series E | | 04/29/2016 | US Equity | Preferred stocks | Non-convertible | Financials | | | 50,540,000 | USD | Analyze
|
CUBI-F | Customers Bancorp Fixed-to-Floating Non-Cumulative Preferred Series F | | 09/12/2016 | US Equity | Preferred stocks | Non-convertible | Financials | | | 73,290,000 | USD | Analyze
|
CUK | Carnival PLC ADRs | | 04/21/2003 | US Equity | ADRs | Small cap | Consumer Discretionary | US14365C1036 | 2534927 | 1,542,981,323 | USD | Analyze
|
CULP | Culp Inc | | 08/27/2001 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US2302151053 | | 64,635,811 | USD | Analyze
|
CURO | Curo Group Holdings Corp. | | 12/07/2017 | US Equity | Common stocks | Micro cap | Financials | US23131L1070 | BD2BVF3 | 62,887,352 | USD | Analyze
|
CURV | Torrid Holdings Inc. | | 07/01/2021 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US89142B1070 | BMBR9W8 | 246,709,948 | USD | Analyze
|
CUZ | Cousins Properties Incorporated | | 03/17/1980 | US Equity | REITs | Mid cap | Real Estate | US2227955026 | BJP0MF6 | 2,806,357,463 | USD | Analyze
|
CVE | Cenovus Energy Inc | | 11/03/2009 | US Equity | Common stocks | Large cap | Energy | CA15135U1093 | | 30,006,401,286 | USD | Analyze
|
CVE+ | Cenovus Energy Inc Warrants (each warrant entitles the holder to purchase one common share at an exercise price of C$6.54 per share) | | 12/29/2020 | US Equity | Warrants | Operating Companies | Energy | | | 30,006,401,286 | USD | Analyze
|
CVEO | Civeo Corporation | | 05/19/2014 | US Equity | Common stocks | Small cap | Industrials | | BYQDPJ4 | 303,436,970 | USD | Analyze
|
CVI | CVR Energy Inc | | 10/23/2007 | US Equity | Common stocks | Mid cap | Energy | US12662P1084 | B23PS12 | 3,019,939,194 | USD | Analyze
|
CVII | Churchill Capital Corp VII Class A | | 04/05/2021 | US Equity | Common stocks | Small cap | Financials | | | 1,396,560,000 | USD | Analyze
|
CVII+ | Churchill Capital Corp VII Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 04/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 1,396,560,000 | USD | Analyze
|
CVII= | Churchill Capital Corp VII - Units (1 Ord Share Class A & 1/5 War) | | 02/12/2021 | US Equity | Units | Small cap | Financials | | | 1,216,800,000 | USD | Analyze
|
CVNA | Carvana Class A | | 04/28/2017 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1468691027 | BYQHPG3 | 1,576,880,975 | USD | Analyze
|
CVS | CVS Health Corp | | 02/13/2001 | US Equity | Common stocks | Large cap | Health Care | US1266501006 | 2577609 | 92,931,161,341 | USD | Analyze
|
CVX | Chevron Corp | | 10/10/2001 | US Equity | Common stocks | Large cap | Energy | US1667641005 | 2838555 | 294,619,273,279 | USD | Analyze
|
CW | Curtiss Wright Corp | | 02/13/2001 | US Equity | Common stocks | Mid cap | Industrials | US2315611010 | 2241205 | 6,396,854,622 | USD | Analyze
|
CWAN | Clearwater Analytics Holdings, Inc. | | 09/23/2021 | US Equity | Common stocks | Small cap | Information Technology | US1851231068 | BNZJHY5 | 933,136,088 | USD | Analyze
|
CWEN | Clearway Energy Inc. Class C | | 10/21/2013 | US Equity | Common stocks | Mid cap | Utilities | US18539C2044 | BGJRH57 | 3,367,319,581 | USD | Analyze
|
CWEN.A | Clearway Energy Inc. Class A | | 05/15/2015 | US Equity | Common stocks | Mid cap | Utilities | US18539C1053 | BGJRH35 | 3,367,319,581 | USD | Analyze
|
CWH | Camping World Holdings Inc Class A | | 10/07/2016 | US Equity | Common stocks | Small cap | Consumer Discretionary | US13462K1097 | BDCBXH9 | 855,093,410 | USD | Analyze
|
CWK | Cushman & Wakefield Plc | | 08/02/2018 | US Equity | Common stocks | Mid cap | Real Estate | GB00BFZ4N465 | BFZ4N46 | 2,206,046,958 | USD | Analyze
|
CWT | California Water Service Group | | 02/13/2001 | US Equity | Common stocks | Mid cap | Utilities | US1307881029 | 2165383 | 3,028,581,295 | USD | Analyze
|
CX | Cemex SAB de CV ADRs | | 08/30/2001 | US Equity | ADRs | Mid cap | Materials | US1512908898 | 2488671 | 7,674,692,174 | USD | Analyze
|
CXAC | C5 Acquisition Corporation Class A | | 02/28/2022 | US Equity | Common stocks | Small cap | Financials | | | 374,109,375 | USD | Analyze
|
CXAC+ | C5 Acquisition Corporation Public warrants, each whole public warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share | | 02/28/2022 | US Equity | Warrants | Shell Companies | Financials | | | 374,109,375 | USD | Analyze
|
CXAC= | C5 Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 01/07/2022 | US Equity | Units | Small cap | Financials | | | 374,109,375 | USD | Analyze
|
CXM | Sprinklr, Inc. | | 06/23/2021 | US Equity | Common stocks | Small cap | Information Technology | US85208T1079 | BNKCPP6 | 1,241,627,852 | USD | Analyze
|
CXW | CoreCivic, Inc | | 02/13/2001 | US Equity | Common stocks | Small cap | Industrials | US21871N1019 | BZ8VC58 | 1,025,399,858 | USD | Analyze
|
CYD | China Yuchai International Ltd | | 09/17/2001 | US Equity | Common stocks | Micro cap | Industrials | BMG210821051 | 2186191 | 297,039,768 | USD | Analyze
|
CYH | Community Health Systems Inc | | 02/13/2001 | US Equity | Common stocks | Small cap | Health Care | US2036681086 | 2600248 | 623,679,534 | USD | Analyze
|
CZOO | Cazoo Group Ltd Class A | | 12/18/2020 | US Equity | Common stocks | Small cap | Information Technology | | | 1,499,388,519 | USD | Analyze
|
CZOO+ | Cazoo Group Ltd Warrants | | 08/26/2021 | US Equity | Warrants | Operating Companies | Information Technology | | | 136,619,964 | USD | Analyze
|
D | Dominion Energy Inc | | 02/13/2001 | US Equity | Common stocks | Large cap | Utilities | US25746U1097 | 2542049 | 43,613,810,680 | USD | Analyze
|
DAC | Danaos Corporation | | 02/11/2013 | US Equity | Common stocks | Small cap | Industrials | | BJHVCJ1 | 1,078,534,206 | USD | Analyze
|
DAL | Delta Air Lines Inc | | 04/26/2007 | US Equity | Common stocks | Large cap | Industrials | US2473617023 | B1W9D46 | 20,609,410,372 | USD | Analyze
|
DAN | Dana Incorporated Inc | | 02/01/2008 | US Equity | Common stocks | Small cap | Consumer Discretionary | US2358252052 | B2PFJR3 | 1,980,199,395 | USD | Analyze
|
DAO | Youdao, Inc. ADRs of Class A | | 01/03/2000 | US Equity | ADRs | Small cap | Consumer Discretionary | US98741T1043 | | 337,245,720 | USD | Analyze
|
DAR | Darling Ingredients Inc | | 02/13/2001 | US Equity | Common stocks | Mid cap | Consumer Staples | US2372661015 | 2250289 | 8,806,593,284 | USD | Analyze
|
DASH | DoorDash Inc | | 01/22/2018 | US Equity | Common stocks | Large cap | Consumer Discretionary | US25809K1051 | BN13P03 | 19,158,074,600 | USD | Analyze
|
DAVA | Endava plc ADRs of Class A shares | | 07/27/2018 | US Equity | ADRs | Mid cap | Information Technology | US29260V1052 | BZ0WK66 | 2,696,913,987 | USD | Analyze
|
DB | Deutsche Bank AG | | 10/03/2001 | US Equity | Common stocks | Large cap | Financials | DE0005140008 | 2803025 | 19,944,360,714 | USD | Analyze
|
DBD | Diebold Nixdorf Inc | | 02/14/2001 | US Equity | Common stocks | Micro cap | Information Technology | US2536511031 | 2269229 | 67,732,595 | USD | Analyze
|
DBI | Designer Brands Inc. Class A | | 06/29/2005 | US Equity | Common stocks | Small cap | Consumer Discretionary | US2505651081 | BJ9J282 | 476,444,117 | USD | Analyze
|
DBRG | DigitalBridge Group, Inc. | | 06/27/2014 | US Equity | REITs | Small cap | Real Estate | US25401T6038 | BPW6ZP0 | 1,651,320,372 | USD | Analyze
|
DBRG-H | DigitalBridge Group, Inc. 7.125% Series H | | 06/22/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 262,890,000 | USD | Analyze
|
DBRG-I | DigitalBridge Group, Inc. 7.15% Series I | | 06/22/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 316,020,000 | USD | Analyze
|
DBRG-J | DigitalBridge Group, Inc. 7.125% Series J | | 06/22/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 290,430,000 | USD | Analyze
|
DCI | Donaldson Inc | | 02/14/2001 | US Equity | Common stocks | Mid cap | Industrials | US2576511099 | 2276467 | 7,646,460,564 | USD | Analyze
|
DCO | Ducommun Inc | | 02/14/2001 | US Equity | Common stocks | Small cap | Industrials | US2641471097 | 2283229 | 635,200,230 | USD | Analyze
|
DCP | DCP Midstream Partners LP | | 12/02/2005 | US Equity | MLPs | Mid cap | Energy | US23311P1003 | BDT8TJ7 | 8,690,304,835 | USD | Analyze
|
DCP-B | DCP Midstream LP 7.875% Series B Fixed-to-Floating Rate Cumulative Preferred Units | | 05/17/2018 | US Equity | Preferred stocks | Non-convertible | Energy | US23311P2092 | BDT8TJ7 | 157,113,000 | USD | Analyze
|
DCP-C | DCP Midstream LP 7.95% Series C Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred | | 10/03/2018 | US Equity | Preferred stocks | Non-convertible | Energy | US23311P3082 | BG0BNV6 | 113,436,000 | USD | Analyze
|
DCUE | Dominion Energy, Inc. 2019 Series A Corporate Units | | 06/19/2019 | US Equity | Units | Large cap | Utilities | US25746U1337 | BJCXSC7 | 68,325,189,214 | USD | Analyze
|
DD | DuPont de Nemours, Inc. | | 03/17/1980 | US Equity | Common stocks | Large cap | Materials | US26614N1028 | BK0VN47 | 31,331,989,235 | USD | Analyze
|
DDD | 3D Systems Corp | | 05/26/2011 | US Equity | Common stocks | Small cap | Industrials | US88554D2053 | 2889768 | 1,333,848,384 | USD | Analyze
|
DDL | Dingdong (Cayman) Ltd ADRs | | 10/25/1999 | US Equity | ADRs | Small cap | Consumer Staples | | BLD30S0 | 721,513,199 | USD | Analyze
|
DDS | Dillards Inc Class A | | 08/02/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US2540671011 | 2269768 | 4,008,742,960 | USD | Analyze
|
DDT | Dillards Capital Trust I Preferred 7.5% | | 10/14/1998 | US Equity | Preferred stocks | Non-convertible | Consumer Discretionary | US25406P2002 | 2613741 | 202,000,000 | USD | Analyze
|
DE | Deere & Company | | 02/14/2001 | US Equity | Common stocks | Large cap | Industrials | US2441991054 | 2261203 | 116,113,882,675 | USD | Analyze
|
DEA | Easterly Government Properties, Inc | | 02/06/2015 | US Equity | REITs | Small cap | Real Estate | US27616P1030 | BVSS693 | 1,127,128,570 | USD | Analyze
|
DECK | Deckers Outdoor Corp | | 02/14/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US2435371073 | 2267278 | 11,657,118,258 | USD | Analyze
|
DEI | Douglas Emmett, Inc | | 10/24/2006 | US Equity | REITs | Small cap | Real Estate | US25960P1093 | B1G3M58 | 1,905,776,953 | USD | Analyze
|
DELL | Dell Technologies Inc. Class C | | 01/02/1990 | US Equity | Common stocks | Mid cap | Information Technology | US24703L2025 | BHKD3S6 | 9,163,693,190 | USD | Analyze
|
DEN | Denbury Inc. | | 09/21/2020 | US Equity | Common stocks | Mid cap | Energy | US24790A1016 | BMZQZL2 | 3,969,231,000 | USD | Analyze
|
DEO | Diageo PLC ADRs | | 08/30/2001 | US Equity | ADRs | Large cap | Consumer Staples | US25243Q2057 | 2144724 | 99,985,102,929 | USD | Analyze
|
DESP | Despegar.Com Corp. | | 09/20/2017 | US Equity | Common stocks | Small cap | Consumer Discretionary | VGG273581030 | BDFS4G3 | 420,351,400 | USD | Analyze
|
DFH | Dream Finders Homes, Inc. | | 01/20/2021 | US Equity | Common stocks | Small cap | Consumer Discretionary | US26154D1000 | BMFZ3F9 | 407,962,335 | USD | Analyze
|
DFIN | Donnelley Financial Solutions Inc | | 09/26/2016 | US Equity | Common stocks | Small cap | Financials | US25787G1004 | BYND5T7 | 1,136,116,557 | USD | Analyze
|
DFS | Discover Financial Services | | 06/14/2007 | US Equity | Common stocks | Large cap | Financials | US2547091080 | B1YLC43 | 24,268,369,096 | USD | Analyze
|
DG | Dollar General Corp | | 11/13/2009 | US Equity | Common stocks | Large cap | Consumer Discretionary | US2566771059 | B5B1S13 | 45,352,147,977 | USD | Analyze
|
DGX | Quest Diagnostics Inc | | 02/14/2001 | US Equity | Common stocks | Large cap | Health Care | US74834L1008 | 2702791 | 15,072,021,376 | USD | Analyze
|
DHI | D R Horton Inc | | 02/14/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US23331A1097 | 2250687 | 33,061,911,642 | USD | Analyze
|
DHR | Danaher Corp | | 02/14/2001 | US Equity | Common stocks | Large cap | Health Care | US2358511028 | 2250870 | 179,907,490,460 | USD | Analyze
|
DHR-B | Danaher Corporation 5.00% Mandatory Convertible Preferred Stock, Series B | | 05/15/2020 | US Equity | Preferred stocks | Convertible | Health Care | US2358514097 | BMVWZV4 | 2,137,202,000 | USD | Analyze
|
DHT | DHT Holdings Inc | | 10/13/2005 | US Equity | Common stocks | Small cap | Energy | MHY2065G1219 | B7JB336 | 1,772,921,395 | USD | Analyze
|
DHX | Dhi Group Inc | | 07/18/2007 | US Equity | Common stocks | Micro cap | Communication Services | US23331S1006 | BWX70S9 | 173,275,916 | USD | Analyze
|
DIDI | DiDi Global Inc. ADRs of Class A | | 06/30/2021 | US Equity | ADRs | Large cap | Industrials | US23292E1082 | BMBR6F0 | 10,040,950,478 | USD | Analyze
|
DIN | Dine Brands Global, Inc. | | 02/14/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US2544231069 | 2456957 | 1,052,044,359 | USD | Analyze
|
DINO | HF Sinclair Corporation | | 01/04/2019 | US Equity | Common stocks | Mid cap | Energy | US4039491000 | BMZQ9C1 | 9,460,111,149 | USD | Analyze
|
DIS | Walt Disney | | 02/14/2001 | US Equity | Common stocks | Large cap | Communication Services | US2546871060 | 2270726 | 175,062,936,563 | USD | Analyze
|
DK | Delek US Holdings Inc | | 05/04/2006 | US Equity | Common stocks | Small cap | Energy | US24665A1034 | BF5P189 | 1,488,117,792 | USD | Analyze
|
DKL | Delek Logistics Partners LP | | 04/11/2003 | US Equity | MLPs | Mid cap | Energy | US24664T1034 | B927XT1 | 2,147,931,142 | USD | Analyze
|
DKS | Dicks Sporting Inc | | 10/16/2002 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US2533931026 | 2969637 | 7,775,567,709 | USD | Analyze
|
DLB | Dolby Laboratories Inc Class A | | 02/17/2005 | US Equity | Common stocks | Mid cap | Information Technology | US25659T1079 | B04NJM9 | 4,928,228,003 | USD | Analyze
|
DLNG | Dynagas LNG Partners LP | | 11/13/2013 | US Equity | MLPs | Micro cap | Energy | MHY2188B1083 | BGDFGX8 | 104,886,404 | USD | Analyze
|
DLNG-A | Dynagas LNG Partners 9.00% Series A Cumulative Preferred Units | | 07/14/2015 | US Equity | Preferred stocks | Non-convertible | Energy | | | 71,700,000 | USD | Analyze
|
DLNG-B | Dynagas LNG Partners LP 8.75% Series B Fixed to Floating Rate Cumulative Preferred Units | | 10/17/2018 | US Equity | Preferred stocks | Non-convertible | Energy | | | 56,254,000 | USD | Analyze
|
DLR | Digital Realty Trust, Inc | | 10/29/2004 | US Equity | REITs | Large cap | Real Estate | US2538681030 | B03GQS4 | 27,239,078,580 | USD | Analyze
|
DLR-J | Digital Realty 5.250% Series J Cumulative Preferred Stock | | 08/02/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US2538688555 | BD0YJ83 | 194,160,000 | USD | Analyze
|
DLR-K | Digital Realty 5.850% Series K Cumulative Preferred Stock | | 03/18/2019 | US Equity | Preferred stocks | Non-convertible | Real Estate | | BJR2164 | 203,440,000 | USD | Analyze
|
DLR-L | Digital Realty Trust, Inc. 5.200% Series L Cumulative Redeemable Preferred | | 10/14/2019 | US Equity | Preferred stocks | Non-convertible | Real Estate | US2538688225 | BKLXG10 | 330,510,000 | USD | Analyze
|
DLX | Deluxe Corp | | 02/14/2001 | US Equity | Common stocks | Small cap | Industrials | US2480191012 | 2260363 | 649,784,344 | USD | Analyze
|
DM | Desktop Metal, Inc. Class A | | 05/03/2019 | US Equity | Common stocks | Small cap | Industrials | US25058X1054 | BMGS8C9 | 679,073,354 | USD | Analyze
|
DMS | Digital Media Solutions, Inc. Class A | | 07/16/2020 | US Equity | Common stocks | Micro cap | Communication Services | US25401G1067 | BLCBBV5 | 24,355,058 | USD | Analyze
|
DMS+ | Digital Media Solutions, Inc. Warrants, | | 07/16/2020 | US Equity | Warrants | Operating Companies | Communication Services | | | 24,355,058 | USD | Analyze
|
DMYS | dMY Technology Group, Inc. VI Class A | | 11/22/2021 | US Equity | Common stocks | Micro cap | Financials | | | 246,813,000 | USD | Analyze
|
DMYS+ | dMY Technology Group, Inc. VI Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 11/22/2021 | US Equity | Warrants | Shell Companies | Financials | | | 246,813,000 | USD | Analyze
|
DMYS= | dMY Technology Group Inc VI - Units (1 Ord Share Class A & 1/2 War) | | 10/01/2021 | US Equity | Units | Micro cap | Financials | | | 246,813,000 | USD | Analyze
|
DNA | Ginkgo Bioworks Holdings, Inc. Class A | | 04/19/2021 | US Equity | Common stocks | Small cap | Materials | US37611X1000 | BN6KXF0 | 1,931,179,227 | USD | Analyze
|
DNA+ | Ginkgo Bioworks Holdings, Inc. Warrant | | 09/17/2021 | US Equity | Warrants | Operating Companies | Materials | | | 1,931,179,227 | USD | Analyze
|
DNB | Dun & Bradstreet Holdings, Inc. | | 07/01/2020 | US Equity | Common stocks | Mid cap | Industrials | US26484T1060 | BLF9ZT2 | 4,943,569,169 | USD | Analyze
|
DNMR | Danimer Scientific, Inc. | | 05/28/2020 | US Equity | Common stocks | Micro cap | Materials | US2362721001 | BLFBYZ7 | 211,902,327 | USD | Analyze
|
DNOW | Now Inc | | 05/20/2014 | US Equity | Common stocks | Small cap | Industrials | US67011P1003 | BMH0MV1 | 1,145,190,783 | USD | Analyze
|
DNZ | D and Z Media Acquisition Corp. Class A | | 03/18/2021 | US Equity | Common stocks | Micro cap | Financials | | | 254,000,000 | USD | Analyze
|
DNZ+ | D and Z Media Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 03/18/2021 | US Equity | Warrants | Shell Companies | Financials | | | 292,100,000 | USD | Analyze
|
DNZ= | D and Z Media Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 01/21/2021 | US Equity | Units | Micro cap | Financials | | | 253,000,000 | USD | Analyze
|
DO | Diamond Offshore Drilling, Inc. | | 03/30/2022 | US Equity | Common stocks | Small cap | Energy | | BN0W664 | 1,114,572,445 | USD | Analyze
|
DOC | Physicians Realty Trust | | 07/19/2013 | US Equity | REITs | Mid cap | Real Estate | US71943U1043 | BC9S149 | 3,294,997,241 | USD | Analyze
|
DOCN | DigitalOcean Holdings, Inc. | | 03/24/2021 | US Equity | Common stocks | Mid cap | Information Technology | US25402D1028 | BNC23Q1 | 3,440,974,260 | USD | Analyze
|
DOCS | Doximity, Inc. | | 06/24/2021 | US Equity | Common stocks | Mid cap | Health Care | US26622P1075 | BMD22Y4 | 3,906,551,964 | USD | Analyze
|
DOLE | Dole plc | | 07/28/2021 | US Equity | Common stocks | Small cap | Consumer Staples | IE0003LFZ4U7 | BMCLHR0 | 1,084,452,180 | USD | Analyze
|
DOMA | Doma Holdings, Inc. | | 07/26/2021 | US Equity | Common stocks | Micro cap | Real Estate | US25703A1043 | BMHB3J9 | 118,851,115 | USD | Analyze
|
DOMA+ | Doma Holdings, Inc. Warrants | | 07/29/2021 | US Equity | Warrants | Operating Companies | Real Estate | | | 118,851,115 | USD | Analyze
|
DOOR | Masonite International Corp | | 07/24/2009 | US Equity | Common stocks | Small cap | Industrials | CA5753851099 | BCZM468 | 1,920,707,808 | USD | Analyze
|
DOUG | Douglas Elliman Inc. | | 12/30/2021 | US Equity | Common stocks | Micro cap | Real Estate | US25961D1054 | BNZHLY7 | 253,248,066 | USD | Analyze
|
DOV | Dover Corp | | 02/14/2001 | US Equity | Common stocks | Large cap | Industrials | US2600031080 | 2278407 | 19,641,975,347 | USD | Analyze
|
DOW | Dow Inc. | | 12/21/1990 | US Equity | Common stocks | Large cap | Materials | US2605571031 | BHXCF84 | 36,567,616,820 | USD | Analyze
|
DPZ | Dominos Pizza Inc | | 07/13/2004 | US Equity | Common stocks | Large cap | Consumer Discretionary | US25754A2015 | B01SD70 | 11,172,010,771 | USD | Analyze
|
DQ | Daqo New Energy ADRs | | 10/07/2010 | US Equity | ADRs | Mid cap | Information Technology | US23703Q2030 | B953PM3 | 3,652,329,709 | USD | Analyze
|
DRD | DRDGold Ltd ADRs | | 12/29/2011 | US Equity | ADRs | Small cap | Materials | ZAE000058723 | 6267780 | 789,369,492 | USD | Analyze
|
DRE | Duke Realty Corporation | | 02/14/2001 | US Equity | REITs | Large cap | Real Estate | US2644115055 | 2284084 | 18,556,648,911 | USD | Analyze
|
DRH | DiamondRock Hospitality Company | | 05/26/2005 | US Equity | REITs | Small cap | Real Estate | US2527843013 | B090B96 | 1,538,117,060 | USD | Analyze
|
DRH-A | Diamondrock Hospitality Company 8.250% Series A Cumulative Preferred | | 09/03/2020 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 114,884,000 | USD | Analyze
|
DRI | Darden Restaurants Inc | | 02/14/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US2371941053 | 2289874 | 18,319,081,154 | USD | Analyze
|
DRQ | Dril Quip Inc | | 02/14/2001 | US Equity | Common stocks | Small cap | Energy | US2620371045 | 2116767 | 937,334,010 | USD | Analyze
|
DS | Drive Shack Inc | | 10/10/2002 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US2620771004 | BD8QHD2 | 15,483,729 | USD | Analyze
|
DSAQ | Direct Selling Acquisition Corp. | | 11/12/2021 | US Equity | Common stocks | Micro cap | Financials | | | 240,810,000 | USD | Analyze
|
DSAQ+ | Direct Selling Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 11/12/2021 | US Equity | Warrants | Shell Companies | Financials | | | 240,810,000 | USD | Analyze
|
DSAQ= | Direct Selling Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 09/26/2021 | US Equity | Units | Micro cap | Financials | | | 240,810,000 | USD | Analyze
|
DS-B | Drive Shack Inc. 9.75% Series B Cumulative Redeemable Preferred Stock | | 12/29/2016 | US Equity | Preferred stocks | Non-convertible | Consumer Discretionary | | | 52,375,000 | USD | Analyze
|
DS-C | Drive Shack Inc. 8.050% Series C Preferred Stock | | 12/29/2016 | US Equity | Preferred stocks | Non-convertible | Consumer Discretionary | | | 29,464,000 | USD | Analyze
|
DS-D | Drive Shack Inc. 8.375% Cumulative Preferred Series D | | 12/29/2016 | US Equity | Preferred stocks | Non-convertible | Consumer Discretionary | | | 36,900,000 | USD | Analyze
|
DSX | Diana Shipping Inc. | | 03/18/2005 | US Equity | Common stocks | Small cap | Industrials | | | 340,489,364 | USD | Analyze
|
DSX-B | Diana Shipping Inc. 8.875% Series B Cumulative Preferred | | 02/21/2014 | US Equity | Preferred stocks | Non-convertible | Industrials | | | 62,232,000 | USD | Analyze
|
DT | Dynatrace, Inc. | | 06/28/2019 | US Equity | Common stocks | Large cap | Information Technology | US2681501092 | BJV2RD9 | 11,391,533,881 | USD | Analyze
|
DTB | DTE Energy Company 2020 Series G 4.375% Junior Subordinated Debentures due 2080 | | 10/07/2020 | US Equity | Exchange traded debt | Long-term | Utilities | | BMY4XS0 | 160,440,000 | USD | Analyze
|
DTC | Solo Brands, Inc. | | 10/28/2021 | US Equity | Common stocks | Small cap | Consumer Discretionary | US83425V1044 | BP907S2 | 416,394,573 | USD | Analyze
|
DTE | DTE Energy | | 02/14/2001 | US Equity | Common stocks | Large cap | Utilities | US2333311072 | 2280220 | 21,115,989,007 | USD | Analyze
|
DTG | DTE Energy Company 2021 Series E 4.375% Junior Subordinated Debentures | | 11/29/2021 | US Equity | Exchange traded debt | Long-term | Utilities | | | 220,080,000 | USD | Analyze
|
DTLA- | Brookfield DTLA Inc. 7.625% Series A Cumulative Preferred | | 09/22/2014 | US Equity | Preferred stocks | Non-convertible | Financials | US1127142099 | BFRTBG7 | 11,700,000 | USD | Analyze
|
DTM | DT Midstream, Inc. | | 07/01/2021 | US Equity | Common stocks | Mid cap | Energy | US23345M1071 | BN7L880 | 4,548,908,361 | USD | Analyze
|
DTP | DTE Energy Company 6.25% Corporate Units | | 11/06/2019 | US Equity | Units | Large cap | Utilities | | BKFW237 | 21,720,414,611 | USD | Analyze
|
DTW | DTE Energy Company 2017 Series E 5.25% Junior Subordinated Debentures due 2077 | | 11/22/2017 | US Equity | Exchange traded debt | Long-term | Utilities | US2333318598 | BF3L703 | 370,400,000 | USD | Analyze
|
DUK | Duke Energy Corp | | 03/17/1980 | US Equity | Common stocks | Large cap | Utilities | US26441C2044 | B7VD3F2 | 70,500,850,092 | USD | Analyze
|
DUK-A | Duke Energy ADRs of 5.75% Series A Cumulative Preferred Stock | | 04/01/2019 | US Equity | Preferred stocks | Non-convertible | Utilities | US26441C5013 | BJXH6L3 | 1,020,000,000 | USD | Analyze
|
DUKB | Duke Energy Corporation 5.625% Junior Subordinated Debentures due 2078 | | 09/20/2018 | US Equity | Exchange traded debt | Long-term | Utilities | US26441C4024 | BFNR2X9 | 496,000,000 | USD | Analyze
|
DV | DoubleVerify Holdings, Inc. | | 04/21/2021 | US Equity | Common stocks | Mid cap | Information Technology | US25862V1052 | BMDX9Z7 | 4,780,713,354 | USD | Analyze
|
DVA | Davita Inc | | 02/14/2001 | US Equity | Common stocks | Mid cap | Health Care | US23918K1088 | 2898087 | 6,801,696,000 | USD | Analyze
|
DVN | Devon Energy Corp | | 02/14/2001 | US Equity | Common stocks | Large cap | Energy | US25179M1036 | 2480677 | 30,554,157,475 | USD | Analyze
|
DWIN | Delwinds Insurance Acquisition Corp. Class A | | 12/17/2019 | US Equity | Common stocks | Micro cap | Financials | | | 98,108,455 | USD | Analyze
|
DWIN+ | Delwinds Insurance Acquisition Corp. Redeemable Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 01/29/2021 | US Equity | Warrants | Shell Companies | Financials | | | 98,108,455 | USD | Analyze
|
DWIN= | Delwinds Insurance Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 12/11/2020 | US Equity | Units | Micro cap | Financials | | | 98,108,455 | USD | Analyze
|
DX | Dynex Capital Inc. | | 02/10/1988 | US Equity | Mortgage REITs | Small cap | Financials | US26817Q8868 | BJN4K01 | 613,734,607 | USD | Analyze
|
DXC | DXC Technology Company | | 03/20/2017 | US Equity | Common stocks | Mid cap | Information Technology | US23355L1061 | BYXD7B3 | 5,293,617,707 | USD | Analyze
|
DX-C | Dynex Capital, Inc. 6.900% Series C Fixed-to-Floating Rate Cumulative Preferred | | 02/25/2020 | US Equity | Preferred stocks | Non-convertible | Financials | US26817Q8785 | BKLB1T7 | 85,760,000 | USD | Analyze
|
DY | Dycom Industries Inc | | 02/15/2001 | US Equity | Common stocks | Mid cap | Industrials | US2674751019 | 2289841 | 2,727,405,290 | USD | Analyze
|
E | ENI SpA ADRs | | 08/30/2001 | US Equity | ADRs | Large cap | Energy | US26874R1086 | 2297435 | 48,188,775,144 | USD | Analyze
|
EAF | Graftech International Ltd. | | 04/19/2018 | US Equity | Common stocks | Small cap | Industrials | US3843135084 | BFZP4T1 | 1,129,099,638 | USD | Analyze
|
EAI | Entergy Arkansas Inc. First Mortgage Bonds 4.875% Series Due 2066 | | 08/17/2016 | US Equity | Exchange traded debt | Long-term | Utilities | US29364D1000 | BZC0L09 | 359,652,000 | USD | Analyze
|
EARN | Ellington Residential Mortgage REIT | | 05/01/2013 | US Equity | Mortgage REITs | Micro cap | Financials | US2885781078 | | 95,919,184 | USD | Analyze
|
EAT | Brinker International Inc | | 02/14/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US1096411004 | 2193544 | 1,595,957,803 | USD | Analyze
|
EB | Eventbrite Inc. Class A | | 09/20/2018 | US Equity | Common stocks | Small cap | Communication Services | US29975E1091 | BF5L3R0 | 696,454,241 | USD | Analyze
|
EBF | Ennis Inc | | 02/15/2001 | US Equity | Common stocks | Small cap | Industrials | US2933891028 | 2316103 | 530,162,764 | USD | Analyze
|
EBR | Centrais Eletricas Brasileiras ADRs | | 10/31/2008 | US Equity | ADRs | Large cap | Utilities | US15234Q2075 | 2186812 | 13,394,510,946 | USD | Analyze
|
EBR.B | Centrais Electricas Brasileiras S.A. ADRs of Preferred Shares | | 02/11/2013 | US Equity | ADRs | Large cap | Utilities | US15234Q1085 | | 13,394,510,946 | USD | Analyze
|
EBS | Emergent Biosolutions Inc | | 11/15/2006 | US Equity | Common stocks | Small cap | Health Care | US29089Q1058 | B1HJLW5 | 394,101,642 | USD | Analyze
|
EC | Ecopetrol ADRs | | 09/18/2008 | US Equity | ADRs | Large cap | Energy | US2791581091 | B3D6J19 | 19,879,921,887 | USD | Analyze
|
ECCC | Eagle Point Credit Company Inc. 6.50% Series C Term Preferred due 2031 | | 06/18/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 38,950,000 | USD | Analyze
|
ECC-D | Eagle Point Credit Company Inc. 6.75% Series D Preferred Stock | | 11/22/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 21,800,000 | USD | Analyze
|
ECCV | Eagle Point Credit Company Inc. 5.375% Notes due 2029 | | 01/26/2022 | US Equity | Exchange traded debt | Intermediate-term | Financials | | | 73,769,040 | USD | Analyze
|
ECCW | Eagle Point Credit Company Inc. 6.75% Notes due 2031 | | 03/29/2021 | US Equity | Exchange traded debt | Intermediate-term | Financials | | | 34,677,240 | USD | Analyze
|
ECCX | Eagle Point Credit Company Inc. 6.6875% Notes due 2028 | | 05/01/2018 | US Equity | Exchange traded debt | Intermediate-term | Financials | | | 55,200,000 | USD | Analyze
|
ECL | Ecolab Inc | | 02/15/2001 | US Equity | Common stocks | Large cap | Materials | US2788651006 | 2304227 | 44,704,497,966 | USD | Analyze
|
ECOM | Channeladvisor Corp | | 05/23/2013 | US Equity | Common stocks | Small cap | Information Technology | US1591791009 | B986ZW9 | 667,681,823 | USD | Analyze
|
ECVT | Ecovyst Inc. | | 08/03/2021 | US Equity | Common stocks | Small cap | Materials | US27923Q1094 | BM8NHT2 | 1,256,579,616 | USD | Analyze
|
ED | Consolidated Edison Inc | | 02/15/2001 | US Equity | Common stocks | Large cap | Utilities | US2091151041 | 2216850 | 32,568,279,776 | USD | Analyze
|
EDN | Edenor ADRs | | 04/26/2007 | US Equity | ADRs | Micro cap | Utilities | US29244A1025 | B1W9D79 | 173,567,574 | USD | Analyze
|
EDR | Endeavor Group Holdings, Inc. | | 04/28/2021 | US Equity | Common stocks | Mid cap | Communication Services | US29260Y1091 | BJQ05Y5 | 5,253,300,960 | USD | Analyze
|
EDU | New Oriental Education & Technology ADRs | | 09/07/2006 | US Equity | ADRs | Mid cap | Consumer Discretionary | US6475811070 | B1CN1G6 | 6,584,228,080 | USD | Analyze
|
EE | Excelerate Energy, Inc. Class A | | 04/13/2022 | US Equity | Common stocks | Small cap | Energy | US30069T1016 | BN2QTD2 | 503,554,923 | USD | Analyze
|
EEX | Emerald Expositions Events Inc | | 04/28/2017 | US Equity | Common stocks | Micro cap | Communication Services | US29103W1045 | BKT61V6 | 234,870,388 | USD | Analyze
|
EFC | Ellington Financial | | 10/08/2010 | US Equity | Mortgage REITs | Small cap | Financials | US28852N1090 | BJ7MB31 | 759,578,826 | USD | Analyze
|
EFC-A | Ellington Financial 6.750% Series A Fixed-to-Floating Cumulative Preferred | | 10/24/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US28852N2080 | BJM0HJ8 | 84,744,000 | USD | Analyze
|
EFC-B | Ellington Financial Inc. 6.250% Series B Fixed-Rate Reset Cumulative Preferred | | 12/14/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 88,572,000 | USD | Analyze
|
EFC-C | Ellington Financial Inc. 8.625% Series C Fixed-Rate Reset Cumulative Redeemable Preferred Stock | | 02/06/2023 | US Equity | Preferred stocks | Non-convertible | Unknown | | | 759,578,826 | USD | Analyze
|
EFX | Equifax Inc | | 02/15/2001 | US Equity | Common stocks | Large cap | Industrials | US2944291051 | 2319146 | 23,986,825,236 | USD | Analyze
|
EFXT | Enerflex Ltd | | 06/13/2011 | US Equity | Common stocks | Small cap | Unknown | | | 687,988,951 | USD | Analyze
|
EGGF | EG Acquisition Corp. Class A | | 07/16/2021 | US Equity | Common stocks | Micro cap | Financials | | | 227,925,000 | USD | Analyze
|
EGGF+ | EG Acquisition Corp. Redeemable warrants, each whole warrant exercisable for one Class A common stock at an exercise price of $11.50 per share | | 07/16/2021 | US Equity | Warrants | Shell Companies | Financials | | | 227,925,000 | USD | Analyze
|
EGGF= | EG Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 05/26/2021 | US Equity | Units | Micro cap | Financials | | | 227,925,000 | USD | Analyze
|
EGLE | Eagle Bulk Shipping Inc | | 06/23/2005 | US Equity | Common stocks | Small cap | Industrials | MHY2187A1507 | BKY4308 | 640,741,693 | USD | Analyze
|
EGO | Eldorado Gold Corporation | | 09/28/2009 | US Equity | Common stocks | Small cap | Materials | CA2849021035 | 2304625 | 1,809,197,590 | USD | Analyze
|
EGP | EastGroup Properties, Inc | | 02/15/2001 | US Equity | REITs | Mid cap | Real Estate | US2772761019 | 2455761 | 6,677,752,942 | USD | Analyze
|
EGY | Vaalco Energy Inc | | 08/03/2001 | US Equity | Common stocks | Small cap | Energy | US91851C2017 | 2933353 | 455,174,320 | USD | Analyze
|
EHAB | Enhabit, Inc. | | 06/23/2022 | US Equity | Common stocks | Small cap | Health Care | US29332G1022 | BQFMQ93 | 661,909,483 | USD | Analyze
|
EHAB# | Enhabit, Inc. When-Issued | | 06/23/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
EHC | Encompass Health Corp | | 02/11/2013 | US Equity | Common stocks | Mid cap | Health Care | US29261A1007 | BYX2YJ7 | 5,161,891,363 | USD | Analyze
|
EHC# | Encompass Health Corporation When-Issued | | 06/23/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
EICA | Eagle Point Income Company Inc. 5.00% Series A Term Preferred Stock due 2026 | | 10/27/2021 | US Equity | Preferred stocks | Non-convertible | Unknown | | | 28,218,600 | USD | Analyze
|
EIG | Employers Holdings Inc | | 01/31/2007 | US Equity | Common stocks | Small cap | Financials | US2922181043 | B1Q1RR9 | 1,119,047,647 | USD | Analyze
|
EIX | Edison International | | 02/15/2001 | US Equity | Common stocks | Large cap | Utilities | US2810201077 | 2829515 | 25,268,718,449 | USD | Analyze
|
EL | Estee Lauder Inc Class A | | 02/15/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US5184391044 | 2320524 | 85,199,168,000 | USD | Analyze
|
ELAN | Elanco Animal Health Incorporated | | 09/20/2018 | US Equity | Common stocks | Mid cap | Health Care | US28414H1032 | BF5L3T2 | 4,320,667,374 | USD | Analyze
|
ELAT | Elanco Animal Health Incorporated 5.00% Tangible Equity Units | | 01/30/2020 | US Equity | Units | Mid cap | Health Care | US28414H2022 | BL1NKG0 | 6,510,840,554 | USD | Analyze
|
ELC | Entergy Louisiana Inc. Collateral Trust Mortgage Bonds 4.875% Series due 2066 | | 08/18/2016 | US Equity | Exchange traded debt | Long-term | Utilities | US29364W1080 | BD0S963 | 239,004,000 | USD | Analyze
|
ELF | Elf Beauty Inc | | 09/22/2016 | US Equity | Common stocks | Mid cap | Consumer Staples | US26856L1035 | BDDQ975 | 4,007,228,643 | USD | Analyze
|
ELME | Elme Communities | | 03/12/1992 | US Equity | Common stocks | Small cap | Real Estate | US9396531017 | 2942304 | 1,438,279,147 | USD | Analyze
|
ELP | Comp. Paranaense de Energia-COPEL ADRs | | 08/31/2001 | US Equity | ADRs | Small cap | Utilities | US20441B4077 | 2209656 | 1,296,672,417 | USD | Analyze
|
ELS | Equity LifeStyle Properties, Inc | | 02/25/1993 | US Equity | REITs | Large cap | Real Estate | US29472R1086 | 2563125 | 11,554,263,899 | USD | Analyze
|
ELV | Elevance Health, Inc. | | 10/30/2001 | US Equity | Common stocks | Large cap | Health Care | US0367521038 | BSPHGL4 | 105,977,405,429 | USD | Analyze
|
ELVT | Elevate Credit Inc | | 04/06/2017 | US Equity | Common stocks | Micro cap | Financials | US28621V1017 | | 58,518,005 | USD | Analyze
|
ELY | Callaway Golf | | 02/15/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US1311931042 | 2173933 | 3,941,152,952 | USD | Analyze
|
EME | Emcor Group Inc | | 02/15/2001 | US Equity | Common stocks | Mid cap | Industrials | US29084Q1004 | 2474164 | 7,517,507,945 | USD | Analyze
|
EMN | Eastman Chemical | | 02/15/2001 | US Equity | Common stocks | Mid cap | Materials | US2774321002 | 2298386 | 9,379,736,708 | USD | Analyze
|
EMP | Entergy Mississippi Inc. First Mortgage Bonds 4.90% Series Due 2066 | | 09/16/2016 | US Equity | Exchange traded debt | Long-term | Utilities | US29364N1081 | BD5NDN8 | 227,448,000 | USD | Analyze
|
EMR | Emerson Electric | | 02/15/2001 | US Equity | Common stocks | Large cap | Industrials | US2910111044 | 2313405 | 47,483,340,000 | USD | Analyze
|
EMWP | Eros Media World PLC A, GBP 0.30 par value | | 11/13/2013 | US Equity | Common stocks | Small cap | Communication Services | | BMT7S12 | 307,627,619 | USD | Analyze
|
ENB | Enbridge Inc | | 04/04/2001 | US Equity | Common stocks | Large cap | Energy | CA29250N1050 | 2466149 | 73,808,570,706 | USD | Analyze
|
ENBA | Enbridge Inc 6.375% Fixed-to-Floating Rate Subordinated Notes Series 2018-B due 2078 | | 04/25/2018 | US Equity | Exchange traded debt | Long-term | Energy | US29250N4777 | BF5FN05 | 606,960,000 | USD | Analyze
|
ENFN | Enfusion, Inc. | | 10/21/2021 | US Equity | Common stocks | Small cap | Information Technology | US2928121043 | BLB56Z7 | 764,348,831 | USD | Analyze
|
ENIA | Enel Americas SA ADRs | | 08/31/2001 | US Equity | ADRs | Large cap | Utilities | US29274F1049 | 2314947 | 10,320,499,401 | USD | Analyze
|
ENIC | Enel Chile ADRs | | 04/21/2016 | US Equity | ADRs | Mid cap | Utilities | US29278D1054 | BYYHKR1 | 3,223,161,566 | USD | Analyze
|
ENJ | Entergy New Orleans, LLC First Mortgage Bonds, 5.0% Series due 2052 | | 11/13/2013 | US Equity | Exchange traded debt | Long-term | Utilities | | | 26,820,000 | USD | Analyze
|
ENLC | EnLink Midstream LLC | | 03/10/2014 | US Equity | MLPs | Mid cap | Energy | US29336T1007 | | 4,734,602,617 | USD | Analyze
|
ENO | Entergy New Orleans LLC First Mortgage Bonds 5.50% Series due 2066 | | 03/24/2016 | US Equity | Exchange traded debt | Long-term | Utilities | US29364P1030 | BZ6D6Z4 | 105,336,000 | USD | Analyze
|
ENOV | Enovis Corporation | | 05/08/2008 | US Equity | Common stocks | Mid cap | Health Care | US1940145022 | BJLTMX5 | 2,689,098,143 | USD | Analyze
|
ENPC | Executive Network Partnering Corporation Class A | | 11/06/2020 | US Equity | Common stocks | Small cap | Financials | | | 388,629,500 | USD | Analyze
|
ENPC+ | Executive Network Partnering Corporation Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $28.75 | | 11/06/2020 | US Equity | Warrants | Shell Companies | Financials | | | 388,629,500 | USD | Analyze
|
ENPC= | Executive Network Partnering Corporation - Units (1 Ord Class A & 1/4 War) | | 09/16/2020 | US Equity | Units | Small cap | Financials | | | 388,629,500 | USD | Analyze
|
ENR | Energizer Holdings Inc | | 06/12/2015 | US Equity | Common stocks | Mid cap | Consumer Staples | US29272W1099 | BYZFPN5 | 2,332,804,285 | USD | Analyze
|
ENS | Enersys | | 07/30/2004 | US Equity | Common stocks | Mid cap | Industrials | US29275Y1029 | B020GQ5 | 3,313,794,426 | USD | Analyze
|
ENV | Envestnet Inc | | 07/29/2010 | US Equity | Common stocks | Mid cap | Information Technology | US29404K1060 | B474ZK7 | 2,894,382,813 | USD | Analyze
|
ENVA | Enova International Inc | | 10/30/2014 | US Equity | Common stocks | Small cap | Financials | US29357K1034 | BRYQ4L1 | 1,334,950,946 | USD | Analyze
|
ENZ | Enzo Biochem Inc | | 02/15/2001 | US Equity | Common stocks | Micro cap | Health Care | US2941001024 | | 105,781,809 | USD | Analyze
|
EOCW | Elliott Opportunity II Corp. Class A | | 08/19/2021 | US Equity | Common stocks | Small cap | Financials | | | 622,909,000 | USD | Analyze
|
EOCW+ | Elliott Opportunity II Corp. Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 08/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 622,909,000 | USD | Analyze
|
EOCW= | Elliott Opportunity II Corp - Units (1 Ord Share Class A & 1/4 War) | | 06/29/2021 | US Equity | Units | Small cap | Financials | | | 622,909,000 | USD | Analyze
|
EOG | EOG Resources Inc | | 02/15/2001 | US Equity | Common stocks | Large cap | Energy | US26875P1012 | 2318024 | 61,581,681,113 | USD | Analyze
|
EPAC | Actuant Corporation | | 10/07/2019 | US Equity | Common stocks | Small cap | Industrials | US2927651040 | BH3T5K7 | 1,504,093,430 | USD | Analyze
|
EPAM | Epam Systems Inc | | 02/08/2012 | US Equity | Common stocks | Large cap | Information Technology | US29414B1044 | B44Z3T8 | 16,406,504,824 | USD | Analyze
|
EPC | Edgewell Personal Care | | 02/15/2001 | US Equity | Common stocks | Mid cap | Consumer Staples | US28035Q1022 | BX8ZSB4 | 2,071,598,384 | USD | Analyze
|
EP-C | El Paso Energy Capital Trust I, 4 3/4% Trust Convertible Preferred Securities of Debt Trust | | 02/11/2013 | US Equity | Exchange traded debt | Intermediate-term | Energy | US2836782092 | 2208910 | 196,900,000 | USD | Analyze
|
EPD | Enterprise Products Partners LP | | 02/01/2001 | US Equity | MLPs | Large cap | Energy | US2937921078 | 2285388 | 54,205,034,485 | USD | Analyze
|
EPR | EPR Properties | | 02/15/2001 | US Equity | REITs | Mid cap | Real Estate | US26884U1097 | B8XXZP1 | 2,592,159,884 | USD | Analyze
|
EPR-C | EPR Properties 5.75% Series C Cumulative Convertible Preferred | | 02/11/2013 | US Equity | Preferred stocks | Convertible | Real Estate | US26884U2087 | B8MGH66 | 122,769,000 | USD | Analyze
|
EPR-E | EPR Properties Series E Cumulative Convertible Preferred | | 02/11/2013 | US Equity | Preferred stocks | Convertible | Real Estate | US26884U3077 | B8B8PZ8 | 81,000,000 | USD | Analyze
|
EPR-G | EPR Properties 5.750% Series G Cumulative Preferred | | 11/20/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US26884U5056 | BF0WJH0 | 137,340,000 | USD | Analyze
|
EPRT | Essential Properties Realty Trust Inc. | | 06/21/2018 | US Equity | Common stocks | Mid cap | Real Estate | US29670E1073 | BFFK0X2 | 3,335,948,952 | USD | Analyze
|
EPWR | Empowerment & Inclusion Capital I Corp. Class A | | 03/01/2021 | US Equity | Common stocks | Micro cap | Financials | | | 278,346,000 | USD | Analyze
|
EPWR+ | Empowerment & Inclusion Capital I Corp. Redeemable warrants, each whole warrant exercisable for one share of Class A common stock, each at an exercise price of $11.50 per share | | 03/01/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
EPWR= | Empowerment & Inclusion Capital I Corp - Units (1 Ord Class A & 1/2 War) | | 01/08/2021 | US Equity | Units | Micro cap | Financials | | | 278,346,000 | USD | Analyze
|
EQC | Equity Commonwealth | | 12/18/1986 | US Equity | REITs | Mid cap | Real Estate | US2946281027 | BPH3N63 | 2,176,977,984 | USD | Analyze
|
EQC-D | Equity Commonwealth 6 1/2% Series D Cumulative Convertible Preferred | | 02/11/2013 | US Equity | Preferred stocks | Convertible | Real Estate | US2946282017 | BPNNRC1 | 126,836,633 | USD | Analyze
|
EQD | Equity Distribution Acquisition Corp. Class A | | 11/06/2020 | US Equity | Common stocks | Small cap | Financials | | | 414,828,000 | USD | Analyze
|
EQD+ | Equity Distribution Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 | | 11/06/2020 | US Equity | Warrants | Shell Companies | Financials | | | 413,172,000 | USD | Analyze
|
EQD= | Equity Distribution Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 09/11/2020 | US Equity | Units | Small cap | Financials | | | 414,828,000 | USD | Analyze
|
EQH | AXA Equitable Holdings Inc | | 05/10/2018 | US Equity | Common stocks | Mid cap | Financials | US29452E1010 | BKRMR96 | 8,679,815,879 | USD | Analyze
|
EQHA | EQ Health Acquisition Corp. Class A | | 03/22/2021 | US Equity | Common stocks | Micro cap | Financials | | | 221,319,598 | USD | Analyze
|
EQH-A | AXA Equitable Holdings ADRs of 5.25% Noncumulative Preferred, Series A | | 12/02/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US29452E2000 | BKRMRC9 | 648,150,000 | USD | Analyze
|
EQHA+ | EQ Health Acquisition Corp. Redeemable Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 03/22/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
EQHA= | EQ Health Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 01/29/2021 | US Equity | Units | Micro cap | Financials | | | 193,217,040 | USD | Analyze
|
EQH-C | Equitable Holdings, Inc. ADRs of 4.3% Noncumulative Preferred Stock, Series C | | 01/13/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | BMF1DS0 | 223,920,000 | USD | Analyze
|
EQNR | Equinor ASA ADRs | | 08/26/2013 | US Equity | ADRs | Large cap | Energy | NO0010096985 | 7133608 | 87,166,655,865 | USD | Analyze
|
EQR | Equity Residential | | 02/15/2001 | US Equity | REITs | Large cap | Real Estate | US29476L1070 | 2319157 | 20,997,304,855 | USD | Analyze
|
EQS | Equus Total Return | | 08/31/2001 | US Equity | BDCs | Micro cap | Financials | | | 20,412,400 | USD | Analyze
|
EQT | EQT Corporation | | 02/15/2001 | US Equity | Common stocks | Large cap | Energy | US26884L1098 | 2319414 | 10,641,434,639 | USD | Analyze
|
ERF | Enerplus Corporation | | 09/04/2001 | US Equity | Common stocks | Mid cap | Energy | CA2927661025 | B521G07 | 3,019,947,396 | USD | Analyze
|
ERJ | Embraer S.A. ADRs | | 08/31/2001 | US Equity | ADRs | Mid cap | Industrials | US29082A1079 | 2611916 | 2,858,195,070 | USD | Analyze
|
ERO | Ero Copper Corp. | | 10/20/2017 | US Equity | Common stocks | Small cap | Materials | CA2960061091 | BF02Z72 | 1,522,294,950 | USD | Analyze
|
ES | Eversource Energy | | 02/16/2001 | US Equity | Common stocks | Large cap | Utilities | US30040W1080 | BVVN4Q8 | 25,526,410,881 | USD | Analyze
|
ESAB | ESAB Corporation | | 04/05/2022 | US Equity | Common stocks | Mid cap | Industrials | US29605J1060 | BJLTMN5 | 3,403,402,741 | USD | Analyze
|
ESE | Esco Technologies Inc | | 02/16/2001 | US Equity | Common stocks | Mid cap | Industrials | US2963151046 | 2321583 | 2,288,153,734 | USD | Analyze
|
ESGC | Eros STX Global Corporation A | | 11/11/2013 | US Equity | Common stocks | Micro cap | Communication Services | IM00B86NL059 | BMT7S12 | 28,260,086 | USD | Analyze
|
ESI | Element Solutions Inc. | | 02/01/2019 | US Equity | Common stocks | Mid cap | Materials | US28618M1062 | BJ1C2K1 | 4,431,359,429 | USD | Analyze
|
ESM | ESM Acquisition Corporation Class A | | 04/30/2021 | US Equity | Common stocks | Small cap | Financials | | | 313,278,995 | USD | Analyze
|
ESM+ | ESM Acquisition Corporation Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 04/30/2021 | US Equity | Warrants | Shell Companies | Financials | | | 313,278,995 | USD | Analyze
|
ESM= | ESM Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 03/10/2021 | US Equity | Units | Small cap | Financials | | | 313,278,995 | USD | Analyze
|
ESMT | EngageSmart, LLC | | 09/23/2021 | US Equity | Common stocks | Mid cap | Information Technology | | BMHT1H7 | 3,076,165,590 | USD | Analyze
|
ESNT | Essent Group Ltd | | 10/31/2013 | US Equity | Common stocks | Mid cap | Financials | BMG3198U1027 | BFWGXR8 | 4,096,835,520 | USD | Analyze
|
ESRT | Empire State Realty Trust, Inc | | 10/02/2013 | US Equity | REITs | Small cap | Real Estate | US2921041065 | BF321D7 | 935,390,842 | USD | Analyze
|
ESS | Essex Property Trust, Inc | | 02/16/2001 | US Equity | REITs | Large cap | Real Estate | US2971781057 | 2316619 | 12,656,559,227 | USD | Analyze
|
ESTC | Elastic N.V. | | 10/05/2018 | US Equity | Common stocks | Mid cap | Information Technology | NL0013056914 | BFXCLC6 | 5,391,992,909 | USD | Analyze
|
ESTE | Earthstone Energy Inc Class A | | 12/31/2012 | US Equity | Common stocks | Small cap | Energy | US27032D3044 | BF191W9 | 1,294,377,243 | USD | Analyze
|
ET | Energy Transfer Operating LP | | 11/12/2013 | US Equity | MLPs | Large cap | Energy | US29273V1008 | BNZGZ19 | 36,144,855,117 | USD | Analyze
|
ET-C | Energy Transfer L.P. 7.375% Series C Fixed-to-Floating Rate Cumulative Preferred Unit | | 04/05/2021 | US Equity | Preferred stocks | Non-convertible | Energy | | | 395,100,000 | USD | Analyze
|
ETD | Ethan Allen Interiors Inc. | | 12/27/1999 | US Equity | Common stocks | Small cap | Consumer Discretionary | US2976021046 | 2320825 | 677,545,438 | USD | Analyze
|
ET-D | Energy Transfer L.P. 7.625% Series D Fixed-to-Floating Rate Cumulative Preferred Unit | | 04/05/2021 | US Equity | Preferred stocks | Non-convertible | Energy | | BNZGZ31 | 369,440,000 | USD | Analyze
|
ET-E | Energy Transfer L.P. 7.600% Series E Fixed-to-Floating Rate Cumulative Preferred Unit | | 04/05/2021 | US Equity | Preferred stocks | Non-convertible | Energy | | BNZGZ86 | 656,600,000 | USD | Analyze
|
ETI- | Entergy Texas Inc 5.375% Series A Preferred Stock, Cumulative | | 09/11/2019 | US Equity | Preferred stocks | Non-convertible | Utilities | | | 35,182,000 | USD | Analyze
|
ETN | Eaton Corporation, PLC | | 01/02/2001 | US Equity | Common stocks | Large cap | Industrials | IE00B8KQN827 | B8KQN82 | 65,571,276,532 | USD | Analyze
|
ETR | Entergy Corp | | 02/16/2001 | US Equity | Common stocks | Large cap | Utilities | US29364G1031 | 2317087 | 21,213,617,802 | USD | Analyze
|
ETRN | Equitrans Midstream Corporation | | 11/13/2018 | US Equity | Common stocks | Mid cap | Energy | US2946001011 | BFMWBV6 | 2,263,368,822 | USD | Analyze
|
ETWO | E2open Parent Holdings, Inc. Class A | | 06/15/2020 | US Equity | Common stocks | Small cap | Information Technology | US29788T1034 | BM9NG38 | 1,656,471,921 | USD | Analyze
|
ETWO+ | E2open Parent Holdings, Inc. Warrants | | 02/05/2021 | US Equity | Warrants | Operating Companies | Information Technology | | | 1,656,471,921 | USD | Analyze
|
EURN | Euronav Nv | | 12/14/2004 | US Equity | Common stocks | Mid cap | Energy | BE0003816338 | B04RBX6 | 3,883,436,184 | USD | Analyze
|
EVA | Enviva Partners LP | | 04/29/2015 | US Equity | MLPs | Small cap | Energy | US29415B1035 | BP830S3 | 1,855,221,199 | USD | Analyze
|
EVC | Entravision Communications Corp Cl | | 02/16/2001 | US Equity | Common stocks | Small cap | Communication Services | US29382R1077 | 2615112 | 452,116,947 | USD | Analyze
|
EVE | EVe Mobility Acquisition Corp | | 12/17/2010 | US Equity | Common stocks | Micro cap | Financials | | | 272,509,500 | USD | Analyze
|
EVE+ | EVe Mobility Acquisition Corp Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 02/04/2022 | US Equity | Warrants | Shell Companies | Financials | | | 272,509,500 | USD | Analyze
|
EVE= | EVe Mobility Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 12/15/2021 | US Equity | Units | Micro cap | Financials | | | 272,509,500 | USD | Analyze
|
EVEX | Eve Holding, Inc. | | 05/10/2022 | US Equity | Common stocks | Small cap | Consumer Staples | | | 1,673,764,811 | USD | Analyze
|
EVEX+ | Eve Holding, Inc. Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 05/08/2022 | US Equity | Warrants | Operating Companies | Consumer Staples | | | 1,673,764,811 | USD | Analyze
|
EVH | Evolent Health Inc Class A | | 06/05/2015 | US Equity | Common stocks | Mid cap | Health Care | US30050B1017 | BYLY8H1 | 3,324,909,275 | USD | Analyze
|
EVR | Evercore Inc. Class A | | 08/11/2006 | US Equity | Common stocks | Mid cap | Financials | US29977A1051 | B1BHXZ2 | 4,407,595,314 | USD | Analyze
|
EVRI | Everi Holdings Inc | | 09/23/2005 | US Equity | Common stocks | Small cap | Consumer Discretionary | US30034T1034 | BYV34V4 | 1,447,857,844 | USD | Analyze
|
EVTC | Evertec Inc | | 04/12/2013 | US Equity | Common stocks | Mid cap | Information Technology | PR30040P1032 | B7KY3Z6 | 2,123,088,700 | USD | Analyze
|
EVTL | Vertical Aerospace Ltd. | | 12/16/2021 | US Equity | Common stocks | Small cap | Industrials | | | 379,153,507 | USD | Analyze
|
EVTL+ | Vertical Aerospace Ltd. Warrants, each whole warrant exercisable for one ordinary share at an exercise price of $11.50 per share | | 12/16/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 379,153,507 | USD | Analyze
|
EW | Edwards Lifesciences Corp | | 03/27/2000 | US Equity | Common stocks | Large cap | Health Care | US28176E1082 | 2567116 | 48,215,275,206 | USD | Analyze
|
EXK | Endeavour Silver Corporation | | 02/11/2013 | US Equity | Common stocks | Small cap | Materials | | | 658,067,227 | USD | Analyze
|
EXP | Eagle Materials Inc | | 02/15/2001 | US Equity | Common stocks | Mid cap | Materials | US26969P1084 | 2191399 | 5,013,429,222 | USD | Analyze
|
EXPR | Express Inc | | 05/13/2010 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US30219E1038 | B464DZ9 | 58,060,915 | USD | Analyze
|
EXR | Extra Space Storage Inc | | 08/12/2004 | US Equity | REITs | Large cap | Real Estate | US30225T1025 | B02HWR9 | 20,149,216,174 | USD | Analyze
|
EXTN | Exterran Corp | | 10/27/2015 | US Equity | Common stocks | Micro cap | Energy | US30227H1068 | BYMC5T5 | 152,575,706 | USD | Analyze
|
F | Ford Motor Company | | 02/16/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US3453708600 | 2615468 | 44,713,066,145 | USD | Analyze
|
FACA | Figure Acquisition Corp. I Class A | | 04/12/2021 | US Equity | Common stocks | Micro cap | Financials | | | 288,650,000 | USD | Analyze
|
FACA+ | Figure Acquisition Corp. I Redeemable warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 | | 04/12/2021 | US Equity | Warrants | Shell Companies | Financials | | | 288,650,000 | USD | Analyze
|
FACA= | Figure Acquisition Corp I - Units (1 Ord Class A & 1/4 War) | | 02/19/2021 | US Equity | Units | Micro cap | Financials | | | 250,750,000 | USD | Analyze
|
FACT | Freedom Acquisition I Corp. Class A | | 04/19/2021 | US Equity | Common stocks | Small cap | Financials | | | 355,036,050 | USD | Analyze
|
FACT+ | Freedom Acquisition I Corp. Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 355,036,050 | USD | Analyze
|
FACT= | Freedom Acquisition I Corp - Units (1 Ord Share Class A & 1/4 War) | | 02/26/2021 | US Equity | Units | Small cap | Financials | | | 309,900,000 | USD | Analyze
|
FAF | First American Financial Corp | | 02/15/2001 | US Equity | Common stocks | Mid cap | Financials | US31847R1023 | B4NFPK4 | 5,493,912,702 | USD | Analyze
|
FATH | Fathom Digital Manufacturing Corporation Class A | | 03/29/2021 | US Equity | Common stocks | Micro cap | Industrials | | BM93GD8 | 40,313,904 | USD | Analyze
|
FATH+ | Fathom Digital Manufacturing Corporation Warrants, each whole warrant exercisable for one Class A Common Stock at an exercise price of $11.50 per share | | 12/27/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 40,313,904 | USD | Analyze
|
F-B | Ford Motor Company 6.20% Notes due June 1, 2059 | | 12/31/1969 | US Equity | Exchange traded debt | Long-term | Consumer Discretionary | US3453708451 | BJ029D4 | 758,400,000 | USD | Analyze
|
FBC | Flagstar Bancorp Inc | | 02/16/2001 | US Equity | Common stocks | Mid cap | Financials | US3379307057 | B7SVZ97 | 2,002,268,577 | USD | Analyze
|
FBHS | Fortune Brands Home And Security | | 09/16/2011 | US Equity | Common stocks | Mid cap | Industrials | US34964C1062 | B3MC7D6 | 7,938,212,545 | USD | Analyze
|
FBIN | Fortune Brands Innovations, Inc. | | 12/15/2022 | US Equity | Common stocks | Mid cap | Industrials | | B3MC7D6 | 7,310,222,762 | USD | Analyze
|
FBIN# | Fortune Brands Home & Security, Inc. When-Issued | | 12/09/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
FBK | FB Financial Corp | | 09/16/2016 | US Equity | Common stocks | Small cap | Financials | US30257X1046 | BYY5Z69 | 1,394,293,302 | USD | Analyze
|
FBP | First Bancorp | | 02/16/2001 | US Equity | Common stocks | Small cap | Financials | PR3186727065 | 2296926 | 1,971,998,508 | USD | Analyze
|
FBRT | Franklin BSP Realty Trust, Inc. | | 10/19/2021 | US Equity | REITs | Small cap | Financials | US35243J1016 | BN14T59 | 927,493,904 | USD | Analyze
|
FBRT-E | Franklin BSP Realty Trust, Inc. 7.50% Series E Cumulative Preferred | | 10/19/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 122,700,000 | USD | Analyze
|
FC | Franklin Covey | | 02/16/2001 | US Equity | Common stocks | Small cap | Industrials | US3534691098 | 2352839 | 637,824,368 | USD | Analyze
|
F-C | Ford Motor Company 6% Notes due December 1, 2059 | | 12/23/2019 | US Equity | Exchange traded debt | Long-term | Consumer Discretionary | US3453708378 | BJP1KW2 | 780,800,000 | USD | Analyze
|
FCAX | Fortress Capital Acquisition Corp. Class A | | 03/05/2021 | US Equity | Common stocks | Small cap | Financials | | | 354,550,000 | USD | Analyze
|
FCAX+ | Fortress Capital Acquisition Corp. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 03/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 403,200,000 | USD | Analyze
|
FCAX= | Fortress Capital Acquisition Corp - Units (1 Ord Class A & 1/5 War) | | 01/13/2021 | US Equity | Units | Small cap | Financials | | | 354,725,000 | USD | Analyze
|
FCF | First Commonwealth Financial Corp | | 02/16/2001 | US Equity | Common stocks | Small cap | Financials | US3198291078 | 2351546 | 1,290,091,798 | USD | Analyze
|
FCN | FTI Consulting Inc | | 02/20/2001 | US Equity | Common stocks | Mid cap | Industrials | US3029411093 | 2351449 | 6,566,922,644 | USD | Analyze
|
FCPT | Four Corners Property Trust, Inc | | 10/29/2015 | US Equity | REITs | Mid cap | Real Estate | US35086T1097 | BZ16HK0 | 2,178,902,972 | USD | Analyze
|
FCRX | First Eagle Alternative Capital BDC, Inc. 5.000% Notes due 2026 | | 05/27/2021 | US Equity | Exchange traded debt | Short-term | Financials | | | 56,016,000 | USD | Analyze
|
FCX | Freeport-McMoRan, Inc. | | 02/20/2001 | US Equity | Common stocks | Large cap | Materials | US35671D8570 | 2352118 | 54,065,914,507 | USD | Analyze
|
F-D | Ford Motor Company 6.500% Notes due August 15, 2062 | | 08/26/2022 | US Equity | Exchange traded debt | Unknown | Unknown | | | 0 | USD | Analyze
|
FDP | Fresh Del Monte Produce Inc | | 02/20/2001 | US Equity | Common stocks | Small cap | Consumer Staples | KYG367381053 | 2118707 | 1,392,105,588 | USD | Analyze
|
FDS | Factset Research Systems Inc | | 02/20/2001 | US Equity | Common stocks | Large cap | Financials | US3030751057 | 2329770 | 15,017,285,155 | USD | Analyze
|
FDX | FedEx Corporation | | 02/20/2001 | US Equity | Common stocks | Large cap | Industrials | US31428X1063 | 2142784 | 54,523,262,174 | USD | Analyze
|
FE | Firstenergy Corp | | 02/20/2001 | US Equity | Common stocks | Large cap | Utilities | US3379321074 | 2100920 | 21,602,255,696 | USD | Analyze
|
FEDU | Four Seasons Education (Cayman) Inc. ADRs | | 11/08/2017 | US Equity | ADRs | Micro cap | Consumer Staples | US35101A1016 | | 17,693,936 | USD | Analyze
|
FENG | Phoenix New Media ADRs | | 05/12/2011 | US Equity | ADRs | Micro cap | Communication Services | US71910C1036 | B3M88S6 | 76,187,203 | USD | Analyze
|
FERG | Ferguson plc | | 07/20/2001 | US Equity | Common stocks | Large cap | Industrials | JE00BJVNSS43 | BKB0C57 | 26,994,986,252 | USD | Analyze
|
FET | Forum Energy Technologies Inc | | 04/12/2012 | US Equity | Common stocks | Micro cap | Energy | US34984V2097 | | 236,849,607 | USD | Analyze
|
FF | Futurefuel Corp | | 01/02/2001 | US Equity | Common stocks | Small cap | Materials | US36116M1062 | B3BBRD4 | 311,594,290 | USD | Analyze
|
FG | F&G Annuities & Life, Inc. | | 11/22/2022 | US Equity | Common stocks | Mid cap | Financials | | BM9XCN0 | 2,123,686,387 | USD | Analyze
|
FG# | F&G Annuities & Life, Inc. When-Issued | | 11/21/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
FHI | Federated Hermes, Inc. | | 05/14/1998 | US Equity | Common stocks | Mid cap | Financials | US3142111034 | 2246288 | 3,502,294,930 | USD | Analyze
|
FHN | First Horizon National Corp | | 02/20/2001 | US Equity | Common stocks | Mid cap | Financials | US3205171057 | 2341484 | 8,479,485,744 | USD | Analyze
|
FHN-B | First Horizon National ADRs of 6.625% Fixed to Float Non-Cumulative Preferred, Series B | | 07/02/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | | 84,208,000 | USD | Analyze
|
FHN-C | First Horizon National ADRs of 6.6% Fixed-To-Floating Non-Cumulative Preferred, Series C | | 07/02/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | | 59,524,000 | USD | Analyze
|
FHN-D | First Horizon National ADRs of 6.1% Fixed-To-Floating Non-Cumulative Preferred, Series D | | 07/02/2020 | US Equity | Preferred stocks | Non-convertible | Financials | US3205178086 | BL6LHT1 | 100,120,000 | USD | Analyze
|
FHN-E | First Horizon National ADRs of 6.5% Non-Cumulative Perpetual Preferred Stock, Series E | | 06/16/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | | 153,300,000 | USD | Analyze
|
FHN-F | First Horizon Corporation ADRs of 4.7% Non-Cumulative Perpetual Preferred Stock, Series F | | 05/13/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | BLB1GT9 | 118,800,000 | USD | Analyze
|
FHS | First High-School Education Group Co., Ltd. ADRs of Class A | | 03/11/2021 | US Equity | ADRs | Micro cap | Consumer Discretionary | | | 5,021,100 | USD | Analyze
|
FICO | Fair Isaac Corp | | 01/02/2003 | US Equity | Common stocks | Large cap | Information Technology | US3032501047 | 2330299 | 17,126,629,920 | USD | Analyze
|
FIGS | FIGS, Inc. | | 05/27/2021 | US Equity | Common stocks | Small cap | Health Care | US30260D1037 | BMXXBD9 | 943,549,941 | USD | Analyze
|
FINV | FinVolution Group ADRs | | 11/29/2019 | US Equity | ADRs | Small cap | Financials | US31810T1016 | BL1H1H0 | 672,373,691 | USD | Analyze
|
FIS | Fidelity National Information Services | | 06/20/2001 | US Equity | Common stocks | Large cap | Information Technology | US31620M1062 | 2769796 | 29,579,015,586 | USD | Analyze
|
FIX | Comfort Systems Usa Inc | | 02/20/2001 | US Equity | Common stocks | Mid cap | Industrials | US1999081045 | 2036047 | 4,849,294,783 | USD | Analyze
|
FL | Foot Locker Inc | | 02/20/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US3448491049 | 2980906 | 3,520,979,711 | USD | Analyze
|
FLME | Flame Acquisition Corp. Class A | | 04/19/2021 | US Equity | Common stocks | Micro cap | Financials | | | 290,806,250 | USD | Analyze
|
FLME+ | Flame Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 290,806,250 | USD | Analyze
|
FLME= | Flame Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 02/25/2021 | US Equity | Units | Micro cap | Financials | | | 255,000,000 | USD | Analyze
|
FLNG | FLEX LNG Ltd. | | 09/22/2014 | US Equity | Common stocks | Small cap | Energy | BMG359472021 | BH3T3L4 | 1,790,992,676 | USD | Analyze
|
FLO | Flowers Foods Inc | | 03/23/2001 | US Equity | Common stocks | Mid cap | Consumer Staples | US3434981011 | 2744243 | 5,679,065,979 | USD | Analyze
|
FLR | Fluor Corp | | 02/20/2001 | US Equity | Common stocks | Mid cap | Industrials | US3434121022 | 2696838 | 4,146,547,217 | USD | Analyze
|
FLS | Flowserve Corp | | 02/20/2001 | US Equity | Common stocks | Mid cap | Industrials | US34354P1057 | 2288406 | 4,118,414,118 | USD | Analyze
|
FLT | Fleetcor Technologies Inc | | 12/15/2010 | US Equity | Common stocks | Large cap | Information Technology | US3390411052 | B4R28B3 | 14,680,680,418 | USD | Analyze
|
FLYA | SOAR Technology Acquisition Corp. Class A | | 11/08/2021 | US Equity | Common stocks | Micro cap | Financials | | | 239,430,000 | USD | Analyze
|
FLYA+ | SOAR Technology Acquisition Corp. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 11/08/2021 | US Equity | Warrants | Shell Companies | Financials | | | 239,430,000 | USD | Analyze
|
FLYA= | SOAR Technology Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 09/16/2021 | US Equity | Units | Micro cap | Financials | | | 239,430,000 | USD | Analyze
|
FMC | FMC Corp | | 02/20/2001 | US Equity | Common stocks | Large cap | Materials | US3024913036 | 2328603 | 14,636,582,004 | USD | Analyze
|
FMS | Fresenius Medical Care AG ADRs | | 08/31/2001 | US Equity | ADRs | Large cap | Health Care | US3580291066 | 2361448 | 11,890,116,077 | USD | Analyze
|
FMX | Fomento Economico Mexicano SAB de CV ADRs | | 08/31/2001 | US Equity | ADRs | Large cap | Consumer Staples | US3444191064 | 2246039 | 19,033,492,620 | USD | Analyze
|
FN | Fabrinet | | 06/25/2010 | US Equity | Common stocks | Mid cap | Information Technology | KYG3323L1005 | B4JSZL8 | 4,045,984,572 | USD | Analyze
|
FNA | Paragon 28, Inc. | | 07/14/2014 | US Equity | Common stocks | Small cap | Health Care | | BPK4YF9 | 1,484,712,424 | USD | Analyze
|
FNB | FNB Corp | | 02/20/2001 | US Equity | Common stocks | Mid cap | Financials | US3025201019 | 2041308 | 4,060,698,383 | USD | Analyze
|
FNB-E | F.N.B. Corporation ADRs of Fixed-to-Floating Rate Non-Cumulative Preferred Series E | | 11/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US30255P1030 | BGDXK85 | 100,480,000 | USD | Analyze
|
FND | Floor Decor Holdings Inc | | 04/27/2017 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US3397501012 | BYQHP96 | 9,786,167,479 | USD | Analyze
|
FNF | Fidelity National Financial Inc | | 06/23/2014 | US Equity | Common stocks | Mid cap | Financials | US31620R3030 | BNBRDD4 | 8,990,994,402 | USD | Analyze
|
FNF# | Fidelity National Financial, Inc. FNF Group When-Issued | | 11/21/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
FNV | Franco-Nevada Corporation | | 09/08/2011 | US Equity | Common stocks | Large cap | Materials | CA3518581051 | | 27,555,790,428 | USD | Analyze
|
FOA | Finance of America Companies Inc. Class A | | 04/18/2019 | US Equity | Common stocks | Micro cap | Financials | US31738L1070 | BMVBW09 | 86,180,352 | USD | Analyze
|
FOA+ | Finance of America Companies Inc. Warrants, each whole warrant exercisable for one Class A Common Stock at an exercise price of $11.50 | | 04/05/2021 | US Equity | Warrants | Operating Companies | Financials | | | 86,180,352 | USD | Analyze
|
FOR | Forestar Group Inc | | 12/12/2007 | US Equity | Common stocks | Small cap | Real Estate | US3462321015 | BF16ZX9 | 735,140,637 | USD | Analyze
|
FORG | ForgeRock, Inc. | | 09/16/2021 | US Equity | Common stocks | Small cap | Information Technology | US34631B1017 | BPF0B95 | 1,021,575,163 | USD | Analyze
|
FOUR | Shift4 Payments, Inc. Class A | | 05/31/2000 | US Equity | Common stocks | Mid cap | Information Technology | US82452J1097 | BLF0L75 | 3,773,503,055 | USD | Analyze
|
FPAC | Far Peak Acquisition Corporation Class A | | 09/08/2020 | US Equity | Common stocks | Small cap | Financials | | | 612,000,000 | USD | Analyze
|
FPAC+ | Far Peak Acquisition Corporation Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 01/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 612,000,000 | USD | Analyze
|
FPAC= | Far Peak Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 06/27/2018 | US Equity | Units | Small cap | Financials | | | 611,400,000 | USD | Analyze
|
FPH | Five Point Holdings, LLC Class A | | 05/10/2017 | US Equity | Common stocks | Micro cap | Real Estate | US33833Q1067 | BDCWFS7 | 146,937,398 | USD | Analyze
|
FPI | Farmland Partners Inc | | 04/11/2014 | US Equity | REITs | Small cap | Real Estate | US31154R1095 | BKZH191 | 537,192,671 | USD | Analyze
|
FR | First Industrial Realty Trust, Inc | | 02/21/2001 | US Equity | REITs | Mid cap | Real Estate | US32054K1034 | 2360757 | 6,536,529,984 | USD | Analyze
|
FRC | First Republic Bank | | 04/17/2008 | US Equity | Common stocks | Mid cap | Financials | US33616C1009 | B4WHY15 | 2,250,974,542 | USD | Analyze
|
FRC-H | First Republic Bank ADRs of 5.125% Noncumulative Series H Preferred | | 05/31/2017 | US Equity | Preferred stocks | Non-convertible | Financials | US33616C8111 | BF2P6Q5 | 157,600,000 | USD | Analyze
|
FRC-I | First Republic Bank ADRs of 5.50% Noncumulative Series I Preferred | | 06/05/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US3361588037 | BZ1NVR6 | 138,030,673 | USD | Analyze
|
FRC-J | FIRST REPUBLIC BANK ADRs of 4.70% Noncumulative Perpetual Series J Preferred Stock | | 12/04/2019 | US Equity | Preferred stocks | Non-convertible | Financials | US33616C7873 | BKBKSZ9 | 8,052,000 | USD | Analyze
|
FRC-K | FIRST REPUBLIC BANK ADRs of 4.125% Noncumulative Perpetual Series K Preferred | | 09/17/2020 | US Equity | Preferred stocks | Non-convertible | Financials | | BN78F13 | 360,000,000 | USD | Analyze
|
FRC-L | FIRST REPUBLIC BANK ADRs of 4.250% Noncumulative Perpetual Series L Preferred | | 02/11/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | BMH5WY9 | 475,800,000 | USD | Analyze
|
FRC-M | First Republic Bank ADRs of 4.000% Noncumulative Perpetual Series M Preferred | | 07/14/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 528,600,000 | USD | Analyze
|
FRC-N | First Republic Bank ADRs of 4.500% Noncumulative Perpetual Series N Preferred | | 11/30/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 160,940,000 | USD | Analyze
|
FREY | FREYR Battery | | 07/06/2021 | US Equity | Common stocks | Small cap | Industrials | | | 984,921,900 | USD | Analyze
|
FREY+ | FREYR Battery Warrants, each whole warrant exercisable to purchase one Ordinary Share at an exercise price of $11.50 per share | | 07/08/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 984,921,900 | USD | Analyze
|
FRGE | Forge Global Holdings, Inc. | | 03/22/2022 | US Equity | Common stocks | Micro cap | Financials | | | 281,407,024 | USD | Analyze
|
FRGE+ | Forge Global Holdings, Inc. Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50 | | 03/22/2022 | US Equity | Warrants | Operating Companies | Financials | | | 329,130,000 | USD | Analyze
|
FRO | Frontline Ltd | | 08/06/2001 | US Equity | Common stocks | Mid cap | Energy | BMG3682E1921 | BMCVDT4 | 3,722,254,704 | USD | Analyze
|
FRT | Federal Realty Investment Trust | | 02/21/2001 | US Equity | REITs | Mid cap | Real Estate | US3137451015 | BN7P9B2 | 7,416,155,889 | USD | Analyze
|
FRT-C | Federal Realty Investment ADRs of 5.000% Series C Cumulative Preferred | | 09/26/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US3137477010 | BF8PCZ0 | 151,980,000 | USD | Analyze
|
FRXB | Forest Road Acquisition Corp. II Class A | | 04/30/2021 | US Equity | Common stocks | Small cap | Financials | | | 348,250,000 | USD | Analyze
|
FRXB+ | Forest Road Acquisition Corp. II Redeemable Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 04/30/2021 | US Equity | Warrants | Shell Companies | Financials | | | 348,250,000 | USD | Analyze
|
FRXB= | Forest Road Acquisition Corp II - Units (1 Ord Share Class A & 1/5 War) | | 03/10/2021 | US Equity | Units | Small cap | Financials | | | 348,250,000 | USD | Analyze
|
FSCO | FS Credit Opportunities Corp. | | 11/14/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
FSK | FS KKR Capital Corp. | | 04/16/2014 | US Equity | BDCs | Mid cap | Financials | | BLPJL16 | 5,024,596,106 | USD | Analyze
|
FSLY | Fastly, Inc. Class A | | 05/17/2019 | US Equity | Common stocks | Small cap | Information Technology | US31188V1008 | BJN4MY9 | 1,998,876,000 | USD | Analyze
|
FSM | Fortuna Silver Mines Inc | | 09/19/2011 | US Equity | Common stocks | Small cap | Materials | CA3499151080 | B3BH8J5 | 1,021,732,173 | USD | Analyze
|
FSNB | Fusion Acquisition Corp. II Class A | | 04/19/2021 | US Equity | Common stocks | Small cap | Financials | | | 509,000,000 | USD | Analyze
|
FSNB+ | Fusion Acquisition Corp. II Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock, each at an exercise price of $11.50 per share | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 509,000,000 | USD | Analyze
|
FSNB= | Fusion Acquisition Corp II - Units (1 Ord Share Class A & 1/3 War) | | 02/26/2021 | US Equity | Units | Small cap | Financials | | | 441,655,500 | USD | Analyze
|
FSR | Fisker Inc. Class A | | 10/02/2018 | US Equity | Common stocks | Small cap | Consumer Discretionary | US33813J1060 | BNKD957 | 1,075,266,084 | USD | Analyze
|
FSS | Federal Signal Corp | | 02/21/2001 | US Equity | Common stocks | Mid cap | Industrials | US3138551086 | 2333986 | 3,086,944,478 | USD | Analyze
|
FST | FAST Acquisition Corp. Class A | | 10/12/2020 | US Equity | Common stocks | Micro cap | Financials | | | 203,600,000 | USD | Analyze
|
FST+ | FAST Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 10/12/2020 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
FST= | FAST Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 08/20/2020 | US Equity | Units | Micro cap | Financials | | | 203,000,000 | USD | Analyze
|
FTCH | Farfetch Limited Class A | | 09/21/2018 | US Equity | Common stocks | Small cap | Consumer Discretionary | KY30744W1070 | BFD20M9 | 1,646,679,145 | USD | Analyze
|
FTEV | FinTech Evolution Acquisition Group Class A | | 04/21/2021 | US Equity | Common stocks | Micro cap | Financials | | | 279,038,149 | USD | Analyze
|
FTEV+ | FinTech Evolution Acquisition Group Redeemable Warrants, each whole warrant exercisable for one Class A Ordinary Share for $11.50 per share | | 04/22/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
FTEV= | FinTech Evolution Acquisition Group - Units (1 Ord Share Class A & 1/3 War) | | 03/02/2021 | US Equity | Units | Micro cap | Financials | | | 244,320,000 | USD | Analyze
|
FTI | TechnipFMC PLC | | 06/14/2001 | US Equity | Common stocks | Mid cap | Energy | GB00BDSFG982 | BDSFG98 | 5,542,828,656 | USD | Analyze
|
FTK | Flotek Industries Inc | | 07/21/2004 | US Equity | Common stocks | Micro cap | Materials | US3433891021 | | 55,030,160 | USD | Analyze
|
FTS | Fortis Inc. | | 03/28/2002 | US Equity | Common stocks | Large cap | Utilities | CA3495531079 | 2347200 | 19,151,329,384 | USD | Analyze
|
FTV | Fortive Corp | | 06/13/2016 | US Equity | Common stocks | Large cap | Industrials | US34959J1088 | BYT3MK1 | 22,791,917,467 | USD | Analyze
|
FUBO | FuboTV Inc. | | 11/30/2017 | US Equity | Common stocks | Micro cap | Communication Services | US35953D1046 | BMW4TN9 | 218,082,756 | USD | Analyze
|
FUL | H. B. Fuller | | 02/21/2001 | US Equity | Common stocks | Mid cap | Materials | US3596941068 | 2354664 | 3,527,121,837 | USD | Analyze
|
FUN | Cedar Fair LP | | 02/21/2001 | US Equity | MLPs | Mid cap | Consumer Discretionary | | | 2,272,485,244 | USD | Analyze
|
FVIV | Fortress Value Acquisition Corp. IV Class A | | 05/06/2021 | US Equity | Common stocks | Small cap | Financials | | | 652,600,000 | USD | Analyze
|
FVIV+ | Fortress Value Acquisition Corp. IV Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 05/06/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
FVIV= | Fortress Value Acquisition Corp IV - Units (1 Ord Share Class A & 1/8 War) | | 03/16/2021 | US Equity | Units | Small cap | Financials | | | 651,950,000 | USD | Analyze
|
FVRR | Fiverr International Ltd. | | 06/13/2019 | US Equity | Common stocks | Small cap | Consumer Discretionary | IL0011582033 | BKKDH30 | 1,261,273,615 | USD | Analyze
|
FVT | Fortress Value Acquisition Corp. III Class A | | 02/25/2021 | US Equity | Common stocks | Micro cap | Financials | | | 201,000,000 | USD | Analyze
|
FVT+ | Fortress Value Acquisition Corp. III Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 02/25/2021 | US Equity | Warrants | Shell Companies | Financials | | | 229,540,000 | USD | Analyze
|
FVT= | Fortress Value Acquisition Corp III - Units (1 Ord Share Class A & 1/5 War) | | 12/28/2020 | US Equity | Units | Micro cap | Financials | | | 200,600,000 | USD | Analyze
|
FXLV | F45 Training Holdings Inc. | | 07/15/2021 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US30322L1017 | BL53KF5 | 122,197,525 | USD | Analyze
|
FZT | FAST Acquisition Corp. II Class A | | 05/06/2021 | US Equity | Common stocks | Micro cap | Financials | | | 226,783,607 | USD | Analyze
|
FZT+ | FAST Acquisition Corp. II Redeemable warrants, each whole warrant exercisable for one share of Class A common stock, each at an exercise price of $11.50 per share | | 05/06/2021 | US Equity | Warrants | Shell Companies | Financials | | | 226,783,607 | USD | Analyze
|
FZT= | FAST Acquisition Corp II - Units (1 Ord Share Class A & 1/4 War) | | 03/16/2021 | US Equity | Units | Micro cap | Financials | | | 226,783,607 | USD | Analyze
|
G | Genpact Ltd | | 08/02/2007 | US Equity | Common stocks | Mid cap | Information Technology | BMG3922B1072 | B23DBK6 | 8,236,986,065 | USD | Analyze
|
GAB-G | Gabelli Equity Trust Series G Cumulative Preferred Stock | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | | | 65,653,174 | USD | Analyze
|
GAB-H | Gabelli Equity Trust Inc. 5% Cumulative Preferred Series H | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | | | 97,356,000 | USD | Analyze
|
GAB-K | Gabelli Equity Trust, Inc. (The) 5.00% Series K Cumulative Preferred Stock | | 12/18/2019 | US Equity | Preferred stocks | Non-convertible | Financials | | | 90,000,000 | USD | Analyze
|
GAM-B | General American Investors 5.95% Cumulative Preferred Series B | | 10/06/2003 | US Equity | Preferred stocks | Non-convertible | Financials | | | 205,120,000 | USD | Analyze
|
GAPA | G&P Acquisition Corp. Class A | | 05/03/2021 | US Equity | Common stocks | Unknown | Financials | | | 0 | USD | Analyze
|
GAPA+ | G&P Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 05/03/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
GAPA= | G&P acquisition corp - Units (1 Ord Class A & 1/2 War) | | 03/11/2021 | US Equity | Units | Micro cap | Financials | | | 177,625,000 | USD | Analyze
|
GAQ | Generation Asia I Acquisition Limited Class A | | 01/19/2022 | US Equity | Common stocks | Micro cap | Financials | | | 226,098,300 | USD | Analyze
|
GAQ+ | Generation Asia I Acquisition Limited Redeemable Warrants included as part of the units, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/14/2022 | US Equity | Warrants | Shell Companies | Financials | | | 226,098,300 | USD | Analyze
|
GAQ= | Generation Asia I Acquisition Ltd - Units (1 Ord Class A & 1/2 War) | | 01/20/2022 | US Equity | Units | Micro cap | Financials | | | 226,098,300 | USD | Analyze
|
GATO | Gatos Silver, Inc. | | 10/28/2020 | US Equity | Common stocks | Small cap | Materials | US3680361090 | BN44WZ7 | 325,062,448 | USD | Analyze
|
GATX | Gatx Corp | | 02/21/2001 | US Equity | Common stocks | Mid cap | Industrials | US3614481030 | 2362128 | 3,647,583,796 | USD | Analyze
|
GB | Global Blue Group Holding AG | | 06/27/2016 | US Equity | Common stocks | Small cap | Information Technology | | | 1,612,020,499 | USD | Analyze
|
GB+ | Global Blue Group Holding AG Warrants exercisable for one Ordinary Share of Global Blue Group Holding AG at a price of $11.50 per share | | 08/31/2020 | US Equity | Warrants | Operating Companies | Information Technology | | | 1,612,020,499 | USD | Analyze
|
GBCI | Glacier Bancorp Inc | | 02/20/2001 | US Equity | Common stocks | Mid cap | Financials | US37637Q1058 | 2370585 | 4,619,405,648 | USD | Analyze
|
GBL | Gamco Investors Inc Class A | | 02/21/2001 | US Equity | Common stocks | Micro cap | Financials | US361438AC87 | 2386827 | 108,528,254 | USD | Analyze
|
GBLI | Global Indemnity Ltd | | 07/06/2010 | US Equity | Common stocks | Micro cap | Financials | US37959R1032 | BL64BC1 | 275,203,274 | USD | Analyze
|
GBTG | Global Business Travel Group, Inc. Class A | | 05/31/2022 | US Equity | Common stocks | Small cap | Information Technology | | | 457,303,367 | USD | Analyze
|
GBTG+ | Global Business Travel Group, Inc. Warrants, each exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share | | 05/31/2022 | US Equity | Warrants | Operating Companies | Information Technology | | | 325,156,138 | USD | Analyze
|
GBX | Greenbrier Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Industrials | US3936571013 | 2387530 | 1,015,935,625 | USD | Analyze
|
GCI | Gannett Inc | | 06/23/2015 | US Equity | Common stocks | Micro cap | Communication Services | US36472T1097 | BKPH157 | 271,130,338 | USD | Analyze
|
GCO | Genesco Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US3715321028 | 2367101 | 438,827,175 | USD | Analyze
|
GCP | GCP Applied Technologies Inc | | 01/26/2016 | US Equity | Common stocks | Mid cap | Materials | US36164Y1010 | BYW8TV3 | 2,369,103,281 | USD | Analyze
|
GD | General Dynamics Corp | | 02/21/2001 | US Equity | Common stocks | Large cap | Industrials | US3695501086 | 2365161 | 60,404,799,186 | USD | Analyze
|
GDDY | GoDaddy Inc. Class A | | 04/01/2015 | US Equity | Common stocks | Large cap | Information Technology | US3802371076 | BWFRFC6 | 11,330,216,365 | USD | Analyze
|
GDL-C | The GDL Fund Series C Cumulative Puttable and Callable Preferred Shares | | 03/27/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US3615704018 | BF4J405 | 128,577,225 | USD | Analyze
|
GDOT | Green Dot Corporation | | 07/22/2010 | US Equity | Common stocks | Small cap | Financials | US39304D1028 | B3WNNP3 | 834,242,535 | USD | Analyze
|
GDV-H | The Gabelli Dividend & Income Trust 5.375% Series H Cumulative Preferred Shares | | 06/12/2019 | US Equity | Preferred stocks | Non-convertible | Financials | | | 49,880,000 | USD | Analyze
|
GDV-K | The Gabelli Dividend & Income Trust 4.250% Series K Cumulative Preferred | | 10/05/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 116,160,000 | USD | Analyze
|
GE | General Electric | | 03/17/1980 | US Equity | Common stocks | Large cap | Industrials | US3696043013 | BL59CR9 | 99,859,013,559 | USD | Analyze
|
GE# | General Electric Company When-Issued | | 12/16/2022 | US Equity | Common stocks | Unknown | Unknown | | | 0 | USD | Analyze
|
GEF | Greif Inc Class A | | 02/21/2001 | US Equity | Common stocks | Mid cap | Materials | US3976241071 | 2388016 | 3,099,231,546 | USD | Analyze
|
GEF.B | Greif, Inc Class B | | 02/20/2001 | US Equity | Common stocks | Mid cap | Materials | US3976242061 | 2394080 | 3,099,231,546 | USD | Analyze
|
GEHI | Gravitas Education Holdings, Inc. American depositary shares, each representing one Class A ordinary share | | 09/27/2017 | US Equity | ADRs | Micro cap | Unknown | | | 15,124,999 | USD | Analyze
|
GEL | Genesis Energy LP | | 01/02/2003 | US Equity | MLPs | Small cap | Energy | US3719271047 | 2372257 | 1,270,731,722 | USD | Analyze
|
GENI | Genius Sports Limited | | 10/05/2020 | US Equity | Common stocks | Small cap | Communication Services | | | 852,165,983 | USD | Analyze
|
GENI+ | Genius Sports Limited Redeemable Warrants, each whole warrant exercisable for one Ordinary Share each at an exercise price of $11.50 per share | | 04/21/2021 | US Equity | Warrants | Operating Companies | Communication Services | | | 852,165,983 | USD | Analyze
|
GEO | The GEO Group, Inc | | 02/21/2001 | US Equity | REITs | Small cap | Industrials | US36162J1060 | BNLYWQ1 | 950,454,015 | USD | Analyze
|
GES | Guess Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US4016171054 | 2387109 | 988,228,605 | USD | Analyze
|
GETR | Getaround, Inc. | | 04/26/2021 | US Equity | Common stocks | Micro cap | Unknown | | | 8,161,475 | USD | Analyze
|
GETR+ | Getaround, Inc. Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 12/07/2022 | US Equity | Warrants | | Unknown | | | 8,161,475 | USD | Analyze
|
GETY | Getty Images Holdings, Inc. Class A | | 07/25/2022 | US Equity | Common stocks | Small cap | Unknown | | | 1,592,928,775 | USD | Analyze
|
GETY+ | Getty Images Holdings, Inc. Warrants, each exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share | | 07/25/2022 | US Equity | Warrants | | Unknown | | | 2,143,238,257 | USD | Analyze
|
GFF | Griffon Corp | | 02/21/2001 | US Equity | Common stocks | Small cap | Industrials | US3984331021 | 2463344 | 1,748,754,669 | USD | Analyze
|
GFI | Gold Fields ADRs | | 09/04/2001 | US Equity | ADRs | Large cap | Materials | US38059T1060 | 2416326 | 11,088,678,223 | USD | Analyze
|
GFL | GFL Environmental Inc. Subordinate voting shares | | 07/14/2014 | US Equity | Common stocks | Large cap | Industrials | CA36168Q1046 | BKDT649 | 10,988,637,025 | USD | Analyze
|
GFLU | GFL Environmental Inc. Tangible Equity Units | | 03/03/2020 | US Equity | Units | Large cap | Industrials | US36168Q1206 | BL82XZ0 | 14,075,172,723 | USD | Analyze
|
GFOR | Graf Acquisition Corp. IV | | 07/12/2021 | US Equity | Common stocks | Micro cap | Financials | | | 217,951,050 | USD | Analyze
|
GFOR+ | Graf Acquisition Corp. IV Warrant exercisable for one share at $11.50 per share | | 07/12/2021 | US Equity | Warrants | Shell Companies | Financials | | | 217,951,050 | USD | Analyze
|
GFOR= | Graf Acquisition Corp IV - Units (1 Ord & 1/5 War) | | 05/21/2021 | US Equity | Units | Micro cap | Financials | | | 217,951,050 | USD | Analyze
|
GFX | Golden Falcon Acquisition Corp. Class A | | 02/08/2021 | US Equity | Common stocks | Small cap | Financials | | | 348,105,000 | USD | Analyze
|
GFX+ | Golden Falcon Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 02/08/2021 | US Equity | Warrants | Shell Companies | Financials | | | 348,105,000 | USD | Analyze
|
GFX= | Golden Falcon Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 12/18/2020 | US Equity | Units | Small cap | Financials | | | 348,105,000 | USD | Analyze
|
GGB | Gerdau S.A. ADRs | | 09/04/2001 | US Equity | ADRs | Mid cap | Materials | US3737371050 | 2297606 | 5,000,661,292 | USD | Analyze
|
GGG | Graco Inc | | 03/17/1980 | US Equity | Common stocks | Large cap | Industrials | US3841091040 | 2380443 | 11,598,351,741 | USD | Analyze
|
GGT-E | Gabelli Multi-Media Trust 5.125% Series E Cumulative Preferred Stock | | 09/22/2017 | US Equity | Preferred stocks | Non-convertible | Financials | | | 47,000,000 | USD | Analyze
|
GGT-G | Gabelli Multi-Media Trust Inc. (The) 5.125% Series G Cumulative Preferred Shares | | 12/24/2019 | US Equity | Preferred stocks | Non-convertible | Financials | | | 47,400,000 | USD | Analyze
|
GHC | Graham Holdings Company Class B | | 02/21/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US3846371041 | BGM1B98 | 2,171,892,303 | USD | Analyze
|
GHG | GreenTree Hospitality Group Ltd. ADRs of Class A | | 03/27/2018 | US Equity | ADRs | Small cap | Consumer Discretionary | US39579V1008 | BFWDQD6 | 303,194,076 | USD | Analyze
|
GHI | Greystone Housing Impact Investors LP Beneficial Unit Certificates representing assignments of limited partnership interests | | 12/05/2022 | US Equity | Units | Small cap | Financials | | | 387,813,274 | USD | Analyze
|
GHL | Greenhill Inc | | 05/06/2004 | US Equity | Common stocks | Micro cap | Financials | US3952591044 | B00G8B4 | 154,171,682 | USD | Analyze
|
GHLD | Guild Holdings Company Class A | | 10/22/2020 | US Equity | Common stocks | Micro cap | Financials | | | 213,746,811 | USD | Analyze
|
GHM | Graham Corp | | 02/21/2001 | US Equity | Common stocks | Micro cap | Industrials | US3845561063 | | 140,528,522 | USD | Analyze
|
GIA | GigCapital 5, Inc. | | 11/04/2021 | US Equity | Common stocks | Small cap | Financials | | | 311,995,200 | USD | Analyze
|
GIA+ | GigCapital 5, Inc. Redeemable Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 11/04/2021 | US Equity | Warrants | Shell Companies | Financials | | | 311,995,200 | USD | Analyze
|
GIA= | GigCapital5 Inc - Units (1 Ord & 1War) | | 09/24/2021 | US Equity | Units | Small cap | Financials | | | 311,995,200 | USD | Analyze
|
GIB | CGI Group | | 08/27/2001 | US Equity | Common stocks | Large cap | Information Technology | CA12532H1047 | | 19,272,374,676 | USD | Analyze
|
GIC | Global Industrial Company | | 06/27/1995 | US Equity | Common stocks | Small cap | Industrials | US37892E1029 | BNBY595 | 968,145,801 | USD | Analyze
|
GIL | Gildan Activewear Inc. Class A | | 02/11/2013 | US Equity | Common stocks | Mid cap | Consumer Discretionary | CA3759161035 | 2254645 | 5,718,874,574 | USD | Analyze
|
GIS | General Mills Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US3703341046 | 2367026 | 48,436,520,402 | USD | Analyze
|
GJH | Synthetic Fixed-Income Securities Inc 6.375% (STRATS) Class A-1 US Cellular | | 11/13/2013 | US Equity | Exchange traded debt | Long-term | Communication Services | | | 10,275,000 | USD | Analyze
|
GJO | STRATS trust holding Wal-Mart Stores, Inc. Securities, Series 2004-5 Due 2030 | | 11/13/2013 | US Equity | Exchange traded debt | Intermediate-term | Consumer Staples | | | 24,590,000 | USD | Analyze
|
GJR | Strats Trust For Procter & Gamble Securities, Series 2006-1, holding Notes due 2034 | | 11/13/2013 | US Equity | Exchange traded debt | Long-term | Consumer Staples | | | 32,854,800 | USD | Analyze
|
GJS | Goldman Sachs Group Securities STRATS trust, Series 2006-2, due 2033 | | 11/13/2013 | US Equity | Exchange traded debt | Intermediate-term | Financials | | | 58,884,000 | USD | Analyze
|
GJT | Synthetic Fixed-Income Securities, Inc. Trust Series 2006-3 Holding Allstate Notes Due 2036 | | 11/15/2013 | US Equity | Exchange traded debt | Long-term | Financials | | | 29,946,000 | USD | Analyze
|
GKOS | Glaukos Corp | | 06/25/2015 | US Equity | Common stocks | Mid cap | Health Care | US3773221029 | BYMWL19 | 2,308,220,653 | USD | Analyze
|
GL | Globe Life Inc. | | 10/01/1980 | US Equity | Common stocks | Large cap | Financials | US37959E1029 | BK6YKG1 | 10,265,990,259 | USD | Analyze
|
GL-D | Globe Life Inc. 4.25% Junior Subordinated Debentures due 2061 | | 06/21/2021 | US Equity | Exchange traded debt | Long-term | Financials | US37959E3009 | BKP8TS9 | 242,450,000 | USD | Analyze
|
GLOB | Globant Sa | | 07/18/2014 | US Equity | Common stocks | Mid cap | Information Technology | LU0974299876 | BP40HF4 | 6,598,174,924 | USD | Analyze
|
GLOG-A | GasLog LP. 8.75% Series A Cumulative Preference Shares | | 03/31/2015 | US Equity | Preferred stocks | Non-convertible | Energy | BMG375851174 | BWSZ970 | 99,360,000 | USD | Analyze
|
GLOP | GasLog Partners LP | | 05/07/2014 | US Equity | MLPs | Small cap | Energy | MHY2687W1084 | BM67GH7 | 419,325,048 | USD | Analyze
|
GLOP-A | GasLog Partners LP 8.625% Series A Cumulative Fixed to Floating Rate Preference Units | | 05/09/2017 | US Equity | Preferred stocks | Non-convertible | Energy | MHY2687W1167 | BZ6S5B8 | 126,200,000 | USD | Analyze
|
GLOP-B | GasLog Partners LP 8.200% Series B Cumulative Fixed to Floating Rate Preference Units | | 01/10/2018 | US Equity | Preferred stocks | Non-convertible | Energy | MHY2687W1241 | BFWK3B4 | 114,494,000 | USD | Analyze
|
GLOP-C | GasLog Partners LP 8.500% Series C Cumulative Fixed to Floating Rate Preference Units | | 11/19/2018 | US Equity | Preferred stocks | Non-convertible | Energy | | | 115,184,000 | USD | Analyze
|
GLP | Global Partners LP | | 09/29/2005 | US Equity | MLPs | Small cap | Energy | US37946R1095 | B0H9BJ5 | 996,069,996 | USD | Analyze
|
GLP-A | Global Partners LP 9.75% Series A Fixed-to-Floating Rate Cumulative Preferred Units | | 08/01/2018 | US Equity | Preferred stocks | Non-convertible | Energy | | | 62,880,000 | USD | Analyze
|
GLP-B | Global Partners LP 9.50% Series B Fixed Rate Cumulative Preferred Units | | 03/25/2021 | US Equity | Preferred stocks | Non-convertible | Energy | | | 77,295,000 | USD | Analyze
|
GLS | Gelesis Holdings, Inc. | | 08/24/2020 | US Equity | Common stocks | Micro cap | Health Care | | BP6HGX4 | 12,050,528 | USD | Analyze
|
GLS+ | Gelesis Holdings, Inc. Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50 | | 01/14/2022 | US Equity | Warrants | Operating Companies | Health Care | | | 30,586,431 | USD | Analyze
|
GLT | Glatfelter | | 02/21/2001 | US Equity | Common stocks | Micro cap | Materials | US3773201062 | BMH61S9 | 123,723,207 | USD | Analyze
|
GLW | Corning Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Information Technology | US2193501051 | 2224701 | 27,670,590,065 | USD | Analyze
|
GM | General Motors | | 11/18/2010 | US Equity | Common stocks | Large cap | Consumer Discretionary | US37045V1008 | B665KZ5 | 47,055,060,005 | USD | Analyze
|
GME | Gamestop Corp Class A | | 02/13/2002 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US36467W1099 | B0LLFT5 | 6,876,061,600 | USD | Analyze
|
GMED | Globus Medical Inc Class A | | 08/03/2012 | US Equity | Common stocks | Mid cap | Health Care | US3795772082 | B7D65M0 | 5,247,033,849 | USD | Analyze
|
GMRE | Global Medical REIT Inc | | 06/21/2013 | US Equity | REITs | Small cap | Real Estate | US37954A2042 | BSNMBW7 | 534,034,602 | USD | Analyze
|
GMRE-A | Global Medical REIT Series A Cumulative Preferred Stock | | 09/14/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 68,823,000 | USD | Analyze
|
GMS | GMS Inc. | | 05/26/2016 | US Equity | Common stocks | Mid cap | Industrials | US36251C1036 | BYY9FS3 | 2,224,299,613 | USD | Analyze
|
GNE | Genie Energy Ltd Class B | | 10/26/2011 | US Equity | Common stocks | Micro cap | Utilities | US3722842081 | | 265,404,749 | USD | Analyze
|
GNE-A | Genie Energy Ltd. Series 2012 - A Preferred Stock | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Utilities | | | 20,378,000 | USD | Analyze
|
GNK | Genco Shipping And Trading Ltd | | 07/15/2014 | US Equity | Common stocks | Small cap | Industrials | MHY2685T1313 | BD08758 | 651,838,587 | USD | Analyze
|
GNL | Global Net Lease, Inc | | 06/01/2015 | US Equity | REITs | Small cap | Real Estate | US3793782018 | BZCFW78 | 1,224,785,295 | USD | Analyze
|
GNL-A | Global Net Lease Inc. 7.25% Series A Cumulative Preferred Stock | | 09/07/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US3793783008 | BYT3YP0 | 132,428,232 | USD | Analyze
|
GNL-B | Global Net Lease, Inc. 6.875% Series B Cumulative Redeemable Perpetual Preferred | | 11/29/2019 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 70,500,000 | USD | Analyze
|
GNRC | Generac Holdings Inc | | 02/11/2010 | US Equity | Common stocks | Mid cap | Industrials | US3687361044 | B6197Q2 | 6,628,765,841 | USD | Analyze
|
GNT-A | GAMCO Natural Resources 5.20% Series A Cumulative Preferred | | 10/24/2017 | US Equity | Preferred stocks | Non-convertible | Financials | | | 27,096,000 | USD | Analyze
|
GNTY | Guaranty Bancshares Inc | | 01/02/2003 | US Equity | Common stocks | Small cap | Financials | US4007641065 | 2503035 | 336,219,997 | USD | Analyze
|
GNW | Genworth Financial Inc. | | 05/25/2004 | US Equity | Common stocks | Mid cap | Financials | US37247D1063 | B011WL6 | 2,348,328,198 | USD | Analyze
|
GOAC | GO Acquisition Corp. Class A | | 09/25/2020 | US Equity | Common stocks | Small cap | Financials | | | 575,575,000 | USD | Analyze
|
GOAC+ | GO Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 09/25/2020 | US Equity | Warrants | Shell Companies | Financials | | | 575,287,500 | USD | Analyze
|
GOAC= | GO Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 08/05/2020 | US Equity | Units | Small cap | Financials | | | 575,575,000 | USD | Analyze
|
GOGN | GoGreen Investments Corporation Class A | | 12/13/2021 | US Equity | Common stocks | Small cap | Financials | | | 304,396,200 | USD | Analyze
|
GOGN+ | GoGreen Investments Corporation Redeemable Warrant exercisable for one share at $11.50 per share | | 12/13/2021 | US Equity | Warrants | Shell Companies | Financials | | | 304,396,200 | USD | Analyze
|
GOGN= | GoGreen Investments Corp - Units (1 Ord Share Class A & 1/2 War) | | 10/21/2021 | US Equity | Units | Small cap | Financials | | | 304,396,200 | USD | Analyze
|
GOL | Gol Linhas ADRs of preferred shares | | 06/24/2004 | US Equity | ADRs | Small cap | Industrials | US38045R2067 | BYNNSR6 | 382,306,104 | USD | Analyze
|
GOLD | Barrick Gold Corporation | | 07/11/2002 | US Equity | Common stocks | Large cap | Materials | CA0679011084 | | 32,122,898,796 | USD | Analyze
|
GOLF | Acushnet Holdings Corp | | 10/28/2016 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US0050981085 | BD3WG50 | 3,355,993,054 | USD | Analyze
|
GOOS | Canada Goose Holdings Inc. Subordinate Voting Shares | | 03/16/2017 | US Equity | Common stocks | Small cap | Consumer Discretionary | CA1350861060 | BF0B2F6 | 970,433,506 | USD | Analyze
|
GOTU | GSX Techedu Inc. ADRs | | 06/06/2019 | US Equity | ADRs | Small cap | Consumer Discretionary | US36257Y1091 | BK1VBN1 | 1,073,862,400 | USD | Analyze
|
GPC | Genuine Parts | | 02/21/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US3724601055 | 2367480 | 21,725,413,050 | USD | Analyze
|
GPI | Group Automotive Inc | | 02/21/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US3989051095 | 2121352 | 2,895,179,693 | USD | Analyze
|
GPJA | Georgia Power Company Series 2017A 5.00% Junior Subordinated Notes due 2077 | | 09/25/2017 | US Equity | Exchange traded debt | Long-term | Utilities | US3733344408 | BZ60HT6 | 256,932,000 | USD | Analyze
|
GPK | Graphic Packaging Holding | | 02/21/2001 | US Equity | Common stocks | Mid cap | Materials | US3886891015 | B2Q8249 | 7,374,002,389 | USD | Analyze
|
GPMT | Granite Point Mortgage Trust Inc. | | 06/23/2017 | US Equity | Mortgage REITs | Micro cap | Financials | US38741L1070 | BF11FD4 | 254,757,778 | USD | Analyze
|
GPMT-A | Granite Point Mortgage Trust Inc. 7.00% Series A Fixed-to-Floating Rate Cumulative Preferred | | 11/23/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 83,160,000 | USD | Analyze
|
GPN | Global Payments Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Information Technology | US37940X1028 | 2712013 | 25,966,937,025 | USD | Analyze
|
GPOR | Gulfport Energy Corporation | | 01/16/1998 | US Equity | Common stocks | Small cap | Energy | US4026355028 | BND7X43 | 1,430,551,132 | USD | Analyze
|
GPRK | Geopark Ltd | | 08/29/2007 | US Equity | Common stocks | Small cap | Energy | | B244PB7 | 631,294,512 | USD | Analyze
|
GPS | Gap Inc | | 02/21/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US3647601083 | 2360326 | 3,237,311,737 | USD | Analyze
|
GRBK | Green Brick Partners Inc | | 06/14/2007 | US Equity | Common stocks | Small cap | Consumer Discretionary | US3927091013 | BS7T2R6 | 1,536,577,735 | USD | Analyze
|
GRBK-A | Green Brick Partners, Inc. ADRs of 5.75% Series A Cumulative Perpetual Preferred | | 12/29/2021 | US Equity | Preferred stocks | Non-convertible | Consumer Discretionary | | | 42,220,000 | USD | Analyze
|
GRC | Gorman-Rupp | | 08/03/2001 | US Equity | Common stocks | Small cap | Industrials | US3830821043 | 2379281 | 624,613,045 | USD | Analyze
|
GRMN | Garmin Ltd | | 02/16/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | CH0114405324 | B3Z5T14 | 18,196,373,143 | USD | Analyze
|
GRND | Grindr Inc. | | 01/14/2021 | US Equity | Common stocks | Small cap | Unknown | | | 1,098,068,602 | USD | Analyze
|
GRND+ | Grindr Inc. Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share | | 11/18/2022 | US Equity | Warrants | | Unknown | | | 1,098,068,602 | USD | Analyze
|
GRNT | Granite Ridge Resources, Inc. | | 11/06/2020 | US Equity | Common stocks | Small cap | Unknown | | | 662,801,950 | USD | Analyze
|
GRNT+ | Granite Ridge Resources, Inc. Warrants to purchase Common Stock, each whole warrant exercisable for one share of common stock at an exercise price of $11.50 per share | | 10/23/2022 | US Equity | Warrants | | Unknown | | | 662,801,950 | USD | Analyze
|
GROV | Grove Collaborative Holdings, Inc. Class A | | 05/13/2021 | US Equity | Common stocks | Micro cap | Unknown | | | 51,493,164 | USD | Analyze
|
GROV+ | Grove Collaborative Holdings, Inc. Redeemable Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 06/17/2022 | US Equity | Warrants | | Unknown | | | 51,493,164 | USD | Analyze
|
GRP= | Granite Real Estate Inc. Stapled Units Each Consisting Of One Unit Of Trust And One Common Share Of Granite Reit Inc. | | 09/02/2003 | US Equity | Units | Mid cap | Real Estate | | | 3,765,774,087 | USD | Analyze
|
GS | Goldman Sachs Group Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Financials | US38141G1040 | 2407966 | 105,095,298,447 | USD | Analyze
|
GS-A | Goldman Sachs ADRs of Floating Rate Non-Cumulative Preferred Series A | | 04/25/2005 | US Equity | Preferred stocks | Non-convertible | Financials | US38143Y6656 | B07GC93 | 520,800,000 | USD | Analyze
|
GSBD | Goldman Sachs BDC Inc | | 03/18/2015 | US Equity | BDCs | Small cap | Financials | | BWC8Y36 | 1,413,683,967 | USD | Analyze
|
GS-C | Goldman Sachs ADRs of Floating Rate Non-Cumulative Preferred Series C | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US38144X6094 | B0N0V47 | 158,240,000 | USD | Analyze
|
GS-D | Goldman Sachs ADRs of Floating Rate Non-Cumulative Preferred, Series D | | 02/11/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US38144G8042 | B15CKS5 | 578,100,000 | USD | Analyze
|
GS-J | Goldman Sachs ADRs of 5.50% Fixed-to-Floating Rate Non-Cumulative Preferred, Series J | | 04/22/2013 | US Equity | Preferred stocks | Non-convertible | Financials | US38145G3083 | B96KM33 | 982,400,000 | USD | Analyze
|
GSK | GlaxoSmithKline PLC ADRs | | 09/04/2001 | US Equity | ADRs | Large cap | Health Care | US37733W1053 | 2374112 | 72,111,783,971 | USD | Analyze
|
GS-K | Goldman Sachs ADRs of Fixed to Floating Rate Non Cumulative Series K Preferred | | 04/23/2014 | US Equity | Preferred stocks | Non-convertible | Financials | US38148B1089 | BLTV2N7 | 333,681,799 | USD | Analyze
|
GSK# | GSK plc American Depositary Shares (Each representing two Ordinary Shares) When-Issued | | 07/19/2022 | US Equity | ADRs | Unknown | Unknown | | | 0 | USD | Analyze
|
GSL | Global Ship Lease Inc New Class A | | 08/15/2008 | US Equity | Common stocks | Small cap | Industrials | | BJ5S5P1 | 674,020,396 | USD | Analyze
|
GSL-B | Global Ship Lease Inc. ADRs of 8.75% Cumulative Preferred Series B | | 08/25/2014 | US Equity | Preferred stocks | Non-convertible | Industrials | | | 35,301,000 | USD | Analyze
|
GSLD | Global Ship Lease, Inc. 8.00% Senior Notes due 2024 | | 11/22/2019 | US Equity | Exchange traded debt | Short-term | Industrials | | | 69,958,400 | USD | Analyze
|
GSQB | G Squared Ascend II Inc. Class A | | 08/05/2021 | US Equity | Common stocks | Micro cap | Financials | | | 129,169,669 | USD | Analyze
|
GSQB+ | G Squared Ascend II Inc. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 08/05/2021 | US Equity | Warrants | Shell Companies | Financials | | | 129,169,669 | USD | Analyze
|
GSQB= | G Squared Ascend II Inc - Units (1 Ord Share Class A & 1/3 War) | | 06/15/2021 | US Equity | Units | Micro cap | Financials | | | 129,169,669 | USD | Analyze
|
GSQD | G Squared Ascend I Inc. Class A | | 03/26/2021 | US Equity | Common stocks | Small cap | Financials | | | 331,571,545 | USD | Analyze
|
GSQD+ | G Squared Ascend I Inc. Redeemable Warrants, each whole warrant exercisable for one Class A Ordinary Share at an exercise price of $11.50 | | 03/26/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
GSQD= | G Squared Ascend I Inc - Units (1 Ord Share Class A & 1/5 War) | | 02/05/2021 | US Equity | Units | Small cap | Financials | | | 304,950,000 | USD | Analyze
|
GTES | Gates Industrial Corporation Plc | | 01/25/2018 | US Equity | Common stocks | Mid cap | Industrials | GB00BD9G2S12 | BD9G2S1 | 3,704,933,589 | USD | Analyze
|
GTLS | Chart Industries Inc | | 07/26/2006 | US Equity | Common stocks | Mid cap | Industrials | US16115Q3083 | B19HNF4 | 4,950,553,283 | USD | Analyze
|
GTLS-B | Chart Industries, Inc. Depositary Shares, each Representing a 1/20th Interest in a Share of 6.75% Series B Mandatory Convertible Preferred Stock | | 12/12/2022 | US Equity | Preferred stocks | Non-convertible | Unknown | | | 4,950,553,283 | USD | Analyze
|
GTN | Gray Television Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Communication Services | US3893751061 | 2390817 | 788,001,796 | USD | Analyze
|
GTN.A | Gray Television Inc. Class A | | 02/11/2013 | US Equity | Common stocks | Small cap | Communication Services | US3893752051 | 2383011 | 788,001,796 | USD | Analyze
|
GTY | Getty Realty Corp | | 02/21/2001 | US Equity | REITs | Small cap | Real Estate | US3742971092 | 2698146 | 1,584,270,503 | USD | Analyze
|
GUT-C | Gabelli Utility Trust 5.375% Series C Cumulative Preferred | | 06/02/2016 | US Equity | Preferred stocks | Non-convertible | Financials | | | 50,122,000 | USD | Analyze
|
GVA | Granite Construction Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Industrials | US3873281071 | 2381189 | 1,732,283,626 | USD | Analyze
|
GWH | ESS Tech, Inc. | | 10/11/2021 | US Equity | Common stocks | Micro cap | Industrials | | BP5F673 | 157,394,136 | USD | Analyze
|
GWH+ | ESS Tech, Inc. Warrant exercisable for one share at $11.50 per share | | 10/11/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 157,394,136 | USD | Analyze
|
GWRE | Guidewire Software Inc | | 01/25/2012 | US Equity | Common stocks | Mid cap | Information Technology | US40171V1008 | B7JYSG3 | 6,349,969,074 | USD | Analyze
|
GWW | W.W. Grainger Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Industrials | US3848021040 | 2380863 | 33,443,798,653 | USD | Analyze
|
GXO | GXO Logistics, Inc. | | 08/02/2021 | US Equity | Common stocks | Mid cap | Industrials | US36262G1013 | BNNTGF1 | 5,384,107,513 | USD | Analyze
|
H | Hyatt Hotels Corp Class A | | 11/05/2009 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US4485791028 | B5B82X4 | 5,037,316,100 | USD | Analyze
|
HAE | Haemonetics Corp | | 02/21/2001 | US Equity | Common stocks | Mid cap | Health Care | US4050241003 | 2401195 | 3,838,047,474 | USD | Analyze
|
HAL | Halliburton | | 02/21/2001 | US Equity | Common stocks | Large cap | Energy | US4062161017 | 2405302 | 26,599,223,551 | USD | Analyze
|
HASI | Hannon Armstrong Sustainable Infrastructure Capital | | 04/18/2013 | US Equity | Mortgage REITs | Mid cap | Financials | US41068X1000 | B9HHD96 | 2,308,028,740 | USD | Analyze
|
HAYW | Hayward Holdings, Inc. | | 03/12/2021 | US Equity | Common stocks | Mid cap | Industrials | US4212981009 | BMFQC33 | 2,343,107,003 | USD | Analyze
|
HBB | Hamilton Beach Brands Holding Company | | 09/26/2017 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US40701T1043 | BF22688 | 99,763,094 | USD | Analyze
|
HBI | Hanesbrands Inc | | 08/16/2006 | US Equity | Common stocks | Small cap | Consumer Discretionary | US4103451021 | B1BJSL9 | 1,712,345,592 | USD | Analyze
|
HBM | Hudbay Minerals Inc | | 10/25/2010 | US Equity | Common stocks | Small cap | Consumer Discretionary | CA4436281022 | B05BDX1 | 1,281,305,580 | USD | Analyze
|
HCA | HCA Healthcare, Inc. | | 03/10/2011 | US Equity | Common stocks | Large cap | Health Care | US40412C1018 | B4MGBG6 | 70,081,642,967 | USD | Analyze
|
HCC | Warrior Met Coal Inc | | 02/11/2013 | US Equity | Common stocks | Small cap | Materials | US93627C1018 | BF2X272 | 1,734,349,237 | USD | Analyze
|
HCI | HCI Group Inc | | 12/31/2012 | US Equity | Common stocks | Small cap | Financials | US40416E1038 | BBN23F5 | 458,299,300 | USD | Analyze
|
HCXY | Hercules Capital, Inc. 6.25% Notes due 2033 | | 09/27/2018 | US Equity | Exchange traded debt | Long-term | Financials | US4270968476 | | 44,025,680 | USD | Analyze
|
HD | Home Depot Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Consumer Discretionary | US4370761029 | 2434209 | 288,156,017,708 | USD | Analyze
|
HDB | HDFC Bank Ltd ADRs | | 07/20/2001 | US Equity | ADRs | Large cap | Financials | US40415F1012 | 2781648 | 117,939,043,716 | USD | Analyze
|
HE | Hawaiian Electric Industries Inc | | 02/21/2001 | US Equity | Common stocks | Mid cap | Utilities | US4198701009 | 2415204 | 3,954,139,620 | USD | Analyze
|
HEI | Heico Corp | | 02/21/2001 | US Equity | Common stocks | Large cap | Industrials | US4228061093 | 2419217 | 19,787,385,776 | USD | Analyze
|
HEI.A | Heico Corporation Class A | | 02/21/2001 | US Equity | Common stocks | Large cap | Industrials | US4228062083 | 2237561 | 19,787,385,776 | USD | Analyze
|
HEP | Holly Energy Partners LP | | 07/08/2004 | US Equity | MLPs | Mid cap | Energy | US4357631070 | B00N3V0 | 2,152,012,221 | USD | Analyze
|
HES | Hess Corp | | 02/21/2001 | US Equity | Common stocks | Large cap | Energy | US42809H1077 | 2023748 | 36,913,111,917 | USD | Analyze
|
HESM | Hess Midstream Partners LP | | 04/05/2017 | US Equity | MLPs | Small cap | Energy | US4281041032 | BD8ZKJ6 | 1,177,956,187 | USD | Analyze
|
HFRO-A | Highland Income Fund 5.375% Series A Cumulative Preferred Shares | | 08/05/2019 | US Equity | Preferred stocks | Non-convertible | Financials | | | 121,068,000 | USD | Analyze
|
HGTY | Hagerty, Inc. Class A | | 06/01/2021 | US Equity | Common stocks | Small cap | Financials | US4051661092 | BP2RPZ3 | 696,481,050 | USD | Analyze
|
HGTY+ | Hagerty, Inc. Warrants, each whole warrant entitles the holder thereof to purchase one share of Class A common stock at a price of $11.50 per share | | 12/03/2021 | US Equity | Warrants | Operating Companies | Financials | | | 696,481,050 | USD | Analyze
|
HGV | Hilton Grand Vacations Inc | | 12/14/2016 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US43283X1054 | BYSLHX4 | 4,755,525,744 | USD | Analyze
|
HHC | Howard Hughes Corp | | 11/05/2010 | US Equity | Common stocks | Mid cap | Real Estate | US44267D1072 | B5VR4H9 | 3,732,151,239 | USD | Analyze
|
HHLA | HH&L Acquisition Co. Class A | | 03/29/2021 | US Equity | Common stocks | Small cap | Financials | | | 426,420,000 | USD | Analyze
|
HHLA+ | HH&L Acquisition Co. Redeemable warrants, each warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 03/29/2021 | US Equity | Warrants | Shell Companies | Financials | | | 426,420,000 | USD | Analyze
|
HHLA= | HH&L Acquisition Co - Units (1 Ord Class A & 1/2 War) | | 02/05/2021 | US Equity | Units | Small cap | Financials | | | 370,440,000 | USD | Analyze
|
HI | Hillenbrand Inc | | 03/20/2008 | US Equity | Common stocks | Mid cap | Industrials | US4315711089 | B2QGDP1 | 3,051,384,155 | USD | Analyze
|
HIG | Hartford Financial Services Group | | 02/21/2001 | US Equity | Common stocks | Large cap | Financials | US4165151048 | 2476193 | 20,596,026,280 | USD | Analyze
|
HIGA | H.I.G. Acquisition Corp. Class A | | 12/11/2020 | US Equity | Common stocks | Small cap | Financials | | | 365,400,780 | USD | Analyze
|
HIGA+ | H.I.G. Acquisition Corp. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 12/11/2020 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
HIGA= | H.I.G. Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 10/21/2020 | US Equity | Units | Small cap | Financials | | | 365,400,780 | USD | Analyze
|
HIG-G | Hartford Financial Services ADRs of 6.000% Non-Cumulative Preferred Series G | | 10/30/2018 | US Equity | Preferred stocks | Non-convertible | Financials | US4165186036 | BF5J7D8 | 306,720,000 | USD | Analyze
|
HII | Huntington Ingalls Industries Inc | | 03/22/2011 | US Equity | Common stocks | Mid cap | Industrials | US4464131063 | B40SSC9 | 7,854,591,814 | USD | Analyze
|
HIL | Hill International Inc | | 07/07/2004 | US Equity | Common stocks | Micro cap | Industrials | US4314661012 | | 194,353,300 | USD | Analyze
|
HIMS | Hims & Hers Health, Inc. Class A | | 09/13/2019 | US Equity | Common stocks | Small cap | Health Care | US4330001060 | BN46048 | 1,882,778,122 | USD | Analyze
|
HIPO | Hippo Holdings Inc. | | 07/29/2021 | US Equity | Common stocks | Small cap | Financials | US4335391037 | BMHG0X7 | 347,016,274 | USD | Analyze
|
HIPO+ | Hippo Holdings Inc. Warrants | | 08/02/2021 | US Equity | Warrants | Operating Companies | Financials | | | 347,016,274 | USD | Analyze
|
HIW | Highwoods Properties, Inc | | 02/21/2001 | US Equity | REITs | Mid cap | Real Estate | US4312841087 | 2420640 | 2,085,279,206 | USD | Analyze
|
HKD | AMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares) | | 07/15/2022 | US Equity | ADRs | Micro cap | Unknown | | | 164,408,503 | USD | Analyze
|
HL | Hecla Mining | | 02/21/2001 | US Equity | Common stocks | Mid cap | Materials | US4227041062 | 2418601 | 3,561,837,383 | USD | Analyze
|
HL-B | Hecla Mining Company Series B Cumulative Convertible Preferred Stock | | 02/12/2013 | US Equity | Preferred stocks | Convertible | Materials | | | 8,916,604 | USD | Analyze
|
HLF | Herbalife Ltd | | 12/16/2004 | US Equity | Common stocks | Small cap | Consumer Staples | KYG4412G1010 | B0539H3 | 1,560,978,248 | USD | Analyze
|
HLGN | Heliogen, Inc. | | 05/07/2021 | US Equity | Common stocks | Micro cap | Industrials | | BNLZ8J9 | 40,202,884 | USD | Analyze
|
HLGN+ | Heliogen, Inc. Redeemable Warrants, exercisable for one share of Common Stock at an exercise price of $11.50 | | 12/31/2021 | US Equity | Warrants | Operating Companies | Industrials | | | 40,202,884 | USD | Analyze
|
HLI | Houlihan Lokey Inc Class A | | 08/13/2015 | US Equity | Common stocks | Mid cap | Financials | US4415931009 | BYQ3PM7 | 4,647,021,530 | USD | Analyze
|
HLIO | Helios Technologies, Inc. | | 06/17/2019 | US Equity | Common stocks | Mid cap | Industrials | US42328H1095 | BK8MDM0 | 2,067,752,020 | USD | Analyze
|
HLLY | Holley Inc. | | 11/27/2020 | US Equity | Common stocks | Micro cap | Consumer Discretionary | | BNT8W10 | 280,232,940 | USD | Analyze
|
HLLY+ | Holley Inc. Warrants | | 07/15/2021 | US Equity | Warrants | Operating Companies | Consumer Discretionary | | | 280,232,940 | USD | Analyze
|
HLN | Haleon plc American Depositary Shares (Each representing two Ordinary Shares) | | 07/18/2022 | US Equity | ADRs | Large cap | Consumer Staples | | | 38,646,691,487 | USD | Analyze
|
HLN# | Haleon plc American Depositary Shares (Each representing two Ordinary Shares) When-Issued | | 07/18/2022 | US Equity | ADRs | Unknown | Unknown | | | 0 | USD | Analyze
|
HLT | Hilton Worldwide Holdings Inc | | 12/12/2013 | US Equity | Common stocks | Large cap | Consumer Discretionary | US43300A2033 | BYVMW06 | 36,149,361,585 | USD | Analyze
|
HLX | Helix Energy Solutions Group Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Energy | US42330P1075 | 2037062 | 1,116,809,714 | USD | Analyze
|
HMA | Heartland Media Acquisition Corp. Class A | | 03/13/2022 | US Equity | Common stocks | Micro cap | Financials | | | 200,360,552 | USD | Analyze
|
HMA+ | Heartland Media Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 03/14/2022 | US Equity | Warrants | Shell Companies | Financials | | | 200,360,552 | USD | Analyze
|
HMA= | Heartland Media Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 01/21/2022 | US Equity | Units | Micro cap | Financials | | | 200,360,552 | USD | Analyze
|
HMC | Honda Motor Co Ltd ADRs | | 09/04/2001 | US Equity | ADRs | Large cap | Consumer Discretionary | US4381283088 | 2435279 | 46,445,024,945 | USD | Analyze
|
HMLP | Hoegh LNG Partners LP | | 08/07/2014 | US Equity | MLPs | Micro cap | Energy | MHY3262R1009 | BPPWW87 | 224,600,288 | USD | Analyze
|
HMLP-A | Hoegh LNG Partners LP 8.75% Series A Cumulative Preferred Units | | 09/29/2017 | US Equity | Preferred stocks | Non-convertible | Energy | MHY3262R1181 | BF2H2G3 | 93,200,000 | USD | Analyze
|
HMN | Horace Mann Educators Corp | | 02/21/2001 | US Equity | Common stocks | Small cap | Financials | US4403271046 | 2437112 | 1,321,046,444 | USD | Analyze
|
HMY | Harmony Gold Mining Company Limited ADRs | | 09/04/2001 | US Equity | ADRs | Mid cap | Materials | US4132163001 | 2411202 | 2,459,926,449 | USD | Analyze
|
HNGR | Hanger, Inc. | | 09/12/2018 | US Equity | Common stocks | Small cap | Health Care | US41043F2083 | 2796653 | 732,387,540 | USD | Analyze
|
HNI | Hni Corp | | 02/21/2001 | US Equity | Common stocks | Small cap | Industrials | US4042511000 | 2435246 | 1,097,286,057 | USD | Analyze
|
HNP | Huaneng Power International Inc ADRs | | 09/04/2001 | US Equity | ADRs | Mid cap | Utilities | US4433041005 | | 2,527,631,195 | USD | Analyze
|
HOG | Harley Davidson Inc | | 02/21/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US4128221086 | 2411053 | 5,306,683,642 | USD | Analyze
|
HOMB | Home Bancshares Inc | | 06/23/2006 | US Equity | Common stocks | Mid cap | Financials | US4368932004 | B17MTL9 | 4,338,868,175 | USD | Analyze
|
HOUS | Anywhere Real Estate Inc., | | 10/11/2012 | US Equity | Common stocks | Small cap | Real Estate | US75605Y1064 | B5T0CW1 | 525,249,573 | USD | Analyze
|
HOV | Hovnanian Enterprises Inc Class A | | 09/07/1983 | US Equity | Common stocks | Small cap | Consumer Discretionary | US4424874018 | BJ5KPZ7 | 344,732,364 | USD | Analyze
|
HP | Helmerich & Payne Inc | | 02/21/2001 | US Equity | Common stocks | Mid cap | Energy | US4234521015 | 2420101 | 3,516,022,983 | USD | Analyze
|
HPE | Hewlett Packard Enterprise | | 10/19/2015 | US Equity | Common stocks | Large cap | Information Technology | US42824C1099 | BYVYWS0 | 18,492,050,744 | USD | Analyze
|
HPP | Hudson Pacific Properties, Inc | | 06/24/2010 | US Equity | REITs | Small cap | Real Estate | US4440971095 | B64B9P8 | 773,027,377 | USD | Analyze
|
HPP-C | Hudson Pacific Properties, Inc. 4.750% Series C Cumulative Preferred | | 11/08/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 325,600,000 | USD | Analyze
|
HPQ | HP Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Information Technology | US40434L1052 | BYX4D52 | 27,313,294,433 | USD | Analyze
|
HR | Healthcare Realty Trust Incorporated | | 02/21/2001 | US Equity | REITs | Mid cap | Real Estate | US42226K1051 | BPQWHP8 | 6,899,731,081 | USD | Analyze
|
HRB | H&R Block Inc | | 02/21/2001 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US0936711052 | 2105505 | 5,061,690,438 | USD | Analyze
|
HRI | Herc Holdings Inc | | 11/16/2006 | US Equity | Common stocks | Mid cap | Industrials | US42704L1044 | BZBZ020 | 3,168,888,972 | USD | Analyze
|
HRL | Hormel Foods Corp | | 02/21/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US4404521001 | 2437264 | 20,740,924,428 | USD | Analyze
|
HRT | HireRight Holdings Corp | | 01/03/2017 | US Equity | Common stocks | Small cap | Industrials | | BPBJRP4 | 825,163,581 | USD | Analyze
|
HRTG | Heritage Insurance Holdings Inc | | 05/23/2014 | US Equity | Common stocks | Micro cap | Financials | US42727J1025 | BMN9870 | 76,165,078 | USD | Analyze
|
HSBC | HSBC Holdings PLC ADRs | | 09/04/2001 | US Equity | ADRs | Large cap | Financials | US4042804066 | B0L5JR3 | 133,727,686,662 | USD | Analyze
|
HSC | Harsco Corp | | 02/21/2001 | US Equity | Common stocks | Small cap | Industrials | US4158641070 | 2412700 | 508,814,822 | USD | Analyze
|
HSY | Hershey Foods | | 02/21/2001 | US Equity | Common stocks | Large cap | Consumer Staples | US4278661081 | 2422806 | 50,035,418,400 | USD | Analyze
|
HT | Hersha Hospitality Trust | | 02/21/2001 | US Equity | REITs | Micro cap | Real Estate | US4278255009 | BYYTSK6 | 235,233,568 | USD | Analyze
|
HTA | Healthcare Trust of America, Inc | | 06/06/2012 | US Equity | REITs | Mid cap | Real Estate | US42225P5017 | BT9QF28 | 5,582,579,439 | USD | Analyze
|
HTAQ | Hunt Companies Acquisition Corp. I | | 12/30/2021 | US Equity | Common stocks | Micro cap | Financials | | | 234,370,000 | USD | Analyze
|
HTAQ+ | Hunt Companies Acquisition Corp. I Warrants, each exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 12/30/2021 | US Equity | Warrants | Shell Companies | Financials | | | 233,910,000 | USD | Analyze
|
HTAQ= | Hunt Companies Acquisition Corp I - Units (1 Ord Share Class A & 1/2 War) | | 11/09/2021 | US Equity | Units | Micro cap | Financials | | | 234,370,000 | USD | Analyze
|
HT-C | Hersha Hospitality 6.875% Series C Cumulative Preferred | | 03/08/2013 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 62,940,000 | USD | Analyze
|
HT-D | Hersha Hospitality 6.50% Series D Cumulative Preferred | | 06/02/2016 | US Equity | Preferred stocks | Non-convertible | Real Estate | US4278256098 | BDB4XB3 | 141,680,000 | USD | Analyze
|
HT-E | Hersha Hospitality 6.50% Series E Cumulative Preferred Shares | | 11/02/2016 | US Equity | Preferred stocks | Non-convertible | Real Estate | US4278257088 | BDS66H9 | 84,240,000 | USD | Analyze
|
HTFB | Horizon Technology Finance Corporation 4.875% Notes due 2026 | | 04/07/2021 | US Equity | Exchange traded debt | Short-term | Financials | | | 46,500,000 | USD | Analyze
|
HTFC | Horizon Technology Finance Corporation 6.25% Notes due 2027 | | 06/27/2022 | US Equity | Exchange traded debt | Unknown | Unknown | | | 319,454,101 | USD | Analyze
|
HTGC | Hercules Capital Inc. | | 06/09/2005 | US Equity | BDCs | Small cap | Financials | | B07LT08 | 1,662,330,797 | USD | Analyze
|
HTH | Hilltop Holdings Inc | | 02/12/2004 | US Equity | Common stocks | Small cap | Financials | US4327481010 | 2365428 | 1,842,526,900 | USD | Analyze
|
HTPA | Highland Transcend Partners I Corp. Class A | | 01/25/2021 | US Equity | Common stocks | Micro cap | Financials | | | 276,375,000 | USD | Analyze
|
HTPA+ | Highland Transcend Partners I Corp. Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 01/25/2021 | US Equity | Warrants | Shell Companies | Financials | | | 301,503,000 | USD | Analyze
|
HTPA= | Highland Transcend Partners I Corp - Units (1 Ord Share Class A & 1/3 War) | | 12/03/2020 | US Equity | Units | Micro cap | Financials | | | 276,512,500 | USD | Analyze
|
HUBB | Hubbell Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Industrials | US4435106079 | BDFG6S3 | 12,410,904,977 | USD | Analyze
|
HUBS | Hubspot Inc | | 10/09/2014 | US Equity | Common stocks | Large cap | Information Technology | US4435731009 | BR4T3B3 | 19,619,092,048 | USD | Analyze
|
HUGS | USHG Acquisition Corp. Class A | | 04/19/2021 | US Equity | Common stocks | Micro cap | Financials | | | 288,937,500 | USD | Analyze
|
HUGS+ | USHG Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 0 | USD | Analyze
|
HUGS= | USHG Acquisition Corp - Units (1 Ord Share Class A & 1/3 War) | | 02/25/2021 | US Equity | Units | Micro cap | Financials | | | 250,000,000 | USD | Analyze
|
HUM | Humana Inc | | 02/21/2001 | US Equity | Common stocks | Large cap | Health Care | US4448591028 | 2445063 | 61,406,290,838 | USD | Analyze
|
HUN | Huntsman Corp | | 02/11/2005 | US Equity | Common stocks | Mid cap | Materials | US4470111075 | B0650B9 | 4,898,562,617 | USD | Analyze
|
HUYA | HUYA Inc. ADRs of Class A | | 05/11/2018 | US Equity | ADRs | Small cap | Communication Services | US44852D1081 | BF4NQP6 | 309,187,660 | USD | Analyze
|
HVT | Haverty Furniture Companies Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US4195961010 | 2414245 | 500,124,780 | USD | Analyze
|
HVT.A | Haverty Furniture Companies Inc Class A | | 02/13/2013 | US Equity | Common stocks | Small cap | Consumer Discretionary | | | 500,124,780 | USD | Analyze
|
HWKZ | Hawks Acquisition Corp | | 11/29/2021 | US Equity | Common stocks | Micro cap | Financials | | | 233,910,000 | USD | Analyze
|
HWKZ+ | Hawks Acquisition Corp Public warrants, each whole public warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share | | 11/29/2021 | US Equity | Warrants | Shell Companies | Financials | | | 233,910,000 | USD | Analyze
|
HWKZ= | Hawks Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 10/08/2021 | US Equity | Units | Micro cap | Financials | | | 233,910,000 | USD | Analyze
|
HWM | Howmet Aerospace Inc. | | 03/17/1980 | US Equity | Common stocks | Large cap | Industrials | US4432011082 | BKLJ8V2 | 16,569,647,983 | USD | Analyze
|
HXL | Hexcel Corp | | 02/21/2001 | US Equity | Common stocks | Mid cap | Industrials | US4282911084 | 2416779 | 5,638,656,064 | USD | Analyze
|
HY | Hyster Yale Materials Handling Inc | | 09/28/2012 | US Equity | Common stocks | Small cap | Industrials | US4491721050 | B7LG306 | 621,721,686 | USD | Analyze
|
HYLN | Hyliion Holdings Corp. Class A | | 04/22/2019 | US Equity | Common stocks | Small cap | Industrials | US4491091074 | BLF8447 | 394,171,313 | USD | Analyze
|
HZN | Horizon Global Corp | | 06/23/2015 | US Equity | Common stocks | Micro cap | Consumer Discretionary | US44052W1045 | | 48,809,661 | USD | Analyze
|
HZO | Marinemax Inc | | 02/21/2001 | US Equity | Common stocks | Small cap | Consumer Discretionary | US5679081084 | 2250353 | 595,727,664 | USD | Analyze
|
IAA | IAA, Inc. | | 05/22/2008 | US Equity | Common stocks | Mid cap | Industrials | US4492531037 | BJF8Q81 | 5,513,641,624 | USD | Analyze
|
IACC | ION Acquisition Corp 3 Ltd. Class A | | 04/30/2021 | US Equity | Common stocks | Micro cap | Financials | | | 261,602,240 | USD | Analyze
|
IAG | Iamgold Corp | | 12/02/2002 | US Equity | Common stocks | Small cap | Financials | CA4509131088 | 2149525 | 1,216,597,800 | USD | Analyze
|
IBA | Industrias Bachoco ADRs | | 09/04/2001 | US Equity | ADRs | Mid cap | Consumer Staples | US4564631087 | | 2,924,000,000 | USD | Analyze
|
IBER | Ibere Pharmaceuticals Class A | | 04/19/2021 | US Equity | Common stocks | Micro cap | Financials | | | 140,760,000 | USD | Analyze
|
IBER+ | Ibere Pharmaceuticals Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share | | 04/19/2021 | US Equity | Warrants | Shell Companies | Financials | | | 140,760,000 | USD | Analyze
|
IBER= | Ibere Pharmaceuticals - Units (1 Ord Class A & 1/2 War) | | 02/26/2021 | US Equity | Units | Micro cap | Financials | | | 121,920,000 | USD | Analyze
|
IBM | International Business Machines Co | | 02/21/2001 | US Equity | Common stocks | Large cap | Information Technology | US4592001014 | 2005973 | 111,909,619,229 | USD | Analyze
|
IBN | ICICI Bank Ltd ADRs | | 09/04/2001 | US Equity | ADRs | Large cap | Financials | US45104G1040 | 2569286 | 72,462,263,616 | USD | Analyze
|
IBP | Installed Building Products Inc | | 02/13/2014 | US Equity | Common stocks | Mid cap | Consumer Discretionary | US45780R1014 | BJSP4C9 | 2,999,062,338 | USD | Analyze
|
ICD | Independence Contract Drilling Inc | | 08/08/2014 | US Equity | Common stocks | Micro cap | Energy | US4534156066 | | 40,514,447 | USD | Analyze
|
ICE | Intercontinental Exchange Inc | | 11/16/2005 | US Equity | Common stocks | Large cap | Financials | US45866F1049 | BFSSDS9 | 53,945,910,969 | USD | Analyze
|
ICL | Israel Chemicals Limited | | 09/02/2004 | US Equity | Common stocks | Mid cap | Materials | IL0002810146 | B020267 | 8,611,799,354 | USD | Analyze
|
ICNC | Iconic Sports Acquisition Corp. Class A | | 12/13/2021 | US Equity | Common stocks | Small cap | Financials | | | 362,595,000 | USD | Analyze
|
ICNC+ | Iconic Sports Acquisition Corp. Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 12/13/2021 | US Equity | Warrants | Shell Companies | Financials | | | 362,595,000 | USD | Analyze
|
ICNC= | Iconic Sports Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 10/22/2021 | US Equity | Units | Small cap | Financials | | | 362,595,000 | USD | Analyze
|
ICR-A | InPoint Commercial Real Estate Income, Inc. 6.75% Series A Cumulative Preferred | | 09/20/2021 | US Equity | Preferred stocks | Non-convertible | Financials | | | 68,250,000 | USD | Analyze
|
IDA | IDACORP, Inc. | | 02/21/2001 | US Equity | Common stocks | Mid cap | Utilities | US4511071064 | 2296937 | 5,148,548,702 | USD | Analyze
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IDT | Idt Corp Class B | | 05/16/2001 | US Equity | Common stocks | Small cap | Communication Services | US4489475073 | 2757304 | 785,403,557 | USD | Analyze
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IEX | IDEX Corp | | 02/21/2001 | US Equity | Common stocks | Large cap | Industrials | US45167R1041 | 2456612 | 16,462,967,600 | USD | Analyze
|
IFF | International Flavors & Fragrances | | 02/21/2001 | US Equity | Common stocks | Large cap | Materials | US4595061015 | 2464165 | 21,300,203,486 | USD | Analyze
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IFIN | InFinT Acquisition Corporation Class A | | 01/10/2022 | US Equity | Common stocks | Micro cap | Financials | | | 101,211,560 | USD | Analyze
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IFIN+ | InFinT Acquisition Corporation Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per whole share | | 01/10/2022 | US Equity | Warrants | Shell Companies | Financials | | | 101,211,560 | USD | Analyze
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IFIN= | InFinT Acquisition Corporation - Units (1 Ord Class A & 1/2 War) | | 11/19/2021 | US Equity | Units | Micro cap | Financials | | | 101,211,560 | USD | Analyze
|
IFS | Intercorp Financial Services Inc. | | 05/07/2004 | US Equity | Common stocks | Mid cap | Financials | PAL2400671A3 | BK8WRM8 | 2,620,662,904 | USD | Analyze
|
IGT | International Game Technology Plc | | 02/11/2013 | US Equity | Common stocks | Mid cap | Consumer Discretionary | GB00BVG7F061 | BVG7F06 | 4,967,018,780 | USD | Analyze
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IH | iHuman Inc. ADRs of Class A | | 10/09/2020 | US Equity | ADRs | Micro cap | Consumer Discretionary | | | 70,358,743 | USD | Analyze
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IHG | InterContinental Hotels Group PLC ADRs | | 04/08/2003 | US Equity | ADRs | Large cap | Consumer Discretionary | US45857P7078 | BDSHKC5 | 11,400,803,299 | USD | Analyze
|
IHS | IHS Holding Ltd | | 10/14/2021 | US Equity | Common stocks | Mid cap | Communication Services | | | 2,334,081,376 | USD | Analyze
|
IIIN | Insteel Industries Inc | | 07/01/2004 | US Equity | Common stocks | Small cap | Industrials | US45774W1080 | 2325875 | 516,817,135 | USD | Analyze
|
IIPR | Innovative Industrial Properties, Inc | | 12/01/2016 | US Equity | REITs | Mid cap | Real Estate | US45781V1017 | BD0NN55 | 2,075,847,490 | USD | Analyze
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IIPR-A | Innovative Industrial Properties 9.00% Series A Cumulative Preferred | | 10/24/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 15,678,000 | USD | Analyze
|
IIVI | Ii Vi Inc | | 02/20/2001 | US Equity | Common stocks | Mid cap | Information Technology | US9021041085 | 2452698 | 4,817,835,457 | USD | Analyze
|
IMAX | Imax Corp | | 02/20/2001 | US Equity | Common stocks | Small cap | Communication Services | CA45245E1097 | 2473859 | 970,917,925 | USD | Analyze
|
IMPX | AEA-Bridges Impact Corp. Class A | | 11/23/2020 | US Equity | Common stocks | Small cap | Financials | | | 375,600,000 | USD | Analyze
|
IMPX+ | AEA-Bridges Impact Corp. Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 11/23/2020 | US Equity | Warrants | Shell Companies | Financials | | | 375,600,000 | USD | Analyze
|
IMPX= | AEA-Bridges Impact Corp - Units (1 Ord Class A & 1/2 War) | | 10/01/2020 | US Equity | Units | Small cap | Financials | | | 375,600,000 | USD | Analyze
|
INAQ | Insight Acquisition Corp. Class A | | 10/25/2021 | US Equity | Common stocks | Small cap | Financials | | | 306,900,000 | USD | Analyze
|
INAQ+ | Insight Acquisition Corp. Warrant exercisable for one share at $11.50 per share | | 10/25/2021 | US Equity | Warrants | Shell Companies | Financials | | | 306,900,000 | USD | Analyze
|
INAQ= | Insight Acquisition Corp - Units (1 Ord Class A & 1/2 War) | | 09/02/2021 | US Equity | Units | Small cap | Financials | | | 306,900,000 | USD | Analyze
|
INFA | Informatica Inc. | | 12/14/2018 | US Equity | Common stocks | Mid cap | Information Technology | | BMG95P4 | 3,908,705,516 | USD | Analyze
|
INFY | Infosys Ltd ADRs | | 08/31/2001 | US Equity | ADRs | Large cap | Information Technology | US4567881085 | 2398822 | 70,261,267,145 | USD | Analyze
|
ING | ING Groep NV ADRs | | 09/04/2001 | US Equity | ADRs | Large cap | Information Technology | AU000000ING6 | BZCNHW2 | 42,668,936,987 | USD | Analyze
|
INGR | Ingredion Inc | | 01/02/2003 | US Equity | Common stocks | Mid cap | Consumer Staples | US4571871023 | B7K24P7 | 6,464,879,596 | USD | Analyze
|
INN | Summit Hotel Properties, Inc | | 02/09/2011 | US Equity | REITs | Small cap | Real Estate | US8660821005 | B3M7R64 | 679,894,023 | USD | Analyze
|
INN-E | Summit Hotel 6.250% Series E Cumulative Preferred Stock | | 11/03/2017 | US Equity | Preferred stocks | Non-convertible | Real Estate | US8660826053 | BF2DPX9 | 130,240,000 | USD | Analyze
|
INN-F | Summit Hotel Properties, Inc. 5.875% Series F Cumulative Preferred | | 08/06/2021 | US Equity | Preferred stocks | Non-convertible | Real Estate | | | 76,960,000 | USD | Analyze
|
INSP | Inspire Medical Systems Inc | | 05/03/2018 | US Equity | Common stocks | Mid cap | Health Care | US4577301090 | BDT5KT5 | 6,852,347,285 | USD | Analyze
|
INST | Instructure Holdings, Inc. | | 12/17/2019 | US Equity | Common stocks | Mid cap | Information Technology | US4577901030 | BNXH3T8 | 3,561,493,634 | USD | Analyze
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INSW | International Seaways Inc | | 11/16/2016 | US Equity | Common stocks | Mid cap | Energy | MHY410531021 | BYX60M4 | 2,093,552,022 | USD | Analyze
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INSW-A | International Seaways, Inc. 8.50% Senior Notes due 2023 | | 12/31/1969 | US Equity | Exchange traded debt | Short-term | Energy | | | 25,200,000 | USD | Analyze
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INT | World Fuel Services Corp | | 02/22/2001 | US Equity | Common stocks | Small cap | Energy | US9814751064 | 2469450 | 1,472,263,352 | USD | Analyze
|
INVH | Invitation Homes Inc | | 02/01/2017 | US Equity | REITs | Large cap | Real Estate | US46187W1071 | BD81GW9 | 17,535,280,673 | USD | Analyze
|
IONQ | IonQ, Inc. | | 01/04/2021 | US Equity | Common stocks | Small cap | Information Technology | | BP484B3 | 964,164,658 | USD | Analyze
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IONQ+ | IonQ, Inc. Redeemable warrants, each whole warrant exercisable for one share of Common Stock, each at an exercise price of $11.50 per share | | 09/27/2021 | US Equity | Warrants | Operating Companies | Information Technology | | | 964,164,658 | USD | Analyze
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IOT | Samsara Inc. | | 05/29/2003 | US Equity | Common stocks | Mid cap | Information Technology | | BPK3058 | 2,473,851,519 | USD | Analyze
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IP | International Paper | | 02/22/2001 | US Equity | Common stocks | Large cap | Materials | US4601461035 | 2465254 | 11,941,377,554 | USD | Analyze
|
IPG | Interpublic Group Of Companies Inc | | 02/22/2001 | US Equity | Common stocks | Large cap | Communication Services | US4606901001 | 2466321 | 13,490,324,097 | USD | Analyze
|
IPI | Intrepid Potash Inc | | 04/22/2008 | US Equity | Common stocks | Small cap | Materials | US46121Y2019 | BMDNMT2 | 337,027,810 | USD | Analyze
|
IPOD | Social Capital Hedosophia Holdings Corp. IV Class A | | 11/30/2020 | US Equity | Common stocks | Small cap | Financials | | | 461,380,000 | USD | Analyze
|
IPOD+ | Social Capital Hedosophia Holdings Corp. IV Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 11/30/2020 | US Equity | Warrants | Shell Companies | Financials | | | 461,380,000 | USD | Analyze
|
IPOD= | Social Capital Hedosophia Holdings Corp IV - Units (1 Ord Share Class A & 1/4 War) | | 10/09/2020 | US Equity | Units | Small cap | Financials | | | 461,380,000 | USD | Analyze
|
IPOF | Social Capital Hedosophia Holdings Corp. VI Class A | | 11/30/2020 | US Equity | Common stocks | Small cap | Financials | | | 1,153,450,000 | USD | Analyze
|
IPOF+ | Social Capital Hedosophia Holdings Corp. VI Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 | | 11/30/2020 | US Equity | Warrants | Shell Companies | Financials | | | 1,148,850,000 | USD | Analyze
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IPOF= | Social Capital Hedosophia Holdings Corp VI - Units (1 Ord Share Class A & 1/4 War) | | 10/09/2020 | US Equity | Units | Small cap | Financials | | | 1,153,450,000 | USD | Analyze
|
IPVA | InterPrivate II Acquisition Corp. Class A | | 04/25/2021 | US Equity | Common stocks | Micro cap | Financials | | | 229,851,125 | USD | Analyze
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IPVA+ | InterPrivate II Acquisition Corp. Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share | | 04/26/2021 | US Equity | Warrants | Shell Companies | Financials | | | 229,851,125 | USD | Analyze
|
IPVA= | InterPrivate II Acquisition Corp - Units (1 Ord Share Class A & 1/5 War) | | 03/05/2021 | US Equity | Units | Micro cap | Financials | | | 231,285,250 | USD | Analyze
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IQV | IQVIA Holdings, Inc. | | 05/09/2013 | US Equity | Common stocks | Large cap | Health Care | US46266C1053 | BDR73G1 | 34,994,547,104 | USD | Analyze
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IR | Ingersoll Rand Plc | | 02/22/2001 | US Equity | Common stocks | Large cap | Industrials | US45687V1061 | BL5GZ82 | 22,252,370,390 | USD | Analyze
|
IRM | Iron Mountain Incorporated | | 04/26/1999 | US Equity | REITs | Large cap | Real Estate | US46284V1017 | BVFTF03 | 14,410,993,834 | USD | Analyze
|
IRNT | IronNet, Inc. | | 03/23/2020 | US Equity | Common stocks | Micro cap | Information Technology | | BMBSNX0 | 35,322,839 | USD | Analyze
|
IRNT+ | IronNet, Inc. Redeemable Warrants, each whole warrant exercisable for shares of Class A Common Stock at an exercise price of $11.50 per share | | 08/26/2021 | US Equity | Warrants | Operating Companies | Information Technology | | | 35,322,839 | USD | Analyze
|
IRRX | Integrated Rail and Resources Acquisition Corp. | | 01/03/2022 | US Equity | Common stocks | Micro cap | Financials | | | 243,340,000 | USD | Analyze
|
IRRX+ | Integrated Rail and Resources Acquisition Corp. Redeemable warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 | | 01/03/2022 | US Equity | Warrants | Shell Companies | Financials | | | 243,340,000 | USD | Analyze
|
IRRX= | Integrated Rail and Resources Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | | 11/12/2021 | US Equity | Units | Micro cap | Financials | | | 243,340,000 | USD | Analyze
|
IRS | IRSA Inversiones y Representaciones ADRs | | 09/04/2001 | US Equity | ADRs | Small cap | Real Estate | US4500472042 | 2473020 | 431,396,347 | USD | Analyze
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IRS+ | IRSA Inversiones Y Representaciones S.A. Warrants to purchase Common Shares | | 05/27/2021 | US Equity | Warrants | Operating Companies | Real Estate | | | 431,396,347 | USD | Analyze
|
IRT | Independence Realty Trust, Inc | | 08/13/2013 | US Equity | REITs | Mid cap | Real Estate | US45378A1060 | BCRYTK1 | 3,314,786,317 | USD | Analyze
|
IS | ironSource Ltd. Class A | | 01/15/2021 | US Equity | Common stocks | Small cap | Information Technology | | BLFB3H2 | 1,862,826,864 | USD | Analyze
|
IT | Gartner Inc | | 02/22/2001 | US Equity | Common stocks | Large cap | Information Technology | US3666511072 | 2372763 | 24,393,355,981 | USD | Analyze
|
ITCB | Itau CorpBanca ADRs | | 11/03/2004 | US Equity | ADRs | Mid cap | Financials | US45033E1055 | BZ30DD5 | 2,258,561,461 | USD | Analyze
|
ITGR | Integer Holdings Corp | | 02/11/2013 | US Equity | Common stocks | Mid cap | Health Care | US45826H1095 | BD06LM7 | 2,508,993,793 | USD | Analyze
|
ITT | ITT Inc | | 02/11/2013 | US Equity | Common stocks | Mid cap | Industrials | US45073V1089 | BZBY209 | 6,709,451,000 | USD | Analyze
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ITUB | Itau Unibanco Holding SA ADRs of Preferred Shares | | 01/02/2003 | US Equity | ADRs | Large cap | Financials | US4655621062 | 2849739 | 20,982,508,802 | USD | Analyze
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ITW | Illinois Tool Inc | | 02/22/2001 | US Equity | Common stocks | Large cap | Industrials | US4523081093 | 2457552 | 70,556,159,650 | USD | Analyze
|
IVC | Invacare Corp | | 02/22/2001 | US Equity | Common stocks | Micro cap | Health Care | US4612031017 | 2467971 | 24,910,310 | USD | |