We will be doing required maintenance work on the server Sunday at 5PM PST. It is a significant Windows security system update and may take a few hours to complete. During that time the entire site will be unavailable. But we will be back in time for the night owls to strategize.     :^)

Thanks for your patience,
Scott Juds

Quality Stocks Momentum Screener

Best U.S. Stocks w/Dividends & Volume for Investment Strategies

See ETF Screener
 

Stock Screening SectorSurfer Style:

This stock screener doesn't directly generate a best stock "buy list". It qualifies stocks to participate as one of the dozen best stocks in a SectorSurfer Strategy. The Strategy's algorithm performs the final comparative analysis to determine which one, and only one, of them to own next month. Your job is to provide the algorithm with excellent stock selection alternatives. This stock screener is designed for U.S. stocks with > 3 years of data

The Stk. Rank column in the table below is a composite measure of trend quality, 3-yr excess return, 1-yr excess return, and the stock's volatility relative to the S&P500 market index. Stk. Rank should be your primary stock screening method to find the best stocks for your Strategies.  Additional technical analysis columns are provided to further help you select your top stock candidates. Please also review this material: Stocks vs. Sectors & Asset Classes.

HHow to Select the Best U.S. Stocks for Your Investment Strategies:

1) Don't use performance measures such as daily volume, P/E Ratio, and dividends that are poorly correlated to near term price performance and don't foretell next month's returns. Use Stk. Rank as your most important stock screening method.

2) Although Stk. Rank is already adjusted for relative volatility (a measure of the variability in results to expect), you may sleep better at night focusing on lower volatility U.S. stocks. Performance with peace of mind is not a bad thing.

3) Finally, select a set of quality stocks that aren't clones of one another to increase the likelihood that at least one will be doing well when the others are not. Stock from different market sectors have the best chance of having sequential periods of great performance...  one dies off but a stock in another sector takes off as markets rotate to its sector.
Stock Screener Strategy Examples 

This is not a stock buy-list. It's a ranking of stocks likely qualified to be in a Strategy. See above.

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Quality Stocks Screener

(See Parameter Definitions Below Table)

 

Total Stocks Listed: 4733

9/21/2020 3:06:57 AM

Download CSV Spreadsheet File

Symbol Company Name Stk. Rank TrendQual 3YrExcess 1YrExcess 1QtrExcess 1MoExcess Volatility 1YrRange
SP-CP S&P 500 US Market Index 0.0 34% 0% 0% 0% 0% 1.00 81%
A Agilent Technologies 64.3 55% 22% 18% 5% 3% 1.49 90%
AA ALCOA CORP -38.2 10% -103% -50% 9% -11% 2.86 45%
AACAY AAC Technologies Holdings Inc -166.2 -37% -99% -13% -10% -15% 2.81 28%
AAGIY AIA GROUP LTD 13.7 18% 7% -3% 5% 9% 1.61 78%
AAIGF AIA Group 6.7 17% 1% -7% 2% 6% 2.15 70%
AAL American Airlines -253.3 -29% -103% -63% -25% 6% 2.92 19%
AAMC Altisource Asset Mgmt -196.2 -98% -112% 96% 14% 4% 4.15 61%
AAN Aarons -53.1 -15% 15% -17% 26% 0% 2.48 66%
AAOI Applied Optoelectronics Inc -448.3 -169% -117% -16% -2% -20% 3.73 44%
AAON AAON 30.2 23% 44% 6% 0% -2% 1.91 84%
AAP Advance Auto Parts 23.7 35% 25% -9% -1% -3% 1.89 84%
AAPL Apple Inc 166.4 91% 148% 85% 15% -6% 1.71 66%
AAT American Assets Trust Inc -47.7 16% -65% -56% -17% 2% 1.57 15%
AAUKF Anglo American -41.0 -21% 17% 0% 8% 5% 1.76 79%
AAV Advantage Oil & Gas Ltd -270.3 -72% -112% -26% 6% -16% 3.67 42%
AAWW Atlas Air Worldwide Holdings 92.1 47% -40% 139% 43% 6% 2.74 100%
AAXN Axon Enterprise 80.8 49% 236% 20% -16% 4% 2.67 61%
AB AllianceBernstein Holding LP 15.6 22% 17% -7% -1% -1% 1.76 71%
ABB Abb Ltd ADR -9.4 -5% -14% 24% 14% 0% 1.35 95%
ABBV AbbVie Inc 63.3 64% -11% 22% -13% -5% 1.60 72%
ABC Amerisource Bergen -8.8 -4% -6% 6% -12% -3% 1.80 76%
ABCB Ameris Bancorp -267.7 -57% -78% -50% -10% -6% 2.17 18%
ABEO Abeona Therapeutics Inc -18.2 32% -120% -46% -41% -21% 4.98 18%
ABEV Ambev SA ADR -334.4 -78% -94% -58% -15% 4% 2.10 16%
ABG Asbury Automotive 6.6 11% 36% -13% 24% -7% 2.23 70%
ABLZF ABB -36.2 -18% -7% 28% 15% 1% 1.31 98%
ABM ABM Industries -93.1 -36% -28% -2% -6% 7% 1.93 93%
ABMD Abiomed 57.6 58% 35% 27% -4% -14% 2.37 72%
ABR Arbor Realty Trust 21.6 14% 73% -7% 27% 11% 1.90 82%
ABT Abbott Laboratories 82.1 51% 83% 20% 11% 8% 1.42 91%
ABTX Allegiance Bancshares Inc -206.1 -46% -60% -37% -5% 0% 1.88 21%
ABUS Arbutus Biopharma Corp -70.5 -35% -77% 86% 57% -7% 5.26 43%
AC Associated Capital Group Inc Shs -A 11.1 35% -25% -9% -2% 0% 2.26 30%
ACAD Acadia Pharmaceuticals 2.3 20% -18% -9% -26% 11% 3.36 42%
ACB Aurora Cannabis -279.4 -4% -108% -100% -58% -32% 5.01 1%
ACBI Atlantic Capital Bancshares Inc -350.8 -109% -65% -44% -10% 9% 1.91 23%
ACC American Campus Communities -218.3 -63% -51% -29% -7% 18% 1.59 57%
ACCO ACCO Brands Corp -241.6 -52% -76% -44% -12% -7% 2.23 37%
ACCYY Accor -189.3 -25% -71% -46% -8% 5% 1.68 24%
ACDVF Air Canada -221.5 -22% -62% -68% -6% 11% 2.53 17%
ACEL Accel Entertainment-A -101.1 -51% 11% 26% 32% 32% 1.14 94%
ACER Acer Therapeutics -184.0 -20% -110% -36% -26% -7% 4.68 30%
ACGBY Agricultural Bank China -106.8 -15% -48% -22% -20% -8% 1.19 5%
ACGL Arch Capital Group -159.3 -27% -41% -39% -7% -4% 1.56 28%
ACH Aluminum Corporation of China -213.9 -31% -105% -41% 9% -12% 2.54 26%
ACHC Acadia Healthcare Company Inc -383.3 -150% -68% -19% 4% 0% 2.46 76%
ACIA Acacia Communications Inc 25.8 35% 17% -4% -7% 3% 1.83 94%
ACIU AC IMMUNE SA 26.3 22% -52% 57% 18% 31% 3.71 84%
ACIW ACI Worldwide -9.8 24% -22% -31% -13% -15% 1.92 24%
ACLS Axcelis Technologies Inc -41.5 -21% -41% 14% -27% -10% 2.81 51%
ACM AECOM -6.7 1% -16% -5% -3% 5% 1.74 57%
ACN Accenture PLC 40.4 18% 49% 13% 10% 2% 1.33 89%
ACNB ACNB -26.0 22% -47% -47% -17% 0% 2.14 11%
ACOPF The a2 Milk Co 76.9 45% 152% 31% -15% -7% 2.30 66%
ACOR Acorda Therapeutics -37.7 39% -130% -94% -43% -11% 4.26 3%
ACP Aberdeen Income Credit Strategies F -266.1 -103% -34% -19% 6% -5% 1.06 81%
ACRE Ares Commercial Real Estate Corp -191.3 -49% -29% -37% 9% 5% 1.81 50%
ACRS Aclaris Therapeutics Inc 13.9 5% -123% 72% 49% 4% 4.12 91%
ACRX AcelRx Pharmaceuticals -310.8 -79% -84% -48% 8% 12% 4.28 46%
ACSAY ACS Actividades -230.6 -46% -63% -49% -16% -5% 1.82 42%
ACTG Acacia Research -51.0 -25% -39% 32% -9% -3% 2.14 80%
ACV AllianzGI Diversified Income & Conv 41.5 30% 26% 9% 7% 0% 1.29 89%
ADAP Adaptimmune Therapeutics PLC ADR 167.5 14% -9% 486% -5% 18% 4.93 85%
ADBE Adobe 141.8 91% 168% 56% 2% 3% 1.86 76%
ADC Agree Realty 21.8 43% 8% -20% -11% -1% 1.41 54%
ADDYY Adidas AG -52.2 -26% 12% -1% 18% 8% 1.64 88%
ADI Analog Devices 4.8 12% 11% -9% -11% -1% 1.81 79%
ADM Archer-Daniels Midland -2.5 -1% -13% 10% 12% 10% 1.33 99%
ADMA ADMA Biologics -267.2 -48% -62% -65% -24% -14% 4.17 23%
ADMP Adamis Pharmaceuticals -361.0 -128% -119% -13% 15% -20% 4.76 35%
ADMS Adamas Pharmaceuticals Inc -175.7 -11% -110% -40% 62% -3% 3.90 51%
ADNT Adient PLC -222.2 -37% -111% -37% -8% 0% 3.65 48%
ADP Automatic Data Processing -2.2 20% 3% -23% -16% 0% 1.40 39%
ADRNY Koninklijke Ahold Delhaize NV 74.5 47% 54% 16% 11% -1% 1.16 93%
ADRO Aduro Biotech Inc -23.9 -12% -108% 116% 9% -7% 4.42 62%
ADS Alliance Data Systems -322.9 -51% -110% -74% -9% 3% 2.54 23%
ADSK Autodesk 77.5 60% 65% 36% -12% -5% 2.05 71%
ADSW Advanced Disposal Services -6.0 15% -9% -18% -10% 2% 0.76 10%
ADTN Adtran -385.3 -150% -82% -15% -11% -11% 2.23 70%
ADUS Addus HomeCare Corporation 62.8 39% 153% 10% -5% 1% 2.20 86%
ADVM Adverum Biotechnologies 66.9 20% 226% 90% -57% -3% 4.55 35%
ADVQ Indexfam NASDAQ Advances Index -9.0 0% -40% 9% -3% 8% 58.13 54%
ADX Adams Diversified Equity Fund 32.3 28% 14% -1% 0% 0% 0.97 82%
AE Adams Resources & Energy -180.9 -25% -71% -42% -31% -6% 2.41 20%
AEE Ameren 23.4 33% 8% -10% 4% -3% 1.23 65%
AEF Aberdeen Chile Fund -87.9 -18% -35% -14% 2% 0% 1.17 64%
AEG Aegon NV -190.4 -19% -82% -49% -15% -4% 1.95 26%
AEGN Aegion Corp Class A -170.4 -26% -64% -38% -5% -7% 2.22 27%
AEGOF Aegon -216.1 -35% -83% -45% -21% -10% 1.26 31%
AEIS Advanced Energy Industries -13.1 2% -57% -7% -18% -23% 2.58 51%
AEL Equity Investment Life Hld -164.7 -46% -52% -19% -13% -10% 2.52 46%
AEM Agnico-Eagle Mines -57.4 -29% 44% 32% 30% 2% 1.94 89%
AEO American Eagle Outfitters -6.0 12% -13% -19% 20% 29% 2.83 83%
AEP American Electric Power -4.6 22% -12% -23% -8% -1% 1.17 29%
AER AerCap Holdings NV -330.0 -76% -79% -63% -25% -12% 2.06 24%
AERI Aerie Pharmaceuticals Inc -228.9 -20% -112% -57% -29% -2% 3.15 12%
AES AES 47.3 35% 54% 12% 35% 8% 1.74 84%
AETUF Arc Resources Ltd -394.1 -161% -91% -6% 41% 1% 2.75 75%
AEXAY Atos -217.5 -94% -62% 6% -7% 1% 1.91 87%
AFB AllianceBernstein Nat Muni 17.6 24% -20% -4% -2% 3% 0.49 91%
AFG American Financial Group -212.8 -41% -57% -46% 0% 3% 1.64 31%
AFH Atlas Financial Holdings -514.2 -134% -132% -80% -96% -72% 4.60 1%
AFI Armstrong Flooring Inc -317.9 -76% -104% -48% 32% 30% 3.36 54%
AFL AFLAC -31.2 11% -35% -37% -3% 4% 1.37 45%
AFLYY Air France-KLM SA -526.3 -161% -106% -67% -22% -1% 2.53 5%
AFMD Affimed NV -290.7 -110% -88% -6% -9% -1% 4.06 72%
AFT Apollo Senior Floating Rate -128.4 -38% -33% -15% -1% 4% 0.69 68%
AG First Majestic Silver Corp -3.2 -2% 41% 9% 31% 5% 3.17 75%
AGCO AGCO -13.4 1% -25% -12% 32% 6% 1.88 89%
AGD Aberdeen Dividend -32.3 -6% -17% -4% 2% 2% 0.99 85%
AGEN Agenus -309.3 -155% -7% 60% 28% 22% 3.70 99%
AGESY Ageas -87.5 -5% -26% -30% 20% 3% 1.36 54%
AGFS AgroFresh Solutions Inc -205.0 -102% -90% 31% -14% 29% 3.42 79%
AGI Alamos Gold Inc 22.1 5% 0% 38% 11% -7% 2.88 73%
AGIO Agios Pharmaceuticals Inc -137.0 -40% -75% -4% -27% -2% 2.87 32%
AGLE Aeglea BioTherapeutics 13.7 38% 37% -18% -32% 16% 3.77 58%
AGM Federal Agricultural Mortgage -12.2 17% -23% -28% -9% -3% 2.13 56%
AGMA Federal Agricultural Mortgage Corp -136.9 -27% -32% -31% -6% -6% 1.67 51%
AGNC AGNC INVT CORP -305.1 -131% -37% -9% 8% 7% 1.15 60%
AGO Assured Guaranty -194.5 -2% -84% -67% -30% -16% 1.82 0%
AGR Avangrid Inc -74.7 -21% -16% -11% 14% 3% 1.29 70%
AGRO Adecoagro SA -395.3 -139% -84% -31% 0% 1% 2.07 27%
AGRX Agile Therapeutics -62.4 -31% -31% 212% 21% 32% 5.54 85%
AGTC Applied Genetic Technologies Corp -123.1 -62% 14% 42% -18% 1% 4.23 42%
AGX Argan Inc -313.9 -147% -52% 8% 2% 6% 2.08 86%
AGYS Agilysys 38.4 43% 107% -18% 27% 5% 2.16 53%
AHC A H Belo -349.2 -78% -89% -66% -25% -9% 2.19 8%
AHCHY Anhui Conch Cement Co 72.4 63% 75% 20% 1% -2% 1.98 78%
AHEXY Adecco SA -158.2 -60% -47% -4% 13% 10% 1.38 90%
AHH Armada Hoffler Properties Inc -43.5 12% -49% -55% 0% -1% 1.70 23%
AHKSF Asahi Kasei Corp 9.5 14% 57% -20% 8% 12% 1.67 41%
AHKSY Asahi Kasei Corp -228.3 -72% -60% -22% 4% 10% 1.62 55%
AHODF Koninklijke Ahold 27.8 6% 34% 9% 2% -3% 0.92 87%
AHOTF American Hotel Income -781.9 -288% -98% -70% -22% 2% 2.19 24%
AHT Ashford Hospitality Trust -451.6 -79% -129% -104% -83% -38% 3.78 1%
AI Arlington Asset Investment -589.8 -204% -101% -57% -10% -1% 2.06 21%
AIF Apollo Tactical Income -79.2 -12% -29% -18% 0% 5% 0.76 68%
AIG American International Group -270.6 -48% -81% -60% -18% -4% 1.94 26%
AIMC Altra Industrial Motion -228.7 -114% -46% 32% 20% 5% 2.45 92%
AIMT Aimmune Therapeutics Inc 23.0 1% 15% 42% 82% 160% 3.18 91%
AIN Albany International-A -31.5 10% -32% -47% -12% 8% 1.97 39%
AINC Ashford -297.9 -32% -119% -78% -34% 21% 3.90 10%
AINV Apollo Investment -301.3 -85% -58% -47% -16% 2% 1.58 37%
AIQUY Air Liquide 67.6 41% 36% 19% 9% 1% 1.15 96%
AIR AAR -342.4 -79% -77% -66% -14% 3% 2.55 25%
AIRG Airgain Inc 4.9 7% 13% -2% 25% -2% 2.86 89%
AIT Applied Industrial Technologies -86.6 -25% -35% -6% -14% -7% 1.91 64%
AIV Apartment Investment & Management-A -160.6 -22% -54% -40% -15% 1% 1.45 35%
AIVAF Aviva -353.4 -129% -64% -26% 3% 6% 1.25 51%
AIZ Assurant -51.5 -14% 4% -13% 6% -1% 1.47 67%
AJG Arthur J Gallagher & Company 77.4 60% 51% 8% 3% 0% 1.21 91%
AJMPF ASHMORE GROUP -19.0 8% -33% -33% -18% -11% 2.73 34%
AJRD Aerojet Rocketdyne Holdings Inc -8.4 20% 0% -33% -4% -5% 2.10 23%
AJX Great Ajax Corp -341.7 -114% -47% -41% 3% 5% 1.62 54%
AKAM Akamai Technologies 90.9 74% 97% 12% 1% 2% 1.59 73%
AKBA Akebia Therapeutics Inc -31.9 9% -116% -48% -83% -71% 3.92 2%
AKBTY Akbank Turk Anonim Sirketi -491.3 -150% -106% -60% -33% -7% 2.65 1%
AKCA Akcea Therapeutics -17.6 4% -57% -30% 10% 62% 4.06 63%
AKOA Embotelladora Andina SA ADR -156.6 -20% -77% -33% -13% -2% 2.07 38%
AKOB Embotelladora Andina SA ADR -240.8 -58% -77% -37% -26% 3% 2.28 33%
AKR Acadia Realty Trust -194.9 -1% -88% -67% -18% 2% 1.83 9%
AKRX AKORN -307.5 0% -132% -110% -97% -61% 5.58 0%
AKTS Akoustis Technologies -304.0 -137% -16% -9% -7% -5% 3.60 78%
AL Air Lease Corp -303.3 -98% -51% -37% -4% 5% 2.34 54%
ALB Albemarle -90.0 -45% -54% 36% 18% 8% 2.22 95%
ALBKF Alpha Bank -463.1 -122% -104% -75% -19% 5% 2.47 8%
ALBO Albireo Pharma -2.0 -1% 39% 56% 32% 43% 3.40 91%
ALCO Alico -87.5 -10% -37% -22% -7% -2% 1.68 48%
ALDX Aldeyra Therapeutics -32.9 -16% -51% 19% 57% 8% 3.97 91%
ALE Allete -55.4 0% -57% -47% -8% -2% 1.37 12%
ALEX Alexander & Baldwin Inc -278.5 -42% -94% -66% -22% -11% 1.91 13%
ALFVY Alfa Laval -114.2 -57% -26% 15% 5% -5% 1.70 83%
ALG Alamo Group -10.9 14% -25% -21% 1% -2% 1.81 56%
ALGN Align Technology -63.1 -32% 38% 68% 16% 8% 2.60 93%
ALGT Allegiant Travel -125.7 -36% -17% -21% 16% 17% 2.28 60%
ALIAF Alacer Gold 87.2 13% 258% 74% 13% 16% 2.98 87%
ALK Alaska Air Group -343.6 -101% -73% -46% 6% 16% 2.25 37%
ALKS Alkermes -244.7 -64% -98% -25% -9% 0% 2.50 57%
ALL Allstate -128.7 -31% -26% -24% -14% -1% 1.31 37%
ALLE Allegion PLC 3.9 14% -4% -8% -6% 4% 1.50 42%
ALLT Allot Ltd 60.4 56% 59% 13% -14% -11% 1.94 51%
ALLVF Altice -3.1 29% -111% 2% 2% 4% 2.41 46%
ALLY Ally Financial Inc -18.5 9% -12% -33% 28% 17% 2.05 65%
ALNY Alnylam Pharmaceuticals 40.0 14% 41% 46% -19% -2% 2.69 63%
ALOT AstroNova -21.4 45% -68% -59% 11% 8% 2.34 22%
ALPMF Astellas Pharma Inc -134.1 -47% -63% 1% -11% -6% 0.97 51%
ALPMY Astellas Pharma Inc 3.8 8% -12% 0% -13% -3% 1.45 49%
ALPN Alpine Immune Sciences -141.4 -71% -44% 98% -36% -10% 4.18 66%
ALRM Alarmcom Holdings Inc 7.8 15% -13% 1% -21% -5% 2.19 50%
ALRN Aileron Therapeutics -84.7 -40% -121% 37% 4% 2% 5.69 80%
ALRS Alerus Financial -48.4 -13% -14% -6% 4% 6% 0.96 90%
ALSK Alaska Communications Systems Group 14.2 5% -25% 26% -19% 3% 2.21 62%
ALSN Allison Transmission Holdings Inc -99.1 -2% -32% -37% -15% -6% 1.69 32%
ALT Altimmune Inc -36.4 -18% -112% 582% 84% -41% 5.99 40%
ALTM Altus Midstream Co -417.8 -77% -126% -90% -22% -9% 3.01 3%
ALV Autoliv -226.8 -75% -68% -16% 9% 5% 2.07 73%
ALX Alexander's -153.9 -26% -62% -31% -6% 2% 1.29 30%
ALXN Alexion Pharmaceuticals -352.2 -155% -53% -3% -12% 13% 2.11 86%
AM Antero Midstream Corp -150.3 -27% -94% -17% -11% -24% 2.76 64%
AMADY Amadeus IT Group SA -189.9 -56% -35% -27% 1% 17% 1.68 46%
AMAG AMAG Pharmaceuticals -149.1 -21% -80% -27% 31% -4% 3.40 62%
AMAT Applied Materials 18.5 35% -10% 0% -15% -13% 2.41 62%
AMBA Ambarella Inc -93.4 -12% -19% -28% 1% 14% 2.62 44%
AMBC Ambac Financial Group Inc -257.0 -54% -68% -52% -23% -9% 2.04 17%
AMBO Ambow Education Holding Ltd -175.0 -26% -95% -29% -30% -45% 36.63 20%
AMC AMC Entertainment Holdings Clss A -174.3 -1% -90% -56% -4% 7% 3.63 43%
AMCX AMC Networks Inc -250.7 -36% -90% -60% -13% 3% 2.19 15%
AMD Advanced Micro Devices 179.2 89% 440% 137% 31% -6% 3.16 73%
AME Ametek 15.7 9% 23% 2% 7% 2% 1.42 95%
AMED Amedisys 161.5 85% 318% 66% 10% 1% 2.19 88%
AMEH Apollo Medical Holdings -184.2 -92% 76% -25% -5% 4% 3.89 65%
AMG Affiliated Managers Group -219.9 -48% -94% -31% -17% -4% 1.98 52%
AMGN Amgen 47.6 33% 12% 20% -3% 5% 1.40 86%
AMH American Homes 4 Rent Class A 24.5 26% -2% 3% -1% 3% 1.31 90%
AMKBY A P MOLLAR-MRSK -108.4 -54% -39% 25% 20% -1% 2.10 91%
AMKR Amkor Technology -28.7 -14% -20% 10% -12% -15% 2.73 60%
AMN AMN HealthCare Services -6.8 0% 14% -8% 26% 16% 2.08 46%
AMNB American National Bankshares -333.4 -99% -70% -45% -12% -3% 1.98 12%
AMOT Allied Motion Technologies 5.0 5% 26% -5% 9% -9% 2.32 69%
AMOV America Movil SAB de CV -238.3 -74% -60% -26% -11% 1% 2.00 30%
AMP Ameriprise Financial -114.6 -53% -12% 0% 0% 2% 2.00 80%
AMPH Amphastar Pharmaceutical Inc -56.2 -8% -9% -17% -14% -3% 1.95 71%
AMRC Ameresco Inc 157.5 74% 275% 90% 25% -1% 2.25 78%
AMRN Amarin PLC ADR -576.5 -167% -107% -86% -47% -38% 3.63 1%
AMRS Amyris -8.2 38% -48% -46% -35% -20% 4.86 33%
AMSC American Superconductor 68.8 78% 139% 32% 51% -2% 3.56 91%
AMSF Amerisafe -3.4 15% -7% -17% -12% -10% 1.45 28%
AMSWA American Software-A 1.2 10% 13% -12% -23% -16% 1.98 44%
AMSYF ArcelorMittal -244.5 -73% -80% -23% 28% 17% 2.20 61%
AMT American Tower-A 62.7 61% 47% 0% -15% 2% 1.43 72%
AMTD TD Ameritrade Holding -181.7 -48% -41% -29% -8% 2% 1.95 45%
AMWD American Woodmark -109.1 -19% -45% -21% 4% -12% 2.65 53%
AMX America Movil S A B de C V -224.1 -67% -60% -25% -13% -1% 1.81 29%
AMZN Amazon com 126.9 63% 171% 52% 3% -8% 1.71 69%
AN AutoNation 16.2 35% -17% -5% 33% -6% 2.00 86%
ANAB AnaptysBio -202.2 0% -88% -72% -35% -8% 3.54 19%
ANAT American National Insurance -195.2 -24% -67% -51% -12% -1% 1.45 13%
ANCUF Alimentation Couche-Tard -5.1 -3% 9% -2% -3% 0% 1.49 88%
ANDE Andersons -372.7 -131% -68% -33% 35% 14% 2.25 60%
ANET Arista Networks Inc -10.5 18% -23% -28% -15% -7% 2.38 41%
ANEWF Australia and New Zealand Banking G -516.6 -188% -74% -46% -10% -5% 1.14 36%
ANF Abercrombie & Fitch-A -7.2 0% -11% -12% 36% 50% 3.31 72%
ANFGF Antofagasta -48.5 -24% -23% 14% 20% -5% 1.67 87%
ANGI ANGI Homeservices 21.8 25% -43% 29% -25% -25% 2.62 49%
ANGO Angiodynamics -33.5 32% -77% -57% -8% 9% 2.04 16%
ANGPY Anglo American Platinum 64.9 40% 184% 20% 5% 0% 2.72 72%
ANH Anworth Mortgage Asset -759.2 -299% -90% -50% -1% 4% 1.85 38%
ANIK Anika Therapeutics -6.6 54% -67% -42% -1% 2% 2.33 28%
ANIP ANI Pharmaceuticals Inc -39.7 26% -72% -69% -6% -4% 2.34 7%
ANIX Anixa Biosciences Inc 5.1 43% 69% -51% 0% 3% 4.71 41%
ANSLY Ansell 45.3 15% 28% 31% 4% -8% 1.40 83%
ANSS Ansys 101.8 70% 114% 29% 1% -3% 1.69 69%
ANTM Anthem Inc -5.9 -3% 16% -6% -8% -5% 1.73 69%
ANZBY Australia & New Zealand Banking Gro -233.5 -51% -72% -42% -9% -5% 1.47 42%
AOD Aberdeen Total Dynamic Dividend -7.0 4% -16% -6% 0% 2% 0.97 81%
AON Aon 22.7 28% 11% -6% 1% 3% 1.25 61%
AOS AO Smith -115.7 -47% -37% 2% 6% 9% 1.57 100%
AOSL Alpha & Omega Semiconductor Ltd -101.7 -20% -52% -13% 11% -5% 2.62 77%
AP Ampco-Pittsburgh -196.8 -29% -115% -31% -10% -17% 3.66 52%
APA Apache -259.3 -36% -100% -60% -17% -16% 3.29 30%
APAJF APA Group -177.5 -67% -23% -14% -9% -7% 1.39 76%
APAM Artisan Partners Asset Management I 43.9 10% 42% 40% 15% 3% 1.91 97%
APD Air Products and Chemicals 99.7 66% 78% 26% 19% 5% 1.36 89%
APEI American Public Education Inc 36.1 47% 17% 7% -11% -17% 2.33 50%
APEN Apollo Endosurgery -35.2 12% -100% -67% -20% 4% 4.04 8%
APH Amphenol 12.3 8% 3% 6% 5% 2% 1.42 91%
APHA Aphria Inc -177.7 -40% -47% -33% -2% 3% 4.73 63%
APLE Apple Hospitality REIT Inc -286.1 -75% -67% -45% -5% 10% 1.73 47%
APNHY ASPEN PHARMACR -194.9 -69% -100% 4% -18% -3% 2.54 60%
APO Apollo Global Management LLC 25.0 19% 44% 5% -22% -5% 2.08 70%
APOG Apogee Enterprises -416.3 -127% -79% -55% -4% 3% 2.28 31%
APPF AppFolio Inc A 82.7 49% 185% 31% -18% -12% 2.43 64%
APPN Appian 25.7 17% 93% 9% 2% 10% 3.45 79%
APPS Digital Turbine 496.7 53% 2261% 374% 209% 20% 3.75 100%
APRN Blue Apron Holdings -180.5 -12% -124% -37% -34% -9% 5.56 35%
APTO Aptose Biosciences 105.2 32% 254% 152% -11% 25% 4.11 65%
APTS Preferred Apartment Communities Inc -302.8 -55% -93% -65% -27% -9% 2.06 7%
APTV Aptiv -289.0 -120% -42% -11% 7% 6% 2.19 86%
APVO Aptevo Therapeutics -17.4 14% -105% -27% 21% -10% 4.51 70%
APYX Apyx Medical Corp -12.2 5% 25% -42% -1% -3% 3.74 37%
AQMS Aqua Metals Inc -183.7 0% -117% -53% -6% 8% 5.36 45%
AQN Algonquin Power & Utilities Corp 48.8 50% 20% -2% -1% 3% 1.22 67%
AR Antero Resources Corp -23.4 8% -117% -29% -10% -13% 4.09 65%
ARA American Renal Associates Holdings -326.3 -100% -89% -33% 1% -6% 3.35 15%
ARAY Accuray -363.0 -138% -74% -19% 9% 13% 3.35 44%
ARC ARC Document Solutions -336.5 -101% -107% -32% -12% -17% 3.75 53%
ARCB ArcBest Corporation 4.5 23% -23% -7% 16% -3% 2.61 78%
ARCC Ares Capital Corporation -72.9 -2% -15% -29% -12% 2% 1.20 61%
ARCH ARCH COAL INC -151.0 -17% -57% -40% 65% 62% 2.53 49%
ARCO Arcos Dorados Holdings Inc -484.8 -167% -88% -46% -7% -9% 2.37 23%
ARCT Arcturus Therapeutics Holdings Inc 153.1 6% 493% 271% 7% -18% 4.77 70%
ARD Ardagh Group -18.0 4% -52% -13% 8% 4% 1.91 52%
ARDC Ares Dynamic Credit Allocation Fund -118.6 -34% -28% -15% 3% 4% 0.76 70%
ARDX Ardelyx Inc -5.0 -2% -23% 14% -18% 6% 4.07 40%
ARE Alexandria Real Estate Equities 29.7 36% 9% -4% -10% -5% 1.30 72%
ARES Ares Management LP 99.5 72% 122% 31% -4% 2% 1.89 91%
ARGO Argo Group International -30.5 35% -60% -56% 3% 3% 1.71 24%
ARGX argenx SE 288.1 83% 1040% 87% 8% 7% 2.58 86%
ARI Apollo Commercial Real Estate Finan -288.1 -70% -59% -55% -8% 4% 1.63 42%
ARL American Realty Investors -166.8 -12% -38% -58% -16% -12% 3.72 18%
ARLP Alliance Resource Partners LP -63.5 15% -110% -88% -17% -5% 2.47 3%
ARMK Aramark -319.8 -93% -63% -46% 8% 17% 2.03 43%
ARNA Arena Pharmaceuticals 85.0 72% 161% 29% 6% 8% 2.64 100%
ARNGF Argonaut Gold 9.9 1% -14% 26% 57% 9% 3.53 92%
AROC Archrock Inc -263.2 -60% -72% -47% -8% -14% 2.92 52%
AROW Arrow Financial -17.8 13% -34% -27% -9% -1% 1.77 29%
ARPO Aerpio Pharmaceuticals Inc 29.1 3% -109% 104% 13% -6% 3.84 76%
ARR ARMOUR Residential REIT Inc -437.5 -145% -81% -46% 6% 6% 1.59 27%
ARTNA Artesian Resources-A -187.0 -70% -31% -13% -6% -1% 1.61 50%
ARW Arrow Electronics -235.4 -103% -33% -4% 13% 7% 1.66 87%
ARWR Arrowhead Pharmaceuticals 190.6 46% 1170% 38% 10% -3% 3.97 43%
ARZGY Assicurazioni Generali -183.2 -44% -42% -33% -11% -5% 0.94 40%
ASA ASA Gold and Precious Metals 108.8 52% 64% 77% 44% 5% 1.76 92%
ASAZF Assa Abloy AB -54.1 -27% -1% 1% 14% 9% 2.11 95%
ASAZY Assa Abloy AB -67.2 -28% -19% 1% 14% 9% 1.41 97%
ASB Associated Banc-Corp -175.7 -24% -69% -41% -11% 3% 1.89 27%
ASBFY Associated British Foods PLC -316.0 -112% -72% -22% -7% -4% 1.60 38%
ASC Ardmore Shipping Corp -179.6 -8% -83% -54% -28% -4% 3.03 5%
ASG Liberty All-Star Growth 58.2 33% 53% 23% 15% 1% 1.54 93%
ASGLY Asahi Glass Co Ltd -274.5 -108% -53% -11% -9% 8% 1.61 56%
ASGN ASGN Inc -18.3 -5% 3% -5% -1% -4% 2.05 84%
ASH Ashland Global Holdings Inc -89.0 -22% -18% -17% -3% -4% 1.52 77%
ASHTY Ashtead Group -19.6 -10% 31% 22% 5% 5% 2.05 96%
ASIX AdvanSix Inc -314.7 -63% -99% -61% 4% -7% 2.89 24%
ASMB Assembly Biosciences Inc -3.2 8% -76% 10% -29% -17% 3.81 49%
ASML ASML Holding NV 92.6 70% 93% 38% -6% -1% 2.00 84%
ASMLF ASML Holding 96.9 58% 98% 40% -4% 1% 1.70 87%
ASNA Ascena Retail Group Inc -35.5 18% -132% -105% -90% -37% 6.38 1%
ASND Ascendis Pharma A/S ADR 130.1 80% 367% 26% -7% 2% 2.51 86%
ASPN Aspen Aerogels 57.1 7% 129% 63% 54% 28% 2.95 95%
ASPS Altisource Portfolio Solutions SA -33.2 8% -76% -47% 8% 39% 2.88 43%
ASPU Aspen Group 100.1 85% 52% 113% 21% 3% 3.31 87%
ASR Grupo Aeroportuario Del Sure SAB de -414.3 -146% -74% -37% -10% 3% 2.05 24%
ASRT Assertio Therapeutics Inc -393.6 -99% -121% -57% -24% -15% 4.17 11%
ASTE Astec Industries 51.9 34% -27% 58% 10% 2% 2.18 90%
ASUR Asure Software -105.2 -37% -63% 5% 7% 18% 3.19 60%
ASYS Amtech Systems -215.9 -66% -88% -12% -3% 4% 2.79 39%
AT Atlantic Power Corporation -134.1 -23% -49% -28% 3% -4% 1.85 41%
ATAI ATA -256.2 -63% -42% -51% 4% -2% 4.64 32%
ATASY Atlantia SpA -216.9 -42% -78% -41% -6% -2% 1.96 39%
ATAX America First Multifamily Investors -143.0 -1% -47% -54% -9% -6% 1.46 13%
ATCO Atlas Corp -21.6 -2% 28% -18% 23% 21% 2.57 47%
ATDRY Auto Trader Group PLC -9.1 -5% 24% 4% 2% 4% 1.70 86%
ATEC Alphatec Holdings Inc 18.3 0% 145% -5% 13% 7% 3.76 73%
ATEN A10 Networks Inc -62.8 -11% -23% -13% -3% -11% 2.09 68%
ATEX Anterix Inc 10.4 31% -1% -11% -34% -14% 2.71 28%
ATGE Adtalem Global Education -7.0 59% -59% -49% -28% -22% 1.78 21%
ATGFF AltaGas -212.5 -66% -63% -20% 2% -4% 1.97 64%
ATH ATHENE HOLDING -441.3 -170% -67% -28% -2% -3% 2.13 56%
ATHM Autohome Inc ADR 2.7 5% 16% -5% 13% 11% 2.80 100%
ATHX Athersys Inc -153.4 -77% -41% 40% 4% -8% 3.67 36%
ATI Allegheny Technologies -243.9 -28% -91% -63% -10% 13% 2.82 23%
ATKR Atkore International Group Inc -80.4 -11% 1% -30% -15% -17% 2.35 40%
ATLCY Atlas Copco 65.3 39% 35% 42% 11% 9% 1.84 100%
ATLKY Atlas Copco AB 73.3 45% 37% 42% 10% 7% 1.72 100%
ATLO Ames National -272.9 -74% -62% -42% -15% -7% 1.77 5%
ATNI ATN International Inc -147.9 -44% -24% -22% -13% -10% 2.28 37%
ATNX Athenex -241.8 -85% -55% -17% -8% 25% 3.30 62%
ATO Atmos Energy -23.4 7% -19% -27% -14% -8% 1.19 32%
ATR AptarGroup 25.4 36% 7% -12% 0% -1% 1.13 81%
ATRA Atara Biotherapeutics Inc -1.6 12% -30% -6% 42% 25% 4.09 84%
ATRC Atricure 61.6 37% 52% 43% -17% -1% 2.18 59%
ATRI Atrion -115.2 -21% -30% -27% -7% 1% 1.62 22%
ATRO Astronics -317.0 -42% -101% -82% -18% -7% 2.77 8%
ATRS Antares Pharma -141.2 -28% -35% -31% -9% 3% 3.06 34%
ATSG Air Transport Services Group Inc -275.1 -133% -25% 4% 9% -1% 2.19 79%
ATUS Altice USA 9.4 45% -23% -22% 1% -1% 2.16 63%
ATUSF Altius Minerals -44.9 -7% -35% -4% 5% -6% 1.91 82%
ATVI Activision Blizzard 48.3 39% -5% 36% -3% -1% 2.06 81%
AU Anglogold Ashanti ADR 75.5 60% 158% 29% -3% -2% 2.73 55%
AUBN Auburn National Bancorp -68.7 -15% -10% -16% -39% -2% 2.43 41%
AUDC AudioCodes 135.8 95% 332% 39% -9% -11% 2.61 52%
AUG Auryn Resources 11.2 4% -50% 37% 33% -10% 3.42 73%
AUO AU Optronics ADR -18.8 -9% -23% 44% 24% 22% 1.93 94%
AUPH Aurinia Pharmaceuticals Inc -100.5 -50% 115% 142% -14% 9% 2.90 66%
AUY Yamana Gold 68.5 28% 97% 71% 15% 3% 2.84 83%
AVA Avista -215.4 -54% -58% -35% -8% -2% 1.07 12%
AVAL Grupo Aval Acciones y Valores SA A -322.3 -94% -72% -44% 2% 7% 1.65 30%
AVAV Aerovironment 13.2 31% -3% -7% -13% -19% 2.53 43%
AVB AvalonBay Communities -104.5 -2% -43% -36% -9% 1% 1.34 31%
AVCO Avalon Globocare Corp\DISC -25.1 4% -95% -59% -25% -24% 5.94 26%
AVD American Vanguard -107.3 -9% -66% -23% 1% 0% 2.27 31%
AVDL Avadel Pharmaceuticals PLC 19.7 10% -69% 67% -45% -33% 4.52 30%
AVEO AVEO Pharmaceuticals Inc -355.7 -94% -116% -45% 12% 27% 4.62 49%
AVGO Broadcom Ltd -10.3 -5% 27% 19% 12% 11% 1.98 93%
AVH Avianca Holdings SA ADR -545.2 -134% -127% -96% -19% 53% 3.09 3%
AVID Avid Technology -1.2 -1% 45% 17% 4% -3% 3.05 70%
AVIFY Advanced Info Service PCL -88.7 -8% -24% -29% -9% 3% 1.00 34%
AVK Advent Claymore Conv & Income -83.1 -29% -17% -7% 2% 0% 1.03 82%
AVNS Avanos Medical Inc -15.3 13% -59% -18% 9% 7% 2.23 49%
AVNT Avient Corp -278.0 -96% -55% -25% 4% 7% 2.14 66%
AVT Avnet -184.0 -26% -58% -46% -6% 1% 1.77 32%
AVVIY Aviva PLC ADR -369.6 -141% -61% -24% 5% 2% 1.59 54%
AVXL Anavex Life Sciences -154.1 -77% -36% 18% -19% -2% 4.14 55%
AVY Avery Dennison -23.3 -12% 2% 2% 3% 12% 1.55 79%
AWCMY Alumina Ltd -128.7 -6% -52% -41% -7% -4% 2.11 37%
AWF AllianceBernstein Glb High -109.7 -32% -30% -13% 0% 2% 0.69 76%
AWI Armstrong World Industries 12.6 58% 5% -43% -19% -9% 1.66 0%
AWK American Water Works Co Inc 77.3 68% 45% 4% 3% -2% 1.25 79%
AWR American States Water 14.5 47% 12% -33% -16% -8% 1.49 18%
AX Axos Financial Inc -138.4 -27% -45% -27% 3% -4% 2.32 53%
AXAHF AXA -414.6 -154% -65% -32% -11% -2% 1.45 40%
AXAHY Asa SA -261.9 -83% -55% -29% -8% -4% 1.30 47%
AXAS Abraxas Petroleum -28.0 43% -123% -82% -44% -9% 4.74 16%
AXDX Accelerate Diagnostics Inc -596.5 -212% -85% -58% -13% -21% 3.35 39%
AXGN AxoGen Inc -2.7 33% -63% -18% 32% 17% 3.36 51%
AXIM Axim Biotechnologies -257.6 -63% -121% -25% 87% -1% 6.98 62%
AXL American Axle & Manufacturing Holdi -368.3 -114% -96% -38% -28% -18% 3.53 37%
AXP American Express -10.5 10% -9% -21% -4% 8% 1.63 52%
AXS Axis Capital Holdings -252.9 -75% -44% -36% 1% 3% 1.43 42%
AXSM Axsome Therapeutics Inc -2.4 -1% 1468% 188% -5% 5% 4.50 73%
AXTA Axalta Coating Systems Ltd -325.0 -112% -51% -33% 1% 2% 1.73 59%
AXTI AXT -49.1 -25% -72% 30% 6% 9% 3.34 84%
AXU Alexco Resource -17.1 -9% 64% 32% 47% 9% 3.97 88%
AYI Acuity Brands -478.5 -183% -70% -33% 8% -5% 2.19 46%
AYX Alteryx 85.3 63% 420% -18% -41% -1% 3.33 27%
AZN AstraZeneca 113.1 90% 60% 20% 0% 2% 1.30 82%
AZO AutoZone 64.6 59% 81% -6% -1% 1% 1.46 91%
AZPN Aspen Technology 33.2 34% 70% -10% 21% 7% 1.82 81%
AZRE Azure Power Global LTD 176.3 47% 94% 176% 98% 47% 1.89 100%
AZUL Azul -287.2 -52% -77% -66% 23% 38% 3.58 26%
AZZ AZZ -299.5 -101% -61% -28% -1% 4% 1.97 56%
B Barnes Group -239.0 -55% -74% -40% -9% -1% 2.11 17%
BA Boeing -43.0 18% -65% -68% -21% -3% 2.36 23%
BABA Alibaba Group Ltd ADS 80.3 73% 19% 41% 16% 6% 1.98 81%
BABWF Intl Cons Airlines Group -583.7 -169% -114% -85% -63% -41% 1.86 0%
BAC Bank of America -88.3 -13% -24% -24% -7% 1% 1.76 43%
BACHY Bank of China Ltd -255.9 -85% -57% -23% -15% -3% 1.07 3%
BAESF BAE Systems -208.6 -71% -49% -17% 2% -1% 1.71 51%
BAESY Bae Systems PLC -170.2 -62% -40% -10% 5% -2% 1.44 60%
BAF BlackRock Muni Inc Inv Qty Trust 16.3 25% -24% -4% -3% -2% 0.60 86%
BAH Booz Allen Hamilton Holding Corp 118.2 91% 115% 8% -1% 0% 1.32 87%
BAK Braskem S A Sp ADR Pfd A -268.9 -48% -96% -54% -22% -3% 2.90 29%
BAM Brookfield Asset Management -4.3 12% -2% -17% -9% 1% 1.38 50%
BAMXF Bayerische Motoren Werke AG -154.9 -53% -58% -5% 10% 11% 1.64 77%
BANC Banc of California Inc -436.6 -159% -73% -35% -10% -6% 2.26 38%
BANF BancFirstOK -176.5 -42% -44% -32% 3% -1% 1.90 47%
BANR Banner -175.7 -18% -66% -48% -17% -4% 1.97 24%
BANX StoneCastle Financial -17.5 1% -15% -17% 8% 2% 1.41 76%
BAP Credicorp -32.6 26% -62% -45% -20% 1% 1.45 14%
BAS Basic Energy Services Inc -297.9 -10% -131% -95% -42% 2% 5.61 8%
BASFY BASF SE -109.0 -20% -62% -13% 6% 8% 1.47 71%
BATRA Liberty Media Corp -281.3 -81% -53% -42% -12% 6% 1.66 39%
BATRK Liberty Media Corp -267.8 -76% -52% -41% -8% 8% 1.65 41%
BAX Baxter International 39.7 61% 1% -14% -9% 2% 1.33 53%
BAYRY Bayer AG -270.0 -96% -74% -14% -20% 0% 1.65 57%
BAYZF Bayer AG -298.7 -104% -81% -18% -20% -1% 2.03 48%
BB BlackBerry -8.4 58% -80% -46% -11% 3% 2.44 42%
BBAR Bbva Banco Frances S A ADR -375.5 -102% -118% -47% -33% -16% 3.76 13%
BBBY Bed Bath & Beyond -396.0 -191% -81% 20% 20% 5% 3.57 66%
BBCP Concrete Pumping Holdings Inc -448.4 -176% -94% -17% -13% 0% 3.07 47%
BBD Bank Bradesco SA -288.7 -59% -85% -57% -17% 0% 2.62 15%
BBDC Barings BDC Inc -195.8 -57% -51% -24% 5% 0% 1.20 61%
BBDO Bank Bradesco ADR -231.6 -33% -81% -56% -14% 2% 2.98 17%
BBF BlackRock Municipal Income Inv -95.0 -25% -31% -12% -2% -1% 0.64 79%
BBGI Beasley Broadcast Group-A -477.6 -135% -119% -64% -73% -26% 3.57 1%
BBK BlackRock Municipal Bond -5.2 8% -21% -5% -4% 0% 0.58 82%
BBL BHP Group PLC ADR 16.7 18% 24% -3% 10% 2% 1.83 93%
BBN BlackRock Taxable Municipal Bond Tr 35.3 29% -2% 1% -2% 3% 0.66 88%
BBSEY BB Seguridade Participacoes SA -162.4 -13% -66% -46% -15% 1% 2.14 22%
BBSI Barrett Business Services -120.8 -1% -30% -49% -2% -10% 2.27 38%
BBU Brookfield Business Partners LP -126.1 -22% -34% -29% -17% -9% 1.95 40%
BBVA Banco Bilbao Vizcaya Argentaria SA -598.3 -213% -96% -54% -26% -5% 1.97 2%
BBVXF Banco Bilbao Vizcaya Argentaria -687.8 -252% -101% -59% -24% -7% 1.36 3%
BBW Build-A-Bear Workshop -888.0 -415% -94% 2% 40% 56% 3.41 55%
BBX BBX Capital -171.1 -5% -91% -50% 21% -11% 2.73 47%
BBY Best Buy 57.8 15% 67% 50% 24% -4% 2.02 83%
BC Brunswick -50.0 -23% -15% 3% -7% -5% 2.20 73%
BCAUY Brilliance China -131.1 -10% -94% -25% -8% -3% 2.59 59%
BCBP BCB Bancorp -187.2 -31% -59% -43% -14% 0% 1.59 5%
BCC Boise Cascade Co -12.5 -6% 2% 21% 9% -15% 2.21 70%
BCCLF Becle -30.2 -15% -23% 16% -3% 9% 2.16 82%
BCDRF Banco Santander -475.0 -142% -103% -61% -24% -11% 2.00 3%
BCE BCE -21.3 7% -28% -18% -7% 0% 0.92 68%
BCEI Bonanza Creek Energy -209.4 -58% -65% -25% 12% -1% 3.14 69%
BCH Banco de Chile ADR -43.9 21% -71% -54% -23% -11% 1.60 18%
BCLI Brainstorm Cell Therapeutics Inc 210.0 62% 221% 267% 42% 14% 2.83 94%
BCLYF Barclays -337.7 -102% -80% -40% -18% -7% 2.74 24%
BCML BayCom -260.0 -47% -65% -62% -19% 3% 1.92 10%
BCO Brink's -276.1 -57% -74% -56% -3% 1% 2.19 18%
BCOM B Communications -4.0 -2% -117% 87% -12% 6% 4.23 88%
BCOR Blucora -214.5 -8% -95% -67% -30% -23% 2.54 0%
BCOV Brightcove -66.3 -22% 13% -15% 25% -6% 1.97 74%
BCPC Balchem -3.5 10% -6% -13% 0% -2% 1.64 50%
BCRX Biocryst Pharmaceuticals -6.9 -3% -59% 28% -4% -7% 4.03 60%
BCS Barclays PLC ADR -375.2 -118% -80% -43% -18% -10% 1.90 19%
BCV Bancroft Fund 29.7 29% 12% -2% -3% -6% 1.10 82%
BCX BlackRock Resources & Commdty -175.1 -54% -42% -20% 0% -1% 1.26 69%
BDC Belden -504.2 -172% -92% -50% -12% -7% 2.38 14%
BDGE Bridge Bancorp Inc -305.0 -87% -66% -44% -22% -4% 1.83 10%
BDJ BlackRock Enhanced Equity Div -105.5 -23% -28% -21% -3% 1% 0.97 59%
BDN Brandywine Realty Trust -369.0 -128% -61% -36% -5% -2% 1.63 35%
BDORY Banco Do Brasil SA -214.1 -27% -72% -56% -13% 3% 2.73 19%
BDOUY BDO Unibank Inc -231.0 -52% -70% -40% -13% -2% 3.27 16%
BDRAF Bombardier -245.6 -1% -113% -84% -28% -14% 3.14 2%
BDRBF Bombardier -58.2 1% -117% -89% -19% 2% 3.40 1%
BDSI BioDelivery Sciences Intl 10.1 37% 18% -24% -19% -19% 2.92 25%
BDVSY Bidvest Group -221.0 -48% -55% -44% -1% 5% 2.44 19%
BDX Becton Dickinson -124.7 -40% -9% -19% -9% -10% 1.38 39%
BEAT BioTelemetry Inc -22.3 -11% 14% -1% -11% 8% 2.71 62%
BECN Beacon Roofing Supply -227.6 -65% -72% -25% 2% -1% 2.59 73%
BEDU Bright Scholar Education Holdings -30.6 14% -102% -41% -24% -12% 2.97 26%
BELFA Bel Fuse -384.4 -132% -85% -31% -4% -6% 4.04 40%
BELFB Bel Fuse -562.3 -220% -89% -31% 8% -9% 3.49 32%
BEN Franklin Resources -265.1 -73% -73% -35% -9% 0% 1.81 48%
BEP Brookfield Renewable Partners LP 59.0 41% 30% 18% -12% 6% 1.33 61%
BERY Berry Plastics Group Inc -108.9 -54% -45% 17% 4% -8% 1.60 81%
BFA Brown Forman-A -25.9 -13% -4% 1% 11% 4% 1.53 83%
BFAM Bright Horizons Family Solutions In 15.4 29% 39% -22% 14% 11% 1.54 66%
BFB Brown Forman-B 51.6 36% 53% 10% 10% 7% 1.46 86%
BFC Bank First National Corp 25.4 40% 37% -18% -9% 1% 1.67 69%
BFIN BankFinancial -179.1 -18% -80% -45% -11% 1% 1.82 12%
BFK BlackRock Municipal Income -23.7 -1% -20% -5% 0% -1% 0.62 82%
BFO BlackRock FL Municipal 2020 10.9 24% -30% -8% -7% 1% 0.23 51%
BFS Saul Centers -240.8 -32% -85% -60% -26% -5% 2.03 3%
BFY BlackRock NY Municipal Inc II 4.8 22% -31% -8% -4% -1% 0.65 79%
BFZ BlackRock CA Municipal Income 4.5 21% -28% -8% -5% -2% 0.46 80%
BG Bunge Limited -237.4 -77% -60% -22% 11% 4% 1.66 68%
BGB Blackstone/GSO Strategic Credit -114.7 -26% -31% -21% 0% 3% 0.73 69%
BGCP BGC Partners-A -326.1 -64% -109% -63% -15% 0% 2.26 9%
BGFV Big 5 Sporting Goods -212.0 -106% -21% 257% 241% 4% 4.55 87%
BGG Briggs & Stratton -538.6 -117% -132% -109% -100% -7% 3.53 0%
BGH Barings Global Short Duration High -270.1 -96% -43% -25% 4% 3% 0.82 59%
BGIO BlackRock 2022 Global Income Oppor -74.3 -16% -27% -12% -2% 3% 0.81 72%
BGNE BeiGene Ltd ADR 96.2 23% 198% 96% 43% 18% 2.84 100%
BGR BlackRock Energy & Resources -272.4 -65% -71% -48% -17% -8% 1.57 27%
BGS B&G Foods Inc -69.7 -35% -24% 48% 7% -8% 2.31 80%
BGSF BG Staffing -240.6 -33% -72% -63% -26% -13% 3.00 18%
BGT BlackRock Floating Rate Inc Trust -100.3 -32% -29% -8% 0% 4% 0.64 82%
BGX Blackstone/GSO LS Credit Income -101.8 -22% -24% -21% 3% 4% 0.94 66%
BGY BlackRock Enhanced Intl Div Trust -29.6 -3% -27% -2% 0% 1% 0.89 91%
BHB Bar Harbor Bankshares -259.0 -94% -51% -19% -6% 4% 2.26 63%
BHC Bausch Health Companies Inc -17.1 7% -8% -36% -19% 4% 2.76 22%
BHE Benchmark Electronics -205.1 -47% -64% -34% -3% 7% 1.91 31%
BHF Brighthouse Financial -547.8 -205% -83% -41% -17% -4% 2.70 39%
BHK BlackRock Core Bond 51.6 31% 2% 9% -3% 4% 0.55 98%
BHKLY BOC Hong Kong Ltd -191.6 -49% -68% -24% -15% -2% 1.20 25%
BHLB Berkshire Hills Bancorp -335.3 -58% -100% -77% -13% 8% 2.14 5%
BHP BHP ADR 30.9 32% 25% 2% 9% 2% 1.70 92%
BHPLF BHP Billiton 23.5 27% 27% 0% 7% -2% 2.07 88%
BHR Braemar Hotels & Resorts -307.6 -40% -101% -81% -26% 14% 3.20 17%
BHV BlackRock VA Municipal Bond -54.7 -2% -34% -14% -2% 2% 1.10 85%
BHVN Biohaven Pharmaceutical Holding -20.7 -10% 37% 23% -20% 1% 3.46 71%
BIDU Baidu -142.0 -49% -80% 5% -6% 3% 2.05 67%
BIF Boulder Growth & Income -10.8 10% -19% -14% 4% 3% 0.97 67%
BIG Big Lots -136.8 -68% -30% 95% 28% -6% 2.82 77%
BIIB Biogen -186.0 -84% -46% 6% -6% 0% 1.83 44%
BIO Bio Rad Labs-A 123.2 90% 91% 41% 6% 0% 1.62 90%
BIOB Bio-Rad Laboratories 148.6 61% 90% 39% 5% 2% 0.75 86%
BIP Brookfield Infrastructure Partners -67.5 -27% -6% -4% 8% 11% 1.35 78%
BIREF Birchcliff Energy -259.1 -63% -103% -32% 52% 6% 3.60 56%
BIT BlackRock Multi-Sector Income -44.6 -9% -19% -7% 6% 1% 0.76 98%
BITA Bitauto Holdings Ltd ADR -214.4 -69% -98% -5% -8% 1% 2.70 98%
BJRI BJ'S Restaurants 6.4 35% -14% -17% 50% 34% 3.00 73%
BK Bank of New York Mellon -380.5 -138% -59% -33% -16% -3% 1.54 36%
BKCC BlackRock Capital Investment -256.4 -52% -79% -50% -11% -5% 1.85 40%
BKD Brookdale Senior Living -388.6 -83% -108% -75% -9% 4% 3.15 15%
BKE Buckle 21.3 17% 54% 6% 32% 30% 2.86 63%
BKEP Blueknight Energy Partners -80.0 -40% -95% 41% 1% -6% 2.63 85%
BKH Black Hills -23.0 24% -46% -37% -6% -4% 1.45 13%
BKKPF Bangkok Bank PCL -56.9 25% -77% -51% -17% -5% 0.81 17%
BKN BlackRock Invst Quality Muni 25.2 24% -8% -1% 0% 2% 0.63 89%
BKNG Booking Holdings -26.5 4% -39% -26% -1% 0% 1.63 62%
BKR Baker Hughes Co -650.4 -253% -88% -42% -8% -5% 2.37 38%
BKRKY Bank Rakyat Indonesia -101.9 -7% -26% -35% -8% -8% 1.99 38%
BKSC Bank of South Carolina -3.0 22% -25% -18% -9% 2% 1.46 67%
BKT BlackRock Income Trust 69.8 56% -15% -1% -6% 1% 0.42 95%
BKU BankUnited Inc -151.4 -17% -57% -39% 6% 5% 2.13 42%
BL BLACKLINE INC 88.9 55% 111% 55% -4% 9% 2.32 79%
BLBD Blue Bird Corp -314.4 -92% -65% -43% -21% 10% 2.22 25%
BLCM Bellicum Pharmaceuticals Inc -257.2 -46% -126% -40% -20% 22% 4.92 22%
BLD TopBuild Corp 81.9 34% 143% 59% 26% 5% 2.45 97%
BLDP Ballard Power Systems 133.1 42% 211% 193% 11% 1% 3.59 70%
BLDR Builders Firstsource 60.1 47% 60% 44% 40% 12% 2.70 93%
BLE BlackRock Municipal Income II -2.2 6% -18% -2% -1% 2% 0.71 93%
BLFS BioLife Solutions 81.1 48% 382% 20% 60% 41% 3.81 98%
BLK Blackrock 34.8 24% 8% 18% -6% -3% 1.58 83%
BLKB Blackbaud -198.5 -28% -64% -50% -14% -12% 2.09 31%
BLL Ball 67.4 55% 76% 2% 10% 11% 1.44 95%
BLMN Bloomin Brands Inc -269.9 -87% -38% -35% 30% 25% 2.64 54%
BLNK Blink Charging -37.1 -19% -72% 173% 227% -10% 6.20 63%
BLRX Biolinerx Ltd Sponsored Ads -366.4 -94% -122% -49% -10% -19% 3.41 34%
BLUE bluebird bio Inc -178.5 -2% -90% -57% -19% -5% 3.16 24%
BLW BlackRock Limited Duration -30.2 -6% -15% -4% 4% 4% 0.66 93%
BLX Banco Latinoamericano de Comercio E -338.0 -104% -76% -39% 4% 5% 1.81 38%
BMA Banco Macro SA -436.8 -132% -117% -47% -31% -16% 3.88 5%
BMBLF Brambles Ltd -383.4 -166% -33% -14% -12% -9% 0.91 64%
BMCH BMC Stock Holdings Inc -25.3 -13% 65% 50% 57% 26% 2.11 93%
BME BlackRock Health Sciences 44.6 43% 5% 6% -5% 0% 1.24 89%
BMI Badger Meter -44.6 -22% 12% 10% -4% 1% 1.74 81%
BMO Bank of Montreal -219.1 -73% -40% -23% 3% 6% 1.18 59%
BMRC Bank Of Marin Bancorp -22.1 17% -33% -37% -9% -3% 1.80 29%
BMRN Biomarin Pharmaceutical -67.2 -12% -46% -6% -43% 5% 1.98 23%
BMTC Bryn Mawr Bank -210.8 -49% -63% -36% -6% -1% 1.72 26%
BMWYY BMW -66.1 -18% -47% 0% 12% 11% 1.50 88%
BMY Bristol-Myers Squibb 6.7 6% -29% 12% -1% -4% 1.37 66%
BNED Barnes & Noble Education Inc -820.6 -336% -97% -42% 22% -2% 4.04 27%
BNFT Benefitfocus Inc -286.7 -47% -97% -64% -9% 3% 3.05 27%
BNKHF BOC Hong Kong Holdings 22.5 9% 27% 10% 28% 13% 1.46 86%
BNPQF BNP Paribas -322.7 -107% -78% -28% -5% -4% 1.71 43%
BNPQY BNP Paribas SA -320.6 -108% -74% -27% -3% -5% 1.72 43%
BNS Bank Nova Scotia ADR -263.3 -81% -56% -32% -7% -1% 1.10 43%
BNTC Benitec Biopharma Inc 20.3 104% -97% -9% -26% -7% 5.17 36%
BNTGY Brenntag AG -62.0 -31% 0% 23% 20% 8% 1.48 98%
BNY BlackRock NY Municipal Income 18.4 32% -30% -6% -6% -1% 0.62 77%
BOCH Bank of Commerce Holdings -202.6 -37% -62% -44% -9% -5% 1.83 21%
BOE BlackRock Enhanced Glbl Div Trust -94.6 -28% -31% -9% -2% 2% 0.88 77%
BOH Bank of Hawaii -241.5 -53% -61% -48% -24% -6% 1.57 12%
BOIVF Bollore -116.8 -20% -58% -19% 11% 4% 1.73 64%
BOKF BOK Financial -298.2 -85% -64% -42% -18% -7% 1.94 36%
BOMN Boston Omaha -2.6 40% -31% -34% -8% -1% 2.50 23%
BOOM DMC Global 16.3 31% 99% -31% 7% 6% 2.95 43%
BOOT Boot Barn Holdings 21.7 11% 205% -32% 25% 17% 3.34 50%
BOSSY Hugo Boss -259.1 -36% -98% -61% -19% 6% 1.82 20%
BOX BOX INC CL A -145.0 -53% -35% -8% -17% 2% 2.46 67%
BP BP Plc ADR -49.6 17% -70% -58% -26% -13% 1.58 15%
BPAQF BP -47.9 10% -73% -60% -27% -10% 2.09 16%
BPFH Boston Private Financial Holdings -437.6 -130% -90% -59% -19% -4% 2.07 7%
BPMC Blueprint Medicines Corp 0.3 13% -6% -10% -6% 8% 3.20 91%
BPOP Popular -20.6 17% -29% -38% -8% 2% 1.96 39%
BPRN The Bank of Princeton -347.2 -108% -69% -43% -11% -1% 1.69 10%
BPT BP Prudhoe Bay Royalty Trust -49.4 24% -120% -90% -63% -28% 3.32 2%
BPY Brookfield Property Partners LP -287.3 -73% -72% -47% 3% 1% 1.77 39%
BQH BlackRock NY Municipal Bond 27.2 26% -12% 1% -4% 0% 0.64 89%
BR Broadridge Financial Solutions 32.6 29% 43% -5% 0% -2% 1.34 81%
BRC Brady-A 14.1 53% -11% -31% -18% -12% 1.56 23%
BRDCY Bridgestone Corp -182.3 -42% -59% -29% -9% 4% 1.20 32%
BREW Craft Brew Alliance Inc -95.6 -48% -38% 93% 0% 7% 1.81 99%
BRFS BRF SA ADR -214.5 -4% -106% -68% -16% 5% 2.78 18%
BRG Bluerock Residential Growth REIT I -198.2 -43% -43% -41% -10% 5% 2.09 48%
BRID Bridgford Foods 11.5 75% 20% -59% 3% 0% 2.92 19%
BRKA Berkshire Hathaway -39.5 -9% -12% -6% 13% 7% 1.14 83%
BRKB Berkshire Hathaway-B -46.4 -13% -12% -6% 14% 7% 1.17 82%
BRKL Brookline Bancorp -143.2 -5% -64% -46% -12% -7% 1.67 8%
BRKR Bruker -54.4 -5% -3% -21% -13% -7% 1.84 32%
BRKS Brooks Automation 44.8 67% 32% 6% 0% -10% 2.73 67%
BRO Brown & Brown 105.2 80% 64% 13% 2% -1% 1.19 79%
BRQS Borqs Technologies -265.9 -43% -115% -52% -41% 16% 5.34 6%
BRT BRT Apartments 9.0 30% 14% -20% 13% 7% 2.07 53%
BRX Brixmor Property Group Inc -228.6 -53% -55% -43% -8% 9% 2.00 35%
BRY Berry Petroleum Corp -251.5 -30% -83% -68% -29% 2% 3.00 24%
BSAC Banco Santander Chile ADR -211.8 -19% -80% -60% -26% -13% 1.59 14%
BSBR Banco Santander Brasil SA ADR -164.9 0% -67% -60% -19% -2% 2.65 14%
BSD BlackRock Strategic Muni -24.2 2% -27% -12% -2% -2% 0.56 72%
BSE BlackRock NY Muni Inc Qty -14.6 6% -23% -9% -4% -1% 0.47 82%
BSET Bassett Furniture Industries -392.5 -157% -89% -9% 111% 30% 2.79 80%
BSIG BrightSphere Investment Group -119.9 -60% -26% 20% 26% 2% 2.19 92%
BSL Blackstone / GSO Sr Floating Term -171.8 -57% -29% -19% 4% 5% 0.89 75%
BSM Black Stone Minerals LP -203.3 -10% -86% -64% -15% -11% 1.81 24%
BSMX Banco Santander Mexico -487.1 -156% -93% -56% -17% -3% 2.19 16%
BSRR Sierra Bancorp -197.8 -41% -55% -39% -2% 1% 1.95 32%
BST BlackRock Science and Technology Tr 89.8 68% 73% 25% 0% -2% 1.61 78%
BSTC BioSpecifics Technologies Corp 5.5 25% -10% -13% -13% -13% 2.04 53%
BSX Boston Scientific 1.6 23% 0% -21% -2% -1% 1.66 64%
BTA BlackRock Long-Term Muni Adv -36.0 -3% -18% -9% -2% -1% 0.67 74%
BTAFF British American Tobacco -219.4 -79% -69% -8% -17% 8% 1.66 49%
BTE Baytex Energy -44.2 11% -117% -85% -14% -20% 4.10 14%
BTG B2Gold Corp 99.5 45% 131% 94% 25% 12% 2.69 88%
BTGOF BT Group -207.6 -28% -92% -45% -9% 5% 3.42 12%
BTI British American Tobacco PLC ADR -174.9 -56% -68% -9% -17% 4% 1.60 46%
BTLCY British Land -333.3 -102% -67% -42% -17% 0% 1.61 17%
BTO JH Financial Opportunities -335.1 -114% -54% -36% -13% 2% 1.92 46%
BTT BlackRock Municipal 2030 Target Te 23.3 22% -11% -2% -1% 3% 0.44 100%
BTU Peabody Energy -45.9 29% -117% -86% 22% 55% 3.21 12%
BTZ BlackRock Credit Allocation 17.0 15% -6% 0% -4% 3% 0.58 94%
BUD Anheuser-Busch InBev SA ADR -189.9 -20% -80% -48% 7% 2% 1.59 38%
BUDFF Anheuser-Busch InBev SA/NV -210.8 -28% -84% -49% 4% 2% 1.70 37%
BUDZ Weed Inc -28.8 3% -113% -62% -43% -18% 5.70 3%
BUFF Innovator Laddered Fund of S&P 500 -167.4 -53% -25% -22% -6% 1% 1.11 59%
BUI BlackRock Util Infra & Power Opp -36.8 -2% -7% -14% 0% 1% 1.14 90%
BURBY Burberry Group PLC -278.5 -92% -42% -33% -2% 11% 1.92 44%
BURL BURLINGTON STORES INC COM 49.4 41% 102% -3% -6% 9% 1.92 70%
BUSE First Busey Corp Class A -407.1 -138% -69% -42% -13% -3% 1.72 24%
BVN Buenaventura Mining ADR -8.3 25% -38% -27% 35% -6% 2.31 65%
BW Babcock & Wilcox Enterprises -351.6 -77% -125% -57% 3% -4% 5.43 42%
BWA BorgWarner -246.8 -104% -49% -3% 7% -3% 2.02 75%
BWFG Bankwell Financial Group Inc -524.6 -183% -86% -51% -2% 1% 1.54 18%
BWG BrandywineGLOBAL Global Inc Opp 11.0 13% -19% 2% 2% 2% 0.66 88%
BWXT BWX Technologies Inc -4.8 11% -19% -10% -5% 3% 1.50 63%
BX Blackstone Group 40.2 43% 58% -7% -17% -1% 1.72 61%
BXBLY Brambles Ltd -139.5 -56% -16% -8% -6% -4% 1.29 71%
BXC BlueLinx Holdings -151.3 -36% 40% -53% 106% -11% 4.23 46%
BXMT Blackstone MTG -151.1 -23% -37% -40% -11% 1% 1.32 43%
BXMX Nuveen S&P 500 Buy-Write Income -89.4 -17% -30% -18% -4% -2% 0.90 64%
BXP Boston Properties -309.0 -93% -57% -43% -13% 2% 1.54 15%
BXS BancorpSouth Bank -191.9 -36% -60% -40% -16% -7% 1.91 20%
BY Byline Bancorp -439.9 -145% -76% -49% -15% -11% 1.92 25%
BYD Boyd Gaming -208.8 -89% -26% -6% 22% 4% 2.67 72%
BYDDF BYD Co 99.4 7% 48% 155% 78% 56% 2.57 99%
BYDDY BYD Co -17.2 -9% 50% 158% 78% 55% 2.46 100%
BYM BlackRock Muni Inc Qty Trust 16.5 25% -24% -5% -4% 0% 0.52 88%
BYSI BeyondSpring -20.1 7% -93% -24% 5% 27% 3.77 62%
BZH Beazer Homes USA -254.6 -77% -67% -28% 12% -7% 2.95 55%
BZLFY Bunzl PLC 13.6 8% -19% 14% 15% 2% 1.39 94%
BZM BlackRock MD Muni Bond -15.2 1% -22% -10% -4% -3% 1.03 48%
BZQIY Bezeq The Israeli Teleco -90.0 -45% -44% 83% 5% 10% 1.61 100%
BZUN Baozun Inc ADR -18.7 13% -46% -38% -22% -20% 3.37 47%
C Citigroup -285.4 -78% -64% -44% -22% -9% 1.93 23%
CAAS China Automotive Systems -193.0 -97% -72% 33% 19% 22% 3.19 71%
CABGY Carlsberg AS -10.5 3% -3% -13% -4% -1% 1.14 74%
CABO Cable One Inc 104.4 65% 107% 31% -11% -6% 1.53 72%
CAC Camden National -200.2 -45% -50% -39% -13% -6% 1.81 20%
CACC Credit Acceptance -0.5 49% -13% -45% -31% -30% 1.98 34%
CACI CACI International-A 28.6 38% 34% -13% -15% -3% 1.56 42%
CADE Cadence Bancorp -212.3 -18% -88% -58% -10% -2% 2.64 32%
CAE CAE -185.7 -29% -38% -51% -16% 2% 1.73 24%
CAF MS China A Share -3.4 6% -19% -4% 7% 1% 1.37 92%
CAG Conagra Brands 26.0 33% -25% 9% -4% -7% 1.60 72%
CAGDF Centerra Gold 35.5 17% 33% 36% 2% -5% 2.62 73%
CAH Cardinal Health -260.5 -105% -53% -7% -18% -6% 1.87 39%
CAI CAI International Inc -339.4 -168% -36% 10% 60% 30% 2.79 91%
CAIXY CaixaBank -464.8 -190% -79% -16% 6% 3% 2.01 51%
CAJ Canon ADR -246.2 -45% -85% -50% -29% -4% 1.17 2%
CAKE Cheesecake Factory -193.4 -42% -55% -37% 21% 16% 2.38 49%
CAL Caleres Inc -207.9 -16% -92% -58% 32% 63% 3.36 38%
CALA Calithera Biosciences Inc -253.8 -80% -108% -11% -37% -8% 4.02 24%
CALM Cal-Maine Foods -161.2 -48% -33% -22% -13% -4% 1.57 52%
CALX Calix Inc 210.8 83% 258% 202% 30% -5% 2.52 80%
CAMP CalAmp -26.4 15% -89% -32% 1% 2% 2.52 61%
CAMT Camtek 92.1 49% 191% 42% 18% -2% 2.36 89%
CAOVF China Overseas Land -130.0 -11% -66% -32% -25% -10% 1.10 0%
CAPL CrossAmerica Partners LP -221.5 -92% -50% -2% -4% -2% 2.08 82%
CAR Avis Budget Group -284.3 -121% -47% -6% 14% -4% 3.55 54%
CARA Cara Therapeutics Inc -347.1 -118% -25% -47% -20% -9% 3.01 32%
CARE Carter Bank & Trust -496.7 -144% -92% -74% -14% -2% 1.72 1%
CARS Carscom -222.8 -56% -99% -23% 25% 3% 3.11 51%
CASH META Financial -178.5 -4% -105% -51% 8% 6% 2.39 24%
CASI CASI Pharmaceuticals -16.9 34% -46% -61% -42% -12% 3.97 8%
CASS Cass Information Systems -152.9 -21% -45% -40% -7% 1% 1.64 31%
CASY Casey's General Stores 31.7 33% 32% -5% 4% -1% 1.47 87%
CAT Caterpillar -58.8 -29% 1% 10% 13% 12% 1.82 98%
CATB Catabasis Pharmaceuticals Inc -140.1 -46% -89% 5% -9% 6% 3.71 78%
CATC Cambridge Bancorp -129.6 -3% -52% -44% -17% -6% 1.78 20%
CATM Cardtronics PLC -241.5 -58% -60% -42% -19% -4% 3.31 16%
CATO Cato-A -279.4 -61% -57% -59% -5% 4% 2.63 15%
CATY Cathay General Bancorp -244.1 -58% -64% -42% -21% -8% 1.86 24%
CB Chubb Ltd -221.8 -62% -45% -34% -15% -3% 1.37 35%
CBAN Colony Bankcorp -30.7 6% -47% -40% -16% -2% 2.26 24%
CBAY CymaBay Therapeutics Inc 1.5 1% -34% 14% 68% 9% 4.15 100%
CBB CINCINNATI BELL INC NEW 90.8 25% -56% 158% -6% 2% 2.61 93%
CBD Companhia Brasileira De Distribuica -152.8 -11% -75% -41% 0% 22% 2.41 36%
CBFV CB Financial Services -151.4 -29% -52% -30% -25% 13% 1.58 27%
CBH AllianzGI Convert & Inc 2024 Targe -80.1 -22% -23% -10% -2% 1% 0.94 87%
CBIO Catalyst Biosciences -5.6 19% -15% -28% -31% -8% 4.08 26%
CBL CBL & Associates Properties -550.6 -139% -129% -93% -40% -15% 4.78 2%
CBMG Cellular Biomedicine 21.9 22% 37% 15% 34% 3% 3.49 93%
CBOE CBOE Global Markets -93.4 -1% -43% -31% -15% 4% 1.50 30%
CBPO China Biologic Products Holdings -56.7 -13% -10% -12% -5% 7% 1.50 70%
CBRE CBRE Group -58.7 -9% 0% -20% -3% 11% 1.75 54%
CBRL Cracker Barrel Old Country Store -247.3 -74% -40% -36% 0% 3% 1.91 58%
CBSH Commerce Bancshares -71.5 -12% -22% -17% -16% -4% 1.49 43%
CBT Cabot -183.3 -54% -52% -20% 0% 3% 2.08 68%
CBU Community Bank System 25.4 55% -14% -17% -4% 0% 1.58 45%
CBZ CBIZ 15.8 30% 16% -17% -10% -8% 1.46 49%
CC The Chemours Co -132.5 -66% -85% 30% 31% 6% 3.18 96%
CCBG Capital City Bank Group -139.2 -27% -31% -32% -4% 3% 1.98 28%
CCCGY China Comms Construction -213.9 -40% -85% -39% -16% -8% 1.24 8%
CCD Calamos Dynamic Convertible and Inc 52.9 38% 21% 15% 7% 3% 1.28 96%
CCEP Coca-Cola European Partners PLC -109.9 -12% -25% -35% 2% 5% 1.42 43%
CCF Chase -113.5 -35% -26% -13% -7% 1% 2.23 68%
CCI Crown Castle International Corp 60.7 54% 37% 6% -13% 1% 1.41 77%
CCJ Cameco -30.7 -10% -26% 3% -6% 1% 2.10 75%
CCK Crown Holdings 15.9 16% -10% 8% 7% 3% 1.63 86%
CCL Carnival -626.4 -200% -107% -78% -21% 7% 2.61 17%
CCLAY Coca-Cola Amatil Ltd -90.9 -25% -11% -17% -1% 7% 1.49 55%
CCLP CSI Compressco -36.4 22% -106% -74% 9% -17% 3.79 24%
CCM Concord Medical Services -387.3 -138% -82% -28% 14% 6% 2.98 47%
CCMP Cabot Microelectronics 30.8 41% 64% -12% -6% -11% 2.30 65%
CCNE CNB Financial Corporation -237.3 -39% -69% -57% -17% -8% 2.06 10%
CCO Clear Channel Outdoor Holdings Cl A -26.1 43% -100% -68% -7% 9% 3.50 30%
CCOI Cogent Communications Group 39.7 44% 14% 6% -28% -5% 1.77 27%
CCR CONSOL Coal Resources -48.6 31% -99% -81% -25% -1% 2.39 3%
CCRC China Customer Relations Centers In -902.1 -359% -101% -58% 1% 30% 3.87 15%
CCRN Cross Country Healthcare -378.2 -114% -81% -48% 11% 6% 2.64 24%
CCS Century Communities Inc -15.2 -8% 30% 18% 23% 3% 2.58 94%
CCU United Breweries -406.5 -127% -78% -50% -19% -2% 1.39 13%
CCXI Chemocentryx Inc 340.5 3% 623% 618% -12% 4% 3.87 83%
CDE Coeur Mining -79.0 -39% -44% 52% 76% 0% 3.64 87%
CDEV CENTENNIAL RESOURCE DEV INC -47.6 4% -128% -95% -42% -6% 4.59 10%
CDEVY City Developments Ltd -200.7 -55% -59% -26% -8% 3% 1.52 42%
CDK CDK Global Inc -313.4 -120% -60% -16% -1% -4% 1.49 53%
CDMO Avid Bioservices -111.6 -56% 122% 24% 34% -6% 3.49 88%
CDNA CareDx 178.6 53% 1057% 31% -1% 0% 3.88 91%
CDNS Cadence Design Systems 104.5 62% 125% 39% 1% -6% 1.72 72%
CDOR Condor Hospitality Trust -490.9 -146% -83% -72% -8% -5% 2.19 16%
CDR Cedar Realty Trust -815.9 -291% -115% -79% -27% -7% 3.03 10%
CDTX Cidara Therapeutics -156.3 -78% -88% 48% -29% -18% 3.73 55%
CDW CDW Corp 25.9 34% 54% -17% -10% 3% 1.71 53%
CDXC ChromaDex -225.0 -97% -37% -3% -12% -14% 3.63 64%
CDXS Codexis Inc 20.0 41% 76% -27% 5% -9% 2.88 35%
CDZI Cadiz -252.1 -77% -52% -31% -12% 1% 1.35 32%
CE Celanese -64.8 -12% -13% -16% 25% 15% 1.76 83%
CEA China Eastern Airlines Corporation -72.1 -5% -44% -16% 18% 24% 2.56 61%
CECE CECO Environmental -4.3 2% -29% 0% 24% -1% 2.56 89%
CEE The Central and Eastern Europe Fund -141.3 -30% -37% -28% -11% -6% 1.29 43%
CEF Sprott Physical Gold and Silver Tru 110.9 72% 23% 27% 15% 1% 0.92 85%
CEL Cellcom Israel Ltd -216.6 -108% -93% 68% -7% 4% 2.75 76%
CELH Celsius Holdings Inc 293.1 67% 241% 505% 109% -12% 3.46 84%
CELTF CENTAMIN PLC 62.9 38% 23% 66% 33% 1% 2.56 85%
CEM ClearBridge Energy MLP -444.0 -99% -109% -86% -34% -23% 2.17 17%
CEMI Chembio Diagnostics -221.4 -49% -54% -44% 24% -14% 3.53 17%
CENT Central Garden & Pet 37.2 32% -26% 30% 8% -5% 1.85 73%
CENTA Central Garden & Pet 22.4 19% -32% 24% 4% -7% 1.85 73%
CENX Century Aluminum -76.0 -30% -85% 21% 27% -3% 3.66 79%
CEO CNOOC Ltd ADR -32.0 1% -29% -39% -11% -6% 1.96 31%
CEQP Crestwood Equity Partners LP -19.9 52% -59% -70% -15% -1% 2.79 35%
CERC Cerecor 21.6 14% 228% -27% 1% 4% 4.82 27%
CERN Cerner -56.5 -12% -30% -6% -12% -2% 1.39 61%
CERS Cerus 42.2 34% 113% 9% -7% -9% 2.82 75%
CET Central Securities Corporation 11.5 26% -3% -14% -8% 0% 0.97 65%
CETV Central European Media Enterprises -105.6 -35% -24% -10% 16% 9% 1.74 82%
CEV EV CA Municipal Income 39.6 42% -13% -6% -4% -1% 0.61 87%
CEVA Ceva -6.1 0% -47% 5% -1% -12% 2.45 64%
CF CF Industries Holdings -20.5 16% -26% -40% 8% 3% 2.24 47%
CFFI C&F Financial -247.0 -50% -67% -51% -18% -2% 2.22 8%
CFFN Capitol Federal Financial -170.0 -27% -52% -40% -21% -2% 1.29 2%
CFG Citizens Financial Group Inc -171.5 -39% -47% -31% 2% 11% 2.11 51%
CFR Cullen/Frost Bankers -205.4 -55% -50% -31% -20% -3% 1.87 41%
CFRUY Compagnie Financiere Richemont AG -26.2 2% -50% -17% 2% 9% 1.41 60%
CFRX ContraFect -83.3 -42% -76% 26% -24% 13% 4.98 30%
CFX Colfax Corporation -249.5 -113% -52% 6% 14% 0% 2.40 78%
CG Carlyle Group LP -8.5 5% -11% -14% -24% -7% 2.00 48%
CGBD TCG BDC -663.5 -275% -60% -36% -2% 8% 1.61 59%
CGC Canopy Growth -1.8 24% 57% -48% -13% 0% 4.33 40%
CGEMY Capgemini SE 9.2 6% -11% 10% 18% 5% 1.68 98%
CGEN Compugen 189.6 23% 406% 325% 14% 1% 4.10 96%
CGG CGG -397.6 -86% -112% -75% -35% -7% 3.75 4%
CGNX Cognex -52.6 -26% -24% 12% 1% -8% 2.29 70%
CGO Calamos Global Total Return -12.1 -3% -12% 1% 1% 0% 1.43 92%
CHA China Telecom ADR -133.5 -10% -61% -36% 2% -6% 1.43 35%
CHAP Chaparral Energy Inc -311.1 -3% -132% -109% -103% -38% 5.45 0%
CHCO City Holding -93.0 -6% -33% -29% -12% -5% 1.59 23%
CHCT Community Healthcare Trust Inc 31.6 29% 58% -2% -2% -1% 1.90 82%
CHD Church & Dwight 72.6 50% 54% 15% 10% -5% 1.30 79%
CHDN Churchill Downs 77.4 68% 104% 18% 11% -8% 2.12 82%
CHE Chemed 92.9 71% 118% 3% -2% -4% 1.44 75%
CHEF Chefs Warehouse Holdings LLC -35.6 8% -39% -68% 5% 21% 3.11 36%
CHGG Chegg Inc 151.2 79% 302% 79% -13% -16% 2.41 61%
CHH Choice Hotels International -6.8 -3% 26% -6% 8% 3% 1.53 76%
CHI Calamos Convertible Opps & Income -6.0 -3% -1% 7% 1% 0% 1.13 90%
CHK Chesapeake Energy -521.6 -108% -132% -109% -68% -20% 5.66 0%
CHKP Check Point Software Technologie -179.9 -79% -28% -1% 2% -6% 1.26 74%
CHL China Mobile ADR -189.7 -52% -58% -24% -8% -6% 1.18 33%
CHLKF China Mobile -172.6 -35% -67% -29% -8% -9% 1.54 34%
CHMA Chiasma Inc 18.7 28% 94% -14% -30% 10% 3.76 60%
CHMG Chemung Financial -155.4 -25% -51% -35% 15% 2% 2.31 35%
CHMI Cherry Hill Mortgage Inv -278.4 -94% -54% -27% 3% 3% 1.83 58%
CHN China Fund 93.0 75% 6% 25% 10% 3% 1.20 93%
CHPXF China Pacific Insurance 14.1 79% -68% -38% 5% 12% 1.62 16%
CHRS Coherus BioSciences Inc -64.6 -27% 24% -14% 8% 2% 3.53 76%
CHRW CH Robinson Worldwide 50.3 39% 20% 13% 26% 10% 1.35 98%
CHS Chico's FAS -508.6 -140% -116% -75% -24% -18% 3.97 5%
CHT Chunghwa Telecom ADR 50.2 48% -12% -4% -6% 2% 0.63 70%
CHTR Charter Communications Inc A 111.8 92% 37% 36% 9% 4% 1.51 98%
CHU China Unicom Hong Kong ADR -172.0 -22% -78% -38% 20% -3% 1.64 41%
CHUY Chuy's Holdings Inc -20.4 0% -27% -29% 27% 9% 2.69 58%
CHW Calamos Global Dynamic Income 9.8 5% -5% 7% 9% 3% 1.16 97%
CHY Calamos Convertible & High Income 10.6 3% 2% 7% 2% -1% 1.13 91%
CHYHY Chr Hansen Holding 55.3 39% 2% 28% 4% 1% 1.45 97%
CI Cigna -94.5 -25% -42% -8% -19% -6% 1.82 41%
CIA Citizens -351.4 -127% -60% -29% -4% 0% 2.15 53%
CIB Bancolombia SA -306.5 -76% -69% -54% -7% 4% 1.95 30%
CIBEY Comml Intl Bank Egypt -102.2 -25% -11% -22% -5% 4% 1.19 39%
CICHY China Construction Bank Corp -14.9 11% -39% -15% -17% -9% 1.25 2%
CIEN Ciena 50.7 65% 51% -8% -31% -30% 1.95 25%
CIF MFS Intermediate High Income -67.5 -10% -25% -15% 4% 4% 1.09 65%
CIFAF CI Financial -162.5 -48% -61% -13% 2% -6% 1.53 55%
CIG Energy Company of Minas Gerais ADR -247.2 -61% -49% -47% -8% 5% 2.98 33%
CIGC Energy Company of Minas Gerais -238.3 -52% -45% -52% 22% 16% 3.38 28%
CIGI Colliers International Group Inc -74.3 -19% 3% -19% 0% 5% 1.84 53%
CIHKY China Merchants Bank Co 52.6 64% 23% 1% 6% -1% 1.73 78%
CII BlackRock Enhanced Capital and Inco 13.4 26% -12% -9% 0% 0% 0.97 76%
CIK Credit Suisse Asset Mgmt Income -37.0 -5% -17% -8% 5% 4% 0.80 78%
CILJF China Life Insurance Co -214.4 -77% -55% -12% 8% -7% 2.01 58%
CIM Chimera Investment Corp -246.4 -41% -68% -60% -20% 2% 1.49 17%
CINF Cincinnati Financial -32.8 5% -20% -40% 17% 2% 1.56 46%
CINR Ciner Resources LP -177.4 -42% -70% -24% -8% 31% 1.80 38%
CIO City Office REIT Inc -278.6 -68% -58% -52% -28% -6% 1.52 15%
CIOXY Cielo SA -399.3 -88% -119% -72% -31% -9% 3.04 15%
CIR Circor International -803.6 -339% -79% -36% 12% -2% 3.09 50%
CIT CIT Group Inc -484.2 -143% -90% -69% -27% -8% 2.37 15%
CIVB Civista Bancshares -177.5 -15% -69% -51% -22% -9% 2.13 5%
CIX Compx International -37.5 -19% -17% 6% 18% 21% 2.58 99%
CIZN Citizens Holding -111.8 -49% -27% 2% -22% 0% 1.78 44%
CJPRY Central Japan Railway -32.9 14% -43% -37% -15% 10% 1.30 36%
CJREF Corus Entertainment Inc -225.1 -26% -106% -51% -22% -4% 2.64 31%
CKH Seacor Holdings -13.1 46% -61% -47% -5% -3% 2.20 26%
CKHUF CK Hutchison Holdings -431.4 -154% -61% -41% -12% -4% 1.33 15%
CKHUY Ck Hutchison Holdings Ltd -309.2 -93% -77% -35% -12% -3% 1.19 20%
CKPT Checkpoint Therapeutics -55.3 -28% -93% 45% 50% 50% 5.42 73%
CL Colgate-Palmolive -6.9 0% -20% -1% -3% -1% 1.16 82%
CLAR Clarus 37.9 20% 74% 15% 27% 13% 2.13 100%
CLB Core Laboratories NV -57.8 1% -113% -74% -15% -23% 2.81 24%
CLCGY Clicks Group 9.4 29% -2% -13% 0% 1% 2.22 35%
CLCT Collectors Universe 81.1 11% 123% 81% 57% 27% 2.27 100%
CLDR Cloudera -157.2 -68% -71% 13% -24% -6% 2.96 63%
CLDT Chatham Lodging Trust -378.0 -94% -88% -65% 18% 22% 2.16 29%
CLF Cleveland-Cliffs -156.3 -47% -33% -20% 17% 10% 3.38 70%
CLFD Clearfield -102.7 -51% 39% 65% 52% 18% 2.43 95%
CLGX CoreLogic -151.6 -76% 14% 36% 29% 3% 1.57 98%
CLH Clean Harbors -160.9 -35% -30% -36% -16% -8% 1.99 43%
CLI Mack-Cali Realty -177.5 -21% -71% -44% -20% 10% 1.78 11%
CLLDY CapitaLand Ltd -224.3 -67% -51% -28% -8% 0% 1.16 28%
CLLS Cellectis SA ADR -65.8 -33% -59% 65% 12% 11% 3.07 99%
CLM Cornerstone Strategic Value 25.7 15% 6% 9% 5% 2% 1.10 94%
CLMT Calumet Specialty Products -584.0 -216% -95% -44% -2% 18% 3.56 51%
CLNE Clean Energy Fuels -230.6 -115% -21% 19% 21% -4% 3.40 86%
CLNY Colony Capital -260.2 -35% -108% -59% -6% -3% 2.60 32%
CLPBY Coloplast A/S 91.0 54% 80% 25% -8% 0% 1.32 74%
CLPHF CLP Holdings 103.3 57% 72% 14% -1% 6% 0.83 93%
CLPHY CLP Holdings Ltd -63.5 -8% -30% -14% -11% -1% 0.91 52%
CLPR Clipper Realty -248.6 -51% -70% -50% -19% -10% 2.29 28%
CLR Continental Resources -23.5 46% -92% -66% -19% -16% 3.34 27%
CLS Celestica -282.7 -113% -71% -4% 13% -4% 2.02 77%
CLSD Clearside Biomedical -113.9 -57% -110% 123% -20% 0% 4.67 35%
CLUB Town Sports Intl Hldgs -25.6 55% -127% -91% -62% -59% 5.05 2%
CLVLY Clinuvel Pharmaceuticals 45.4 50% 177% -13% -18% 8% 3.23 39%
CLVS Clovis Oncology Inc -84.0 -33% -124% 33% -3% 29% 4.73 29%
CLW Clearwater Paper Corp -180.9 -90% -54% 87% -4% 3% 2.95 88%
CLX Clorox 71.8 43% 32% 28% -11% -7% 1.27 69%
CLXT Calyxt -197.2 -45% -103% -19% 11% -4% 4.38 73%
CM Canadian Imperial Bank of Commerce -74.4 -15% -29% -12% 7% 6% 1.13 84%
CMA Comerica -187.6 -26% -68% -45% -2% 6% 2.11 35%
CMC Commercial Metals 20.4 26% -5% 10% -1% 1% 2.35 88%
CMCM Cheetah Mobile Inc ADR -198.0 -49% -92% -19% -9% -5% 3.57 60%
CMCO Columbus McKinnon -91.7 -22% -28% -15% 12% 0% 2.20 72%
CMCSA Comcast -46.0 -11% -3% -11% 9% 6% 1.54 89%
CMCT CIM Commercial Trust -146.9 -13% -57% -41% -5% 1% 2.22 44%
CMD Cantel Medical -191.7 -6% -82% -62% -9% -11% 2.38 32%
CME CME Group 18.3 47% 9% -28% -10% 0% 1.39 37%
CMG Chipotle Mexican Grill 136.6 76% 270% 36% 13% 1% 1.96 82%
CMI Cummins 30.3 12% 6% 24% 15% 3% 1.55 99%
CMO Capstead Mortgage -301.1 -113% -52% -20% 9% 2% 1.70 67%
CMP Compass Minerals IntL -164.8 -69% -34% -2% 17% 7% 2.00 90%
CMPGY Compass Group -298.4 -87% -53% -45% 5% 10% 1.55 33%
CMPR Cimpress NV -147.2 -4% -53% -52% -7% -16% 2.62 33%
CMRE Costamare Inc -62.6 -17% -15% -9% 9% 21% 2.46 38%
CMRX Chimerix -238.7 -105% -76% 11% -16% 4% 3.46 64%
CMS CMS Energy -2.5 6% 7% -11% -1% 2% 1.17 66%
CMT Core Molding Technologies -58.6 -29% -86% 55% 113% 59% 3.47 97%
CMTL Comtech Telecomm -190.8 -21% -54% -57% -10% -8% 2.43 15%
CMU MFS High Yield Municipal Trust -60.2 -6% -29% -14% -5% -1% 0.81 61%
CMWAY Commonwealth Bank -256.5 -90% -43% -23% -6% -6% 1.37 57%
CN Xtrackers MSCI All China Equity ET 72.4 72% -12% 18% 9% 3% 1.36 88%
CNA CNA Financial -307.9 -95% -52% -41% -9% -1% 1.45 28%
CNBKA Century Bancorp -104.6 -8% -34% -33% -18% -5% 1.62 39%
CNC Centene 50.1 56% -3% 21% -12% -2% 2.03 61%
CNCE Concert Pharmaceuticals Inc -72.2 -3% -61% -12% -8% 7% 3.63 67%
CNDT Conduent -228.7 -18% -110% -60% 35% -1% 3.04 35%
CNHI CNH Industrial NV -149.0 -20% -60% -35% 12% 6% 2.05 49%
CNI Canadian National Railway -20.6 -10% 3% 7% 14% 3% 1.23 93%
CNK Cinemark Holdings -60.0 6% -98% -79% -25% 6% 2.50 16%
CNMD Conmed -9.3 12% 22% -33% 4% -6% 1.87 50%
CNNEF Canacol Energy Ltd -220.5 -61% -51% -33% -9% 0% 1.69 47%
CNO CNO Financial Group -242.6 -106% -50% 2% 7% 8% 2.03 82%
CNOB ConnectOne Bancorp Inc -186.1 -29% -63% -43% -8% 1% 1.99 31%
CNP CenterPoint Energy -227.4 -48% -61% -45% 0% -5% 1.49 40%
CNQ Canadian Natural Resources -450.1 -162% -70% -40% -3% -8% 2.28 45%
CNR Cornerstone Bldg Brands -45.6 -23% -72% 35% 34% 2% 3.20 89%
CNS Cohen and Steers 17.7 7% 51% 1% -26% -5% 1.81 54%
CNSL Consolidated Comm Holdings -125.8 -63% -91% 37% -5% -22% 3.10 55%
CNTE Contura Energy -294.8 -22% -119% -86% 89% 79% 3.48 20%
CNTY Century Casinos -143.3 -18% -46% -39% 14% 1% 2.83 62%
CNX CNX Resources -20.8 -10% -61% 34% 9% -2% 3.14 80%
CNXM CNX Midstream Partners -222.8 -58% -59% -34% 26% -1% 2.37 48%
CNXN PC Connection 16.4 8% 35% 5% -13% -3% 2.02 44%
CO China Cord Blood Corp -230.6 -46% -103% -34% 8% -1% 2.27 30%
COCP Cocrystal Pharma -388.6 -93% -121% -61% -30% -45% 5.91 31%
CODGF Compagnie de Saint-Gobain -339.6 -152% -60% 2% 14% 7% 1.31 100%
CODI Compass Diversified Holdings -61.8 -20% 0% -11% -7% 3% 1.55 50%
CODYY Compagnie de Saint-Gobain -187.6 -76% -55% 0% 16% 7% 1.63 99%
COE China Online Education Group ADR 88.9 0% 27% 205% -23% -4% 3.83 59%
COF Capital One Financial -219.5 -71% -33% -28% 4% 17% 2.01 53%
COG Cabot Oil & Gas -145.8 -53% -56% -1% -3% -2% 1.95 68%
COHR Coherent -320.2 -89% -91% -40% -31% -6% 2.76 28%
COHU Cohu -31.4 -13% -55% 16% -7% -1% 2.82 48%
COKE Coca-Cola Consolidated -0.3 33% -15% -29% -5% -9% 2.00 46%
COLB Columbia Banking System -199.5 -42% -59% -38% -15% -10% 1.95 27%
COLL Collegium Pharmaceutical Inc 40.3 7% 67% 63% 7% 6% 3.57 65%
COLM Columbia Sportswear 23.7 40% 25% -16% 6% 12% 1.69 74%
COMB GraniteShares Blmbrg CmdtyBrdStr N -102.8 -19% -44% -18% 6% 3% 0.69 62%
COMM CommScope Holding Co Inc -394.5 -132% -105% -30% -8% -9% 2.49 39%
CONE CyrusOne Inc 23.2 47% -8% -13% -12% -10% 1.71 67%
CONN Conns -402.0 -102% -88% -70% 2% -18% 3.72 29%
COO Cooper Companies 11.9 8% 7% 5% 9% 15% 1.50 88%
COOP Mr Cooper Group Inc -101.3 -51% 25% 89% 59% 24% 3.26 99%
COP ConocoPhillips -196.2 -33% -51% -48% -24% -8% 2.07 32%
COR CoreSite Realty Corp -72.3 -26% -14% -5% -9% -2% 1.49 70%
CORE Core Mark Holding -1.1 19% -25% -13% 13% -7% 2.22 66%
CORR CorEnergy Infrastructure Trust Inc -310.5 -23% -109% -96% -49% -28% 2.33 0%
CORT Corcept Therapeutics -78.7 -39% -35% 21% 4% 33% 3.03 80%
COST Costco Wholesale 91.1 63% 82% 7% 5% 0% 1.15 71%
COTY Coty Inc Class A -458.3 -112% -113% -80% -43% -20% 2.94 0%
COUP COUPA SOFTWARE INC 208.1 103% 658% 69% -11% -15% 2.76 59%
COVTY Covestro 17.3 41% -59% 4% 44% 19% 1.96 100%
COWN Cowen Group Inc -216.7 -94% -30% -4% 8% -3% 2.20 87%
CP Canadian Pacific Railway 60.5 33% 60% 20% 12% 2% 1.40 94%
CPA Copa Holdings Sa-A -404.7 -128% -83% -47% 14% 25% 2.56 39%
CPAC Cementos Pacasmayo SAA -260.0 -83% -66% -25% -16% -8% 1.98 45%
CPB Campbell Soup 39.1 69% -28% -10% -14% -12% 1.52 37%
CPE Callon Petroleum -308.2 -14% -127% -97% -64% -20% 4.49 4%
CPF Central Pacific Financial -303.2 -68% -78% -57% -14% -6% 1.77 14%
CPG Crescent Point Energy Corp -352.3 -60% -112% -79% -21% -27% 3.78 20%
CPIX Cumberland Pharmaceuticals -187.1 -18% -85% -47% -9% 3% 2.48 7%
CPK Chesapeake Utilities -13.8 24% -33% -30% -19% -10% 1.54 10%
CPLP Capital Product Partners LP -321.8 -90% -96% -39% -29% 16% 1.90 22%
CPRI Capri Holdings Ltd -200.8 -25% -86% -46% 25% 33% 3.00 42%
CPRT Copart 102.6 55% 183% 16% 16% 5% 1.56 97%
CPRX Catalyst Pharmaceuticals -315.0 -100% 6% -59% -34% -6% 3.63 19%
CPS Cooper-Standard Holdings Inc -283.8 -28% -118% -74% 7% 5% 3.45 22%
CPSI Computer Programs And Systems -168.7 -81% -33% 7% 13% -6% 1.92 68%
CPT Camden Property Trust -81.5 -4% -29% -27% -11% 4% 1.30 44%
CPTA Capitala Finance -430.6 -91% -107% -89% -45% -19% 2.05 1%
CPYYF Centrica -285.3 -58% -109% -48% 0% -11% 1.96 24%
CPYYY Centrica PLC -534.6 -192% -102% -41% -5% -8% 2.11 30%
CQP Cheniere Energy Partners LP 26.0 68% 11% -37% -22% -14% 1.70 56%
CR Crane -353.3 -114% -59% -43% -10% -7% 1.79 30%
CRAI CRA International -125.0 -44% -21% -12% 5% -8% 2.06 55%
CRARY Credit Agricole SA -379.2 -132% -73% -33% -1% -6% 1.74 37%
CRBP Corbus Pharmaceuticals Holdings Inc -276.3 -28% -105% -76% -82% -74% 3.68 0%
CRDA Crawford & Company-A -30.3 11% -48% -42% -6% -7% 2.12 27%
CRDB Crawford & Company-B -220.1 -51% -64% -37% -6% -8% 2.11 38%
CREE Cree 52.2 44% 118% 12% -4% 0% 2.65 75%
CRESY Cresud SA ADR -224.7 -13% -115% -61% -17% -13% 2.79 11%
CRF Cornerstone Total Return 23.7 13% 5% 11% 5% 3% 1.14 94%
CRH CRH Plc ADR -40.6 -17% -19% 3% 2% -4% 1.63 90%
CRHCF CRH PLC -106.7 -43% -29% -1% 0% -3% 1.38 84%
CRHM CRH Medical -160.7 -31% -45% -35% -5% -10% 3.04 39%
CRI Carter -103.6 -30% -33% -10% -4% 10% 1.93 50%
CRK Comstock Resources -417.4 -136% -48% -57% 2% -16% 4.11 19%
CRL Charles River Laboratories Intl 116.8 89% 72% 49% 17% 4% 1.76 95%
CRM SalesForcecom 132.2 102% 121% 48% 23% 20% 1.87 75%
CRMD Cormedix Inc 36.8 147% 87% -55% -33% -5% 5.59 37%
CRMT Americas Car-Mart 28.1 35% 81% -15% -8% -13% 2.30 53%
CRNT Ceragon Networks -3.5 23% -18% -25% 9% -2% 3.36 68%
CRON Cronos Group 8.7 46% 113% -59% -25% -1% 4.76 13%
CROX CROCS 90.2 32% 321% 40% 21% 9% 2.97 93%
CRRFY Carrefour SA -359.3 -141% -48% -22% -6% 1% 1.57 50%
CRS Carpenter Technology -53.4 5% -82% -73% -24% -2% 2.56 14%
CRSP CRISPR THERAPEUTICS AG 80.2 14% 318% 70% 17% -13% 3.75 78%
CRTO Criteo SA -342.9 -91% -102% -46% -7% -5% 2.63 43%
CRUS Cirrus Logic 0.2 10% -25% -1% -11% 3% 2.41 26%
CRVL Corvel 22.5 26% 36% -4% 24% 10% 1.98 83%
CRVS Corvus Pharmaceuticals Inc -125.1 -43% -107% 16% 42% 12% 4.72 64%
CRY Cryolife -206.9 -35% -55% -50% -15% -14% 2.22 17%
CRZBY Commerzbank AG -217.4 -53% -90% -26% 16% -5% 2.46 53%
CS Credit Suisse ADR -198.2 -54% -59% -25% -1% -3% 1.71 58%
CSBR Champions Oncology Inc 46.5 40% 121% 39% -8% 2% 4.13 82%
CSCO Cisco Systems 5.8 34% 1% -27% -19% -3% 1.54 44%
CSGKF Credit Suisse Group -212.3 -59% -63% -26% -1% -2% 1.70 55%
CSGP Costar Group 117.4 73% 167% 28% 9% 2% 1.66 86%
CSGS CSG Systems International -22.9 13% -21% -34% -15% -7% 1.46 12%
CSII Cardiovascular Systems Inc -19.1 9% -6% -39% -3% 12% 2.34 30%
CSIQ Canadian Solar Inc 25.5 11% 42% 22% 55% 12% 2.68 78%
CSL Carlisle Companies -8.8 15% -3% -25% -7% -2% 1.54 37%
CSLLY CSL 82.2 62% 71% 20% -2% -6% 1.58 74%
CSLT Castlight Health Inc Class B -409.3 -129% -106% -41% 39% -10% 3.68 45%
CSOD Cornerstone OnDemand Inc -147.5 -11% -47% -47% -19% -4% 1.99 27%
CSQ Calamos Strategic Total Return 33.9 31% 11% 2% 2% -1% 1.20 88%
CSSE Chicken Soup for the Soul Entertain -151.3 -76% 65% 33% 74% 12% 3.35 77%
CSTE Caesarstone Ltd -248.4 -43% -96% -49% -14% -4% 2.29 20%
CSTM Constellium NV Class A -178.8 -28% -41% -47% 4% 10% 3.31 43%
CSTR CapStar Financial Hldgs -230.9 -40% -74% -51% -21% -4% 2.02 25%
CSU Capital Senior Living -294.3 -9% -127% -95% -30% 8% 3.96 5%
CSUAY China Shenhua Energy Co -142.2 -39% -43% -17% -1% 8% 1.65 59%
CSV Carriage Services -65.5 -7% -40% -12% 6% -4% 1.91 55%
CSWC Capital Southwest -16.0 18% -10% -34% -3% 0% 1.50 56%
CSWI CSW Industrials Inc 39.5 37% 42% -1% 4% 3% 1.53 77%
CSX CSX 38.4 37% 28% 4% 11% 10% 1.61 99%
CTAS Cintas 83.4 51% 112% 17% 11% 2% 1.54 87%
CTB Cooper Tire & Rubber -191.6 -96% -35% 22% 17% -5% 2.12 81%
CTBI Community Trust Bancorp -166.7 -26% -55% -39% -12% -7% 1.69 11%
CTG Computer Task Group -65.1 -9% -40% -11% 11% 4% 2.22 55%
CTIC CTI BioPharma -310.0 -139% -98% 17% -22% -3% 3.37 40%
CTL CenturyLink -108.7 -18% -53% -19% 1% -1% 2.33 42%
CTLT Catalent Inc 88.6 46% 80% 57% 12% -1% 1.93 86%
CTMX CytomX Therapeutics Inc -3.3 52% -90% -30% -17% 7% 3.52 34%
CTO Consolidated-Tomoka Land -130.2 -2% -54% -45% 5% 0% 1.68 27%
CTPCY CITIC -264.3 -71% -67% -39% -16% -6% 0.56 3%
CTR ClearBridge Energy MLP Total Retur -570.2 -166% -108% -83% -32% -19% 2.11 20%
CTRE CareTrust REIT Inc -82.6 -7% -23% -26% -4% 4% 1.87 69%
CTRN Citi Trends -93.8 -47% 3% 29% 40% 37% 2.69 98%
CTRYF Country Garden Holdings Co Ltd -127.5 -33% -57% -12% -6% -1% 1.51 48%
CTS CTS -115.4 -8% -32% -39% 7% 7% 1.97 30%
CTSH Cognizant Technology Solutions-A -200.7 -89% -33% 0% 20% 5% 1.53 94%
CTSO CytoSorbents 48.3 50% 24% 47% -11% -1% 3.35 64%
CTT CatchMark Timber Trust Inc Class A -67.3 -1% -45% -18% 2% -9% 1.80 64%
CTTAY Continental AG -137.7 -12% -85% -29% 8% 0% 1.94 59%
CTXS Citrix Systems 97.0 61% 47% 30% -14% -3% 1.20 55%
CUB Cubic -29.8 13% -34% -49% -9% -1% 2.16 29%
CUBA Herzfeld Caribbean Basin -245.7 -59% -65% -42% -13% -1% 1.50 33%
CUBE CubeSmart 18.7 36% 5% -16% 14% 8% 1.30 85%
CUBI Customers Bancorp Inc -461.9 -151% -90% -50% 0% 3% 2.43 23%
CUK Carnival PLC ADR -493.6 -127% -112% -83% -24% 3% 2.59 12%
CULP Culp -185.2 -28% -89% -35% 55% 8% 2.24 64%
CUTR Cutera -20.1 25% -82% -40% 46% 37% 3.21 38%
CUZ Cousins Properties -249.3 -78% -49% -30% -13% -3% 1.53 33%
CVA Covanta Holding -164.2 -1% -63% -60% -17% -11% 1.82 16%
CVBF CVB Financial -31.6 1% -45% -28% -15% -6% 1.63 36%
CVCO Cavco Industries 2.5 32% -12% -23% -15% -15% 2.56 50%
CVCY Central Valley Community Bancorp -232.2 -44% -68% -50% -21% 0% 2.00 15%
CVE Cenovus Energy Inc -462.3 -136% -84% -67% -14% -13% 2.98 30%
CVEO Civeo Corp -266.5 -44% -103% -55% 13% -12% 4.11 35%
CVGI Commercial Vehicle Group -147.4 -22% -44% -37% 125% 23% 3.68 68%
CVGW Calavo Growers -139.7 -22% -34% -36% 5% 8% 1.78 40%
CVI CVR Energy Inc -27.4 48% -63% -78% -47% -24% 2.70 0%
CVLT Commvault Systems -319.8 -120% -66% -18% 1% -4% 1.67 55%
CVLY Codorus Valley Bancorp -360.1 -101% -78% -53% -13% 4% 1.91 17%
CVNA Carvana 161.5 26% 876% 105% 23% -16% 4.24 68%
CVS CVS Health Corp -167.4 -52% -54% -14% -14% -7% 1.67 35%
CVSI Cv Sciences Inc -8.2 33% 79% -91% -28% -18% 6.64 10%
CVTI Covenant Transport-A -11.1 17% -68% -16% 19% -15% 2.80 70%
CVU CPI Aerostructures -383.2 -81% -102% -77% -26% -16% 2.77 19%
CVX Chevron -171.0 -23% -55% -44% -20% -8% 1.58 39%
CW Curtiss-Wright -109.6 -9% -34% -34% 4% -2% 1.72 31%
CWBC Community West Bancshares -161.8 -40% -49% -25% -7% 1% 1.52 47%
CWBR CohBar -19.7 0% -88% -34% -64% -22% 5.34 6%
CWCO Consolidated Water Co -5.0 37% -33% -33% -27% -5% 1.85 7%
CWEN Clearway Energy Inc 65.8 38% 30% 38% 3% 2% 1.60 92%
CWENA Clearway Energy Inc 56.2 33% 20% 33% 4% -2% 1.60 88%
CWGL Crimson Wine Group Ltd -187.8 -19% -88% -46% -18% -15% 1.45 0%
CWH CAMPING WORLD HLDGS INC -84.0 -42% -44% 250% 5% -15% 3.92 69%
CWST Casella Waste Systems 99.9 64% 178% 22% 8% 0% 1.92 87%
CWT California Water Service -19.6 13% -17% -32% -15% -10% 1.57 0%
CX Cemex S A B de C V -453.9 -184% -89% -13% 27% 15% 2.54 81%
CXDC China XD Plastics -203.2 -12% -108% -53% -6% 2% 2.71 28%
CXE MFS High Income Municipal Trust -86.9 -23% -25% -12% -4% -2% 0.87 65%
CXH MFS Investment Grade Muni 4.5 19% -23% -8% -5% -2% 0.57 81%
CXO Concho Resources Inc -216.1 -34% -93% -43% -20% -2% 2.46 22%
CXP Columbia Property Trust Inc -440.1 -142% -72% -54% -22% 0% 1.72 26%
CXW CoreCivic -481.6 -154% -91% -56% -20% -7% 2.28 2%
CYAD Celyad -16.2 12% -114% -15% -20% -3% 4.06 65%
CYBE CyberOptics 86.8 54% 63% 91% -19% -13% 2.84 61%
CYBR CyberArk Software Ltd 31.8 36% 98% -18% -11% -8% 2.22 36%
CYD China Yuchai International 28.8 28% -27% 26% 31% 14% 2.09 97%
CYH Community Health Systems -146.4 -65% -71% 16% 36% -12% 4.60 43%
CYRN CYREN -4.4 67% -75% -52% -25% -6% 3.44 34%
CYRX CryoPort 141.6 42% 357% 149% 60% 39% 3.37 73%
CYTK Cytokinetics Inc 34.8 17% 20% 55% -14% -5% 3.55 66%
CZNC Citizens and Northern Corporation -150.8 -13% -53% -45% -27% -5% 2.00 1%
CZWI Citizens Community Bancorp Inc -447.3 -147% -79% -51% -13% -2% 1.42 20%
CZZ Cosan Ltd 29.5 26% 74% 3% 3% -4% 2.61 53%
D Dominion Energy -2.6 13% -19% -10% -11% 3% 1.24 69%
DAC Danaos -440.7 -162% -97% -26% 68% 34% 4.31 44%
DAKT Daktronics -368.8 -106% -85% -50% -5% 15% 1.94 18%
DAL Delta Air Lines -370.7 -112% -60% -54% 4% 20% 2.09 32%
DAN Dana Holding Corp -351.2 -127% -80% -22% 4% 1% 2.83 61%
DANOY Danone -40.6 2% -40% -31% -11% 2% 1.09 39%
DAR Darling Ingredients 99.1 53% 61% 66% 39% 10% 1.81 98%
DASTY Dassault Systemes SA 68.2 46% 57% 22% 4% 7% 1.55 99%
DB Deutsche Bank AG -203.1 -78% -76% 2% -9% -3% 2.31 65%
DBD Diebold Nixdorf -380.2 -104% -97% -54% 18% -6% 4.64 44%
DBI Designer Brands-A -38.0 20% -98% -73% -14% -8% 3.53 20%
DBL Doubleline Opportunistic Credit -125.1 -39% -33% -12% -7% -1% 0.73 77%
DBOEY Deutsche Boerse AG 58.5 51% 33% 6% -8% -5% 1.31 76%
DBSDF DBS Group Holdings -30.4 9% -36% -29% -11% -2% 1.16 43%
DBSDY DBS Group Holdings Ltd -21.7 7% -19% -25% -9% -2% 1.22 48%
DBVT DBV Technologies SA ADR -817.6 -276% -128% -90% -71% -12% 3.47 0%
DCI Donaldson -181.5 -68% -19% -16% 2% -2% 1.51 64%
DCMYY NTT DOCOMO -2.5 12% -14% -10% -12% -10% 1.06 6%
DCO Ducommun -78.6 -8% -6% -30% 2% -4% 2.49 51%
DCOM Dime Community Bancshares -243.1 -48% -64% -52% -13% -5% 1.84 9%
DCP DCP Midstream -23.3 50% -88% -65% -21% -18% 2.85 39%
DD Dupont De Nemours Inc -268.5 -75% -102% -25% 6% 7% 1.96 73%
DDAIF Daimler AG -193.4 -71% -57% -7% 26% 8% 1.84 84%
DDD 3D Systems Corporation -31.9 10% -93% -47% -35% -1% 3.21 2%
DDF Delaware Inv Div & Income -16.7 33% -29% -45% -8% -2% 1.56 29%
DDS Dillard's -219.8 -35% -71% -51% 27% 33% 3.27 24%
DE Deere & Company 80.9 65% 63% 27% 37% 17% 1.80 100%
DEA Easterly Government Properties Inc 39.8 43% -2% 2% -10% -4% 1.22 37%
DECK Deckers Outdoor 97.7 45% 200% 41% -1% 2% 2.12 89%
DECLQ Indexfam NASDAQ Declines Index 0.0 0% 26% -6% -6% 1% 49.26 49%
DEI Douglas Emmett -230.7 -48% -60% -47% -21% -6% 1.38 8%
DENN Dennys -24.6 40% -44% -65% -10% 2% 2.24 30%
DEO Diageo PLC ADR -27.2 7% -27% -27% -12% -3% 1.11 49%
DEX Delaware Enhanced Gbl Div & Income -36.4 0% -28% -9% 6% 1% 0.88 77%
DFEN Direxion Dly Aerospace&Def Bl 3X S -337.3 -45% -98% -91% -19% -2% 4.08 9%
DFIN Donnelley Financial Solutions INC -330.8 -130% -76% -9% 39% 9% 2.59 93%
DFP Flah & Crum Dynamic Pref & Income 4.1 2% -4% 3% 1% 6% 0.93 97%
DFS Discover Financial Services -25.6 8% -27% -38% 4% 18% 2.06 57%
DG Dollar General Corporation 131.2 78% 145% 23% 3% 6% 1.29 100%
DGICA Donegal Group -6.0 4% -25% -3% 2% 2% 1.47 85%
DGICB Donegal Group -100.7 -39% -24% -3% -2% 6% 1.70 77%
DGII Digi International -5.2 -3% 30% 2% 42% 13% 2.39 73%
DGX Quest Diagnostics -122.0 -55% -16% 0% -1% -2% 1.35 72%
DHC Diversified Healthcare Trust -588.5 -190% -112% -67% -14% -1% 2.70 20%
DHF BNY Mellon Hi Yld Strat Fund -113.0 -37% -27% -11% 2% 2% 0.82 83%
DHI DR Horton 48.6 14% 69% 34% 23% 0% 1.94 91%
DHIL Diamond Hill Investment Group -197.0 -67% -60% -12% 7% 4% 1.43 71%
DHR Danaher 130.2 80% 106% 32% 12% 2% 1.26 96%
DHT DHT Holdings Inc 44.9 52% 54% 8% 8% 2% 2.49 44%
DHX DHI Group -15.2 12% -6% -44% -3% -1% 3.58 36%
DHY Credit Suisse High Yield Bond -154.7 -50% -33% -17% 4% 4% 0.88 79%
DIAX Nuveen Dow 30 Dynamic Overwrite -104.2 -14% -30% -28% -4% 1% 1.02 57%
DIFTY Daito Trust Construction -164.8 -15% -79% -41% -15% 12% 1.52 29%
DIN Dine Brands Global Inc -0.7 16% 29% -27% 24% 7% 3.14 51%
DIOD Diodes 32.2 26% 39% 13% -8% -1% 2.23 62%
DIS Walt Disney 0.4 13% 3% -13% 5% 2% 1.46 66%
DISCA Discovery Communications -109.2 -27% -21% -21% 1% 9% 2.16 37%
DISCB Discovery Communications -60.2 -30% 15% 7% -18% -7% 3.66 31%
DISCK Discovery Communications Inc -129.9 -34% -24% -23% 1% 9% 2.11 37%
DISH DISH Network-A -255.8 -81% -74% -23% -20% -7% 2.33 56%
DJCO Daily Journal 3.2 17% -23% -4% -15% -8% 2.10 49%
DK Delek US Holdings -49.6 4% -81% -76% -43% -26% 3.00 11%
DKILY Daikin Industries 55.0 24% 52% 28% 12% 3% 1.52 93%
DKL Delek Logistics Partners LP -33.6 -17% 14% 4% 15% -7% 2.37 89%
DKS Dicks Sporting Goods -50.6 -25% 101% 51% 42% 28% 2.48 100%
DL China Distance Education 71.8 38% 17% 72% -1% 4% 2.24 81%
DLA Delta Apparel -252.8 -59% -64% -46% 22% 7% 2.70 29%
DLAKY Deutsche Lufthansa AG -213.0 -31% -92% -44% -17% 0% 2.13 21%
DLB Dolby Labboratories -33.5 -5% -18% -6% -9% -4% 1.44 71%
DLNG Dynagas LNG Partners LP -172.8 -86% -108% 92% -28% -9% 3.21 59%
DLR Digital Realty Trust 47.4 48% 4% 10% -3% -2% 1.51 72%
DLTH Duluth Holdings Inc Shs -B- -27.5 -14% -67% 28% 71% 54% 3.16 95%
DLTR Dollar Tree -26.0 6% -27% -32% -8% -10% 1.67 42%
DLX Deluxe -339.8 -87% -91% -53% 13% -10% 2.08 23%
DMB BNY Mellon Muni Bd Infrastr-Common -11.8 3% -14% -8% -3% 1% 0.72 82%
DMF BNY Mellon Muni Incm-Common Stk 19.3 34% -26% -9% -5% 2% 0.66 69%
DMLP Dorchester Minerals -118.7 -1% -34% -47% -12% -8% 1.71 20%
DMLRY Daimler -152.1 -56% -52% -3% 27% 7% 1.77 92%
DMO Western Asset Mortgage Defined Opp -340.3 -111% -54% -41% -11% 4% 1.16 33%
DMRC Digimarc Corporation -220.8 -17% -77% -68% -3% 25% 3.45 25%
DMTK Dermtech -772.7 -386% -76% 75% -34% -11% 2.04 54%
DNBHF DNB ASA -239.3 -85% -24% -27% 2% -9% 2.21 60%
DNHBY DNB -335.4 -130% -43% -23% 2% -7% 1.66 68%
DNI Dividend and Income Fund -55.1 -9% -25% -10% 1% 0% 1.14 71%
DNKEY DANSKE BANK A\/ -212.7 -67% -91% -9% -7% -16% 1.75 51%
DNKN Dunkin Brands Group Inc 17.7 31% 20% -15% 13% 8% 1.51 91%
DNN Denison Mines Corp -5.9 21% -43% -19% 19% -9% 3.17 64%
DNOW Now Inc -281.6 -47% -88% -64% -44% -32% 2.83 15%
DNP DNP Select Income -20.0 13% -21% -25% -13% -2% 0.89 54%
DNPLY Dai Nippon Printing Co -231.1 -76% -41% -26% -14% 2% 1.31 36%
DNR Denbury Resources -36.0 29% -130% -108% -99% 2% 5.81 1%
DNSKF Danske Bank A/S -128.2 -14% -90% -20% -9% -16% 2.13 49%
DNZOY Denso Corp -82.6 -15% -41% -12% 11% 11% 1.43 84%
DOC Physicians Realty Trust -43.4 -10% -22% -4% -8% 3% 1.52 70%
DOOO BRP Inc -17.5 -9% 23% 20% 18% 5% 2.40 86%
DOOR Masonite International Corp -28.4 -14% 7% 47% 27% -1% 2.10 90%
DORM Dorman Products -0.4 5% -6% -3% 21% 5% 1.90 95%
DOV Dover -3.4 -2% 32% 5% 12% 4% 1.53 89%
DOX Amdocs -30.5 3% -37% -22% -10% -3% 1.08 42%
DPG Duff&Phelps Global Utility Income -231.8 -66% -45% -35% -9% -5% 1.38 57%
DPMLF Dundee Precious Metals 140.5 67% 234% 114% 25% 11% 2.68 97%
DPSGY Deutsche Post AG -13.6 -7% -14% 33% 31% 8% 1.38 100%
DPZ Dominos Pizza 64.2 9% 76% 52% -2% -2% 1.69 88%
DQ Daqo New Energy Corp ADR 89.2 39% 255% 107% 79% -9% 4.17 77%
DRD DRDGold 140.3 60% 208% 185% -12% -15% 3.48 59%
DRE Duke Realty 31.6 34% 3% 2% -4% -2% 1.33 76%
DRH Diamondrock Hospitality -452.1 -144% -78% -56% -13% 6% 2.20 35%
DRI Darden Restaurants -137.1 -28% -18% -35% 21% 14% 1.95 63%
DRNA Dicerna Pharmaceuticals 81.4 44% 365% 27% -25% 4% 3.75 48%
DRQ Dril-Quip -209.7 -19% -72% -62% -18% -22% 2.66 3%
DRRX Durect -162.9 -62% -20% -13% -30% -18% 4.58 31%
DRTGF Dart Group 34.1 139% -17% -25% -33% -8% 5.36 26%
DRTTF Dirtt Environmental Solutions -244.4 -23% -90% -69% 33% 10% 2.93 28%
DS Drive Shack -39.0 22% -85% -76% -36% -9% 3.23 9%
DSDVY DSV A/S UNS ADR 119.6 68% 85% 53% 28% 7% 1.49 99%
DSE Duff & Phelps Select Energy MLP -588.2 -152% -124% -101% -43% -17% 2.65 2%
DSEEY Daiwa Securities Group Inc -184.8 -60% -51% -15% -4% 0% 1.32 53%
DSGX Descartes Systems Group 54.0 31% 56% 20% -7% -6% 1.60 68%
DSKE Daseke -212.8 -106% -87% 92% 78% -7% 3.86 83%
DSL DoubleLine Income Solutions -113.5 -28% -29% -19% 1% 3% 1.00 66%
DSM BNY Mellon Strtgc Muni Bd-Auction -17.8 12% -32% -16% -4% -2% 0.64 63%
DSNKY Daiichi Sankyo 124.2 57% 267% 30% 4% 3% 1.84 92%
DSPG DSP Group -63.6 -6% -24% -18% -23% -7% 1.75 37%
DSU BlackRock Debt Strategies Fund -5.8 10% -21% -8% 2% 4% 0.67 87%
DSX Diana Shipping -242.3 -25% -95% -64% -21% 11% 2.56 10%
DTE DTE Energy Holding -81.3 -12% -21% -22% 2% -2% 1.25 66%
DTEGF Deutsche Telekom -195.7 -82% -34% -5% -8% -2% 1.14 90%
DTEGY Deutsche Telekom AG -52.7 -24% -16% 3% 0% 0% 1.05 93%
DTF DTF Tax-Free Income 11.0 20% -22% -5% -5% 1% 0.44 76%
DUC Duff Phelps Utility&Corp Bond 24.9 21% -14% 0% -5% 3% 0.37 98%
DUK Duke Energy -58.6 -3% -23% -19% -5% 3% 1.17 54%
DUSL Direxion Dly Industrials Bull 3X Sh -290.5 -80% -57% -47% 37% 10% 3.62 42%
DVA DaVita Inv 68.3 57% 11% 36% 3% 3% 1.82 88%
DVAX Dynavax Technologies Corp -283.2 -119% -106% 13% -24% -15% 4.25 34%
DVN Devon Energy -376.1 -84% -101% -70% -29% -9% 2.98 23%
DVOLQ Indexfam NASDAQ Down Volume Index 0.0 0% 307% 194% -10% 76% 60.59 58%
DWAHY Daiwa House Industry -182.7 -48% -50% -26% 4% 12% 1.49 50%
DWSN Dawson Geophysical -3.8 50% -88% -30% 10% 8% 3.59 44%
DX Dynex Capital -253.8 -127% -24% 11% 8% 4% 1.47 76%
DXC DXC Technology -208.1 -15% -110% -52% 12% -5% 2.53 33%
DXCM Dexcom 187.0 44% 430% 141% -12% -8% 2.51 80%
DXF Dunxin Financial Holdings -25.1 28% -115% -59% -24% 13% 4.49 28%
DXLG Destination XL Group -271.9 -7% -118% -90% -58% 9% 4.27 4%
DXPE DXP Enterprises -42.6 4% -73% -62% -17% -6% 2.87 22%
DY Dycom Industries 21.5 65% -64% -1% 35% 20% 2.97 81%
DZSI DASAN Zhone Solutions -18.5 -8% 27% -10% 10% -6% 3.05 84%
E Eni S P A ADR -158.2 -5% -70% -51% -19% -7% 1.51 23%
EA Electronic Arts 42.2 53% -28% 16% -10% -10% 1.82 65%
EAD Wells Fargo Inc Opp -0.9 15% -18% -10% 1% 2% 0.74 84%
EADSY Airbus Group -207.6 -43% -35% -50% -1% -1% 2.06 30%
EARN Ellington Residential Mortgage REIT -182.4 -91% -17% 13% 9% 8% 1.62 99%
EAT Brinker International -114.6 -57% 24% -2% 83% 24% 2.97 96%
EBAY eBay 37.3 36% -3% 12% -6% -14% 1.51 68%
EBCOY Ebara -167.6 -64% -47% -5% 12% 6% 1.88 74%
EBF Ennis -111.6 -27% -26% -20% 3% 0% 1.62 53%
EBIX Ebix -203.2 -7% -97% -63% -20% -18% 2.70 33%
EBKDY Erste Group Bank AG -443.6 -152% -75% -45% -12% -3% 1.84 29%
EBMT Eagle Bancorp Montana -40.4 -10% -26% -2% -6% 5% 1.52 58%
EBR CENTRAIS ELETRICAS BRASILEIRAS -25.4 1% -38% -48% 4% 7% 3.72 45%
EBRB Centrais Eletricas Brasileiras SA A -14.9 30% -50% -51% 5% 2% 4.03 40%
EBS Emergent Biosolutions 118.5 79% 133% 83% 33% -22% 2.48 60%
EBSB Meridian Bancorp Inc -241.9 -47% -70% -50% -10% -5% 1.63 11%
EBTC Enterprise Bancorp -168.1 -23% -65% -40% -10% 2% 2.28 15%
EC Ecopetrol SA ADR -13.4 12% 13% -40% -9% -2% 2.40 39%
ECC Eagle Point Credit -190.8 -24% -70% -48% 20% 9% 1.77 37%
ECF Ellsworth Growth and Income 36.4 23% 23% 9% 0% -3% 1.20 89%
ECHO Echo Global Logistics Inc 34.5 45% 21% 5% 16% 0% 2.29 88%
ECIFY Electricite de France SA -82.5 -5% -41% -22% 5% 1% 1.81 44%
ECL Ecolab 43.8 46% 29% -6% -5% 7% 1.29 76%
ECOL US Ecology -36.9 24% -64% -57% -10% -9% 1.91 20%
ECOM ChannelAdvisor Corp -154.5 -77% -14% 36% -3% -23% 2.49 54%
ECPG Encore Capital Grp -163.5 -77% -35% 6% 2% -13% 2.61 72%
ED Consolidated Edison -25.5 10% -34% -27% -3% 2% 1.18 35%
EDD MS Emerging Markets Domestic -161.9 -52% -41% -15% -2% 3% 0.89 69%
EDF Stone Harbor Emerging Mkts Income -268.1 -63% -67% -48% -7% -1% 1.59 30%
EDI Stone Harbor Emg Mkts Total Income -301.7 -98% -58% -33% -1% 2% 1.43 53%
EDIT Editas Medicine Inc 15.6 4% 26% 24% -2% -7% 3.72 85%
EDN Empresa Distribuidora y Comercializ -227.7 -3% -124% -70% -30% -14% 3.32 7%
EDPFY EDP - Energias 75.4 51% 21% 28% 1% -1% 1.29 90%
EDU New Oriental Education & Technology 55.5 52% 44% 26% 5% 13% 2.35 97%
EDUC Educational Development 134.6 67% 151% 150% 74% 6% 2.97 85%
EDVMF Endeavour Mining -115.6 -58% 16% 29% 16% 3% 2.53 88%
EEA European Equity Fund -12.6 0% -25% 2% 10% 2% 1.17 93%
EEFT Euronet Worldwide -9.5 45% -37% -46% -9% -4% 1.90 26%
EEX Emerald Expositions Events -464.8 -108% -120% -84% -24% -7% 2.62 11%
EFC Ellington Financial Inc -128.3 -30% -17% -28% 7% 7% 1.59 67%
EFF EV Floating-Rate Income Plus -86.9 -25% -28% -9% -3% 2% 0.61 82%
EFL Eaton Vance Float-Rate 2022 Target -112.0 -40% -26% -8% 4% 5% 0.87 88%
EFR EV Senior Floating Rate -148.6 -54% -31% -10% 0% 3% 0.65 79%
EFSC Enterprise Financial Servics -181.8 -31% -58% -40% -16% -7% 1.88 19%
EFT EV Floating Rate Income -97.1 -27% -30% -11% 0% 3% 0.66 78%
EFX Equifax 12.5 1% 39% 1% -14% -2% 1.48 69%
EGAN eGain 111.0 53% 408% 64% 41% 24% 3.57 95%
EGBN Eagle Bancorp Inc -726.2 -288% -88% -46% -18% -6% 2.01 13%
EGF BlackRock Enhanced Gov Fund 9.8 19% -23% -4% -6% 2% 0.50 96%
EGHT 8x8 -2.4 49% -21% -46% -6% -4% 2.54 33%
EGLE Eagle Bulk Shipping Inc -23.1 9% -63% -36% 27% 31% 3.15 57%
EGO Eldorado Gold Corp -8.0 -4% -31% 32% 30% 6% 3.45 88%
EGOV NIC -61.5 -21% -2% -9% -16% -6% 1.71 50%
EGP EastGroup Properties 25.4 24% 26% -3% 7% 1% 1.38 86%
EGRNF China Evergrande Group -163.8 -38% -74% -19% -2% -27% 1.86 33%
EGRX Eagle Pharmaceuticals Inc -208.0 -40% -64% -43% -19% -4% 2.42 18%
EGY VAALCO Energy -131.5 -14% 17% -58% -19% -7% 3.73 19%
EHC Encompass Health 44.7 58% 23% -8% -6% 6% 1.57 47%
EHI Western Asset Global High 12.5 15% -9% -2% 2% 2% 0.65 96%
EHT Eaton Vance High Income 2021 Targe -41.8 -4% -23% -9% -4% 1% 0.64 87%
EHTH eHealth 41.2 35% 202% -14% -35% 13% 3.28 28%
EIG Employers Holdings -200.4 -45% -54% -38% -3% -5% 1.54 25%
EIGI Endurance International Group Holdi -224.2 -105% -70% 16% 17% -19% 3.00 67%
EIGR Eiger BioPharmaceuticals -130.2 -29% -43% -22% -13% -13% 3.51 50%
EIM EV Municipal Bond 32.2 33% -17% -3% -2% 1% 0.51 92%
EIPAF Eni -229.0 -44% -68% -48% -17% 0% 1.20 30%
EIX Edison International -243.1 -64% -61% -37% -14% 0% 1.69 24%
EJPRY East Japan Railway -227.5 -49% -61% -44% -21% 5% 1.19 20%
EKSO Ekso Bionics Holdings -415.4 -128% -104% -45% 41% -4% 5.10 31%
EKTAY Elekta -83.5 -33% -3% -8% 36% 20% 1.97 87%
EL Estee Lauder-A 43.7 33% 66% 0% 5% 2% 1.54 87%
ELF E L F BEAUTY INC -52.6 -7% -42% -5% -8% -5% 2.96 78%
ELGX Endologix Inc -501.2 -97% -132% -109% -103% -41% 5.15 0%
ELOX Eloxx Pharmaceuticals -23.1 4% -63% -58% -11% 3% 5.45 28%
ELP Companhia Paranaense de Energia Cop 8.6 24% 9% -12% -11% 8% 2.53 35%
ELS Equity Lifestyle Properties 32.0 46% 17% -15% -10% -3% 1.26 54%
ELVT Elevate Credit -701.5 -267% -92% -53% 22% 18% 3.26 33%
ELY Callaway Golf -74.6 -24% 4% -15% 4% 3% 2.29 82%
EMD Western Asset Emerg Mkts Debt -46.1 -7% -24% -8% 2% 1% 0.79 82%
EME Emcor Group -95.7 -7% -31% -31% 4% -7% 1.65 46%
EMF Templeton Emerging Markets -26.8 -10% -21% 4% 7% 4% 1.15 88%
EMHTF Emerald Health Therapeutics Inc -33.3 27% -118% -98% -7% 17% 5.64 6%
EMKR EMCORE -242.4 -88% -95% -1% -7% -7% 2.44 76%
EML Eastern Co -290.0 -102% -51% -26% 12% 6% 2.59 33%
EMLP First Trust North America Engy Infr -221.2 -65% -44% -31% -11% -5% 0.95 46%
EMN Eastman Chemical 1.6 0% -25% 10% 14% 19% 1.77 97%
EMO ClearBridge Energy MLP Opps -555.0 -155% -110% -86% -31% -21% 2.15 17%
EMR Emerson Electric -3.4 3% -15% -3% 3% 1% 1.66 79%
EMRAF Emera 13.9 29% -8% -12% -4% 1% 1.15 74%
EMX EMX Royalty Corp 134.7 85% 181% 95% 37% 2% 2.58 80%
ENAKF EON SE -112.0 -56% -18% 14% -5% -1% 0.73 84%
ENB Enbridge -192.8 -64% -43% -18% -7% -5% 1.44 42%
ENBL Enable Midstream Partners LP -268.6 -33% -92% -70% -25% -21% 2.73 29%
ENDP Endo International PLC -173.8 -42% -93% -13% -14% 7% 4.05 23%
ENGGY Enagas -195.6 -86% -33% -1% -6% -6% 1.36 66%
ENGIY GDF Suez SA -225.8 -76% -40% -23% 2% 3% 1.35 51%
ENGQF Engie -185.4 -57% -41% -22% 4% 5% 1.73 55%
ENIA Enel Americas SA ADR -245.2 -81% -50% -25% -11% 2% 1.65 40%
ENIC Enel Chile SA ADR -404.9 -154% -64% -27% -14% -7% 1.73 34%
ENLAY Enel SpA 47.6 30% 31% 15% -2% -4% 1.31 80%
ENLC Enlink Midstream LLC -338.2 -55% -113% -77% -12% -13% 3.09 25%
ENOB Enochian BioSciences Inc -117.2 -2% -38% -44% -10% -2% 4.92 37%
ENPH Enphase Energy 606.9 86% 4389% 141% 39% -8% 4.57 83%
ENR Energizer Holdings Inc -76.3 -12% -40% -13% -22% -13% 2.06 51%
ENS Enersys -26.6 -6% -27% 1% 2% -3% 2.11 80%
ENSG Ensign Group Inc 60.2 52% 143% 1% 26% 0% 2.33 88%
ENT Global Eagle Entertainment Inc -915.0 -307% -131% -106% -94% -24% 7.04 1%
ENTA Enanta Pharmaceuticals Inc -21.2 18% -30% -45% -13% -4% 2.52 19%
ENTG Entegris 83.4 66% 114% 30% 4% -5% 2.23 79%
ENV Envestnet Inc 26.8 13% 29% 17% -4% -5% 1.96 71%
ENVA Enova International Inc -15.9 9% -13% -37% 10% 1% 2.95 44%
ENX EV NY Municipal Bond -3.4 15% -28% -8% -3% 1% 0.61 85%
ENZ Enzo Biochem -195.4 -15% -111% -46% -4% 0% 3.42 24%
EOCC Nacional de Electricidad de Chile A -187.3 -25% -81% -41% -14% -4% 1.53 28%
EOD Wells Fargo Global Dividend Opportu -141.8 -39% -34% -20% -3% 0% 0.93 62%
EOG EOG Resources -49.6 7% -87% -59% -29% -9% 2.27 20%
EOI EV Enhanced Equity Income 19.8 27% 3% -7% -3% -4% 1.09 85%
EONGY EON SE -61.1 -31% -14% 10% -6% -2% 1.27 80%
EOS EV Enhanced Equity Income II 46.8 39% 17% 4% -3% -3% 1.10 83%
EOT EV National Muni Opps Trust -73.8 -13% -28% -15% 2% 3% 0.79 64%
EPAC Actuant Corp - A -262.3 -94% -51% -21% 14% 7% 2.00 57%
EPAM EPAM Systems Inc 155.6 82% 243% 60% 18% 6% 1.87 88%
EPAY Bottomline Technologies 2.1 6% 6% -5% -21% -15% 2.03 50%
EPC Edgewell Personal Care Co -208.4 -56% -93% -17% -5% -3% 2.19 45%
EPD Enterprise Products Partners LP -44.8 10% -54% -48% -18% -7% 1.51 32%
EPIX ESSA Pharma 53.9 28% -6% 123% 31% 3% 4.51 86%
EPM Evolution Petroleum -39.5 18% -90% -63% -15% -8% 2.78 11%
EPR EPR Properties -54.8 16% -83% -69% -26% -1% 1.97 26%
EPSN Epsilon Energy Ltd -275.2 -90% -72% -23% -2% -4% 2.17 37%
EPZM Epizyme Inc -69.5 -24% -58% 9% -37% 7% 3.75 21%
EQBK Equity Bancshares Inc A -284.3 -62% -84% -52% -12% 7% 1.93 18%
EQC Equity Commonwealth 20.2 35% -14% -12% -12% 0% 0.83 25%
EQIX Equinix Inc 68.2 46% 45% 24% -1% -2% 1.48 85%
EQNR Equinor -10.7 25% -40% -27% 2% 0% 1.84 62%
EQR Equity Residential -43.4 9% -45% -45% -16% 2% 1.34 10%
EQT EQT -1.2 11% -109% 22% 10% -7% 3.21 83%
EQX Equinox Gold Corp 121.5 77% 133% 108% 12% -7% 2.77 84%
ERC Wells Fargo Multi-Sec Income -2.2 12% -18% -8% -2% 1% 0.74 76%
ERF Enerplus Corp -54.4 8% -110% -85% -37% -31% 3.17 11%
ERH Wells Fargo Util & High Income -5.4 13% -17% -13% -13% -2% 1.05 56%
ERIC Telefonaktiebolaget L M Ericsson AD 77.6 60% 70% 27% 16% -2% 1.84 85%
ERIE Erie Indemnity-A 72.3 67% 66% 3% 12% 1% 1.54 96%
ERII Energy Recovery Inc -131.7 -40% -12% -22% -9% 7% 2.53 47%
ERIXF LM Ericsson Telephone 71.3 52% 62% 27% 15% -3% 1.78 87%
ERJ Embraer-Empresa Brasileira ADR -553.5 -155% -111% -84% -32% -3% 2.52 4%
EROS Eros International PLC -184.1 -17% -115% -37% -24% -5% 4.43 41%
ERYP Erytech Pharma -64.0 -25% -109% 30% -26% 7% 3.45 52%
ES Eversource Energy 22.2 36% 7% -13% -11% -6% 1.23 49%
ESALY Eisai Co 111.6 73% 44% 73% 8% 4% 1.88 99%
ESBA Empire State Realty OP -194.0 -1% -99% -63% -13% 4% 1.68 6%
ESCA Escalade 50.9 11% 26% 64% 48% 0% 2.30 94%
ESE ESCO Technologies 21.1 26% 17% -4% -2% -4% 1.63 48%
ESGR Enstar Group Ltd -170.7 -36% -59% -30% -10% -17% 1.53 47%
ESI Element Solutions Inc -130.5 -51% -35% -3% -2% 9% 2.11 78%
ESLOY Essilor International SA -113.6 -30% -24% -19% -6% 2% 1.33 52%
ESLT Elbit Systems -103.1 -6% -41% -32% -20% -7% 1.44 20%
ESNT Essent Group Ltd -231.4 -70% -36% -34% -4% 7% 2.27 50%
ESOCF Enel SpA 35.2 28% 13% 9% -2% -4% 1.38 78%
ESPR Esperion Therapeutics Inc -208.7 -83% -55% -3% -17% 18% 3.37 25%
ESQ Esquire Financial Holdings -109.6 -3% -25% -43% -11% -7% 2.27 28%
ESRT EMPIRE ST RLTY TR INC CL A -232.1 -19% -99% -64% -14% 5% 1.64 5%
ESS Essex Property Trust -45.7 4% -45% -44% -16% 2% 1.38 22%
ESSA ESSA Bancorp -118.4 -22% -37% -25% -16% -2% 1.51 41%
ESTE Earthstone Energy -801.0 -319% -107% -46% -18% -21% 4.18 20%
ESXB Community Bankers Trust -290.6 -74% -70% -48% -4% 4% 1.96 18%
ET Energy Transfer LP -372.5 -97% -87% -60% -28% -6% 1.98 23%
ETB EV Tax-Managed Buy-Write -71.8 -14% -24% -14% -6% 1% 0.95 69%
ETFC ETrade Financial 14.0 16% -4% 6% 0% -1% 2.00 89%
ETG EV Tax Adv Global Dividend -59.6 -13% -18% -10% 1% -1% 1.10 70%
ETH Ethan Allen Interiors -194.3 -48% -73% -25% 21% 11% 2.14 63%
ETJ EV Risk-Mgd Divers Equity 55.6 45% 8% 6% -2% -2% 0.92 89%
ETM Entercom Communications -249.1 -15% -118% -70% -27% 0% 3.36 15%
ETN Eaton 44.4 36% 14% 16% 9% 5% 1.59 96%
ETO EV Tax Adv Global Div Opps -87.0 -19% -18% -18% -5% -1% 1.16 69%
ETR Entergy 8.0 32% 4% -25% -5% -2% 1.32 34%
ETSY Etsy Inc 180.7 102% 520% 79% 10% -13% 2.92 77%
ETV EV Tax-Managed Buy-Write Opps 2.2 9% -10% -3% -5% -1% 0.95 88%
ETW EV Tax-Managed Glb B-W Opps -88.7 -23% -33% -10% -1% -1% 1.02 78%
ETX EV Municipal Income 2028 Term Tru 13.1 21% -16% -5% -1% 3% 0.72 90%
ETY EV Tax-Managed Div Equity Income 17.4 30% -6% -10% -2% 0% 1.04 79%
EURN Euronav NV 37.8 32% 17% 23% 13% 6% 2.23 67%
EV Eaton Vance -114.6 -20% -44% -23% -10% 1% 1.82 56%
EVA Enviva Partners LP 57.1 29% 42% 22% 5% -5% 1.30 85%
EVBG Everbridge Inc 157.5 77% 393% 81% -5% 0% 2.68 72%
EVBN Evans Bancorp -305.0 -82% -74% -46% -3% 1% 1.84 12%
EVC Entravision Communications -453.8 -128% -104% -65% -30% -5% 3.12 11%
EVF EV Senior Income Trust -90.3 -33% -21% -5% 5% 5% 0.66 89%
EVFM Evofem Biosciences -172.8 -12% -23% -67% -23% -26% 5.14 7%
EVG EV Short Duration Diversified -100.8 -23% -34% -16% -4% 3% 0.57 64%
EVH Evolent Health Inc A -33.3 -17% -59% 44% 85% -10% 3.67 79%
EVI EVI Industries INC -167.4 -43% -43% -27% 1% 5% 3.14 57%
EVN EV Municipal Income -15.8 1% -20% -7% -4% 0% 0.62 81%
EVR Evercore Partners -26.1 1% -38% -28% 9% 8% 2.08 67%
EVRI Everi Holdings Inc -268.2 -108% -21% -19% 35% 15% 3.39 52%
EVT EV Tax Advantaged Dividend -71.7 -9% -16% -22% -5% 0% 1.07 62%
EVTC EVERTEC Inc 26.8 24% 57% -3% 16% -1% 1.97 94%
EVTCY Evotec 24.4 37% -13% 6% -13% 5% 2.18 68%
EVV EV Limited Duration Income -7.5 9% -26% -7% 0% 3% 0.64 81%
EVY EV NY Municipal Income 21.6 32% -21% -7% -4% 0% 0.63 81%
EW Edwards Lifesciences 61.4 48% 89% 6% 11% 7% 1.72 88%
EWBC East West Bancorp -253.4 -71% -67% -33% -17% -6% 2.14 43%
EXAS Exact Sciences 13.1 45% 50% -35% -21% -3% 3.01 59%
EXC Exelon -100.9 -7% -29% -34% -13% -4% 1.33 29%
EXD EV Tax-Advantaged Bond & Option Str -9.3 9% -31% -8% -6% -3% 1.00 79%
EXEL Exelixis -265.1 -133% -35% 27% 4% 21% 2.72 95%
EXFO EXFO -286.0 -110% -46% -18% 21% -6% 2.75 50%
EXG EV Tax-Mgd Gbl Div Equity Income\D -8.4 9% -23% -11% 0% 1% 1.09 76%
EXK Endeavour Silver Corporation -90.1 -45% 40% 59% 121% 11% 3.49 86%
EXLS Exlservice Holdings -64.3 -13% -16% -13% -2% 0% 1.57 60%
EXP Eagle Materials -210.6 -74% -48% -15% 16% 6% 2.04 82%
EXPD Expeditors International of WA 46.2 29% 34% 14% 17% 6% 1.35 95%
EXPE Expedia -211.9 -44% -65% -40% 7% 9% 2.00 52%
EXPGF Experian 65.3 35% 74% 17% 7% 11% 1.33 100%
EXPGY Experian PLC 77.9 49% 83% 19% 10% 12% 1.46 100%
EXPI eXp World Holdings 326.1 20% 1144% 351% 193% -2% 3.61 83%
EXPO Exponent 77.5 75% 82% -5% -11% -8% 1.51 63%
EXPR Express Inc -418.0 -93% -119% -76% -59% -19% 4.02 0%
EXR Extra Space Storage 20.5 31% 20% -13% 11% 9% 1.32 89%
EXTN Exterran Corp -237.8 -12% -114% -69% -11% 14% 3.46 20%
EXTR Extreme Networks -359.2 -93% -97% -54% -9% -7% 3.15 38%
EYPT EyePoint Pharmaceuticals -415.3 -100% -86% -79% -41% 15% 4.26 5%
EZPW EZCorp -174.6 -22% -77% -39% -22% -4% 2.28 44%
F Ford Motor -331.6 -118% -59% -28% 9% 7% 1.79 60%
FAF First American Financial Corp -51.2 -3% -15% -17% -2% 7% 1.51 61%
FAM First Trust/Aberdeen Global Oppos I -39.1 -7% -21% -6% -1% 3% 0.63 79%
FANG Diamondback Energy Inc -36.5 36% -96% -75% -34% -20% 2.86 23%
FANH Fanhua Inc 9.2 40% 45% -38% -10% -10% 2.69 30%
FANUY Fanuc Corp -90.3 -28% -33% -6% 0% 10% 1.73 96%
FARM Farmer Bros -301.2 -36% -116% -76% -48% -28% 2.64 2%
FARO Faro Technologies 6.8 6% 22% -2% 3% -2% 2.25 82%
FAST Fastenal 96.1 68% 84% 29% -1% -7% 1.60 74%
FATE Fate Therapeutics 171.3 74% 791% 109% 17% 10% 4.22 100%
FAX Aberdeen Asia-Pacific Income -86.8 -28% -30% -6% 5% 0% 0.73 90%
FB FaceBook 36.9 25% 16% 22% -1% -2% 1.84 67%
FBASF Fibra Uno Administracion -341.9 -84% -88% -58% -25% 4% 4.03 12%
FBC Flagstar Bancorp -204.2 -61% -41% -28% 0% 4% 1.79 62%
FBHS Fortune Brands Home & Security Inc 49.1 18% 5% 51% 31% 3% 1.88 96%
FBIO Fortress Biotech -46.5 -23% -25% 176% 51% 37% 4.70 100%
FBIZ First Business Financial Services -194.6 -33% -56% -45% -10% -9% 1.88 17%
FBK FB Financial Corp -137.8 -12% -55% -39% 5% 0% 1.87 48%
FBM Foundation Building Materials -2.9 21% -12% -22% -11% 0% 2.56 54%
FBMS First Bancshares Inc -230.3 -52% -56% -44% -12% -1% 1.59 29%
FBNC First Bancorp NC -29.3 30% -63% -51% -15% 1% 1.88 10%
FBP First BanCorp -19.4 29% -27% -52% -2% 2% 2.26 28%
FC Franklin Covey -16.7 45% -34% -60% -25% -8% 2.24 19%
FCAP First Capital 37.8 50% 49% -7% -28% 0% 2.17 39%
FCAU Fiat Chrysler Automobiles NV -13.5 15% -48% -20% 25% 10% 2.16 60%
FCBC First Community Bancshares -19.3 41% -55% -49% -13% -3% 1.82 6%
FCBP First Choice Bancorp -228.5 -51% -66% -41% -12% -10% 1.81 16%
FCCO First Community -175.9 -33% -59% -36% -12% 11% 1.65 23%
FCCY 1st Constitution -201.4 -40% -58% -42% -10% -4% 1.77 22%
FCEL FuelCell Energy 154.2 26% -118% 598% 12% -16% 6.57 76%
FCF First Commonwealth Financial -201.0 -27% -68% -51% -11% -6% 1.83 9%
FCFS FirstCash Inc -32.2 14% -29% -47% -15% 0% 1.67 10%
FCN FTI Consulting 87.8 75% 169% -14% -5% -8% 1.67 11%
FCNCA First Citizens Bancshares-A -131.1 -15% -34% -39% -23% -14% 1.74 22%
FCO Aberdeen Global Income -165.9 -61% -25% -13% 6% -5% 1.06 75%
FCOM Fidelity MSCI Communication Servic 37.7 38% -1% 3% -1% -1% 1.14 76%
FCPT Four Corners Property Trust Inc -100.3 -28% -16% -16% 2% 5% 1.70 67%
FCT First Trust Senior FR Income II -124.9 -47% -27% -7% -4% 3% 0.62 85%
FCX FreePort-McMoRan Inc -116.4 -58% -8% 54% 55% 15% 2.72 100%
FDBC Fidelity D & D Bancorp -48.7 -5% 7% -22% 2% 12% 2.77 54%
FDEU First Trust Dynamic Europe Equity I -187.3 -47% -59% -27% -4% 1% 1.09 46%
FDP Fresh Del Monte Produce -265.0 -73% -80% -33% -9% 2% 1.99 13%
FDS FactSet Research Systems 86.6 71% 81% 9% 4% -5% 1.47 85%
FDUS Fidus Investment Corp BDC -287.8 -92% -44% -37% 9% 0% 1.55 56%
FDX FedEx 75.1 63% -15% 52% 71% 19% 1.91 95%
FE FirstEnergy -28.7 23% -28% -48% -32% 3% 1.36 9%
FEI First Trust MLP & Energy Inc Fund -648.1 -234% -87% -61% -23% -7% 1.60 27%
FELE Franklin Electric 18.7 5% 14% 18% 12% 2% 1.87 97%
FEN First Trust Energy Inc & Growth -474.8 -152% -78% -60% -21% -5% 1.55 25%
FENC Fennec Pharmaceuticals -11.2 -4% -75% 23% -35% 14% 3.15 39%
FENG Phoenix New Media Ltd ADR -174.8 -9% -99% -45% -23% -16% 3.10 8%
FEO First Trust/Aberdeen Emerging Oppos -98.5 -33% -31% -6% 1% 0% 0.93 78%
FERGY Ferguson PLC 42.5 23% 35% 21% 12% 0% 1.60 95%
FET Forum Energy Technologies Inc -322.2 -41% -128% -77% -16% 22% 5.31 25%
FEYE FireEye Inc -140.5 -30% -59% -20% -9% -14% 2.22 45%
FF FutureFuel Corp -3.7 -2% -16% 32% 1% -2% 2.09 77%
FFA First Trust Enhanced Equity Income 7.6 20% -6% -10% -2% 0% 1.10 77%
FFBC First Financial Bancorp OH -247.8 -43% -75% -56% -12% -8% 2.06 12%
FFC Flah&Crum Pref Securities Income -23.1 -11% -5% 1% 2% 4% 0.96 95%
FFG FBL Financial Group -21.0 5% -48% -20% 37% 35% 1.95 77%
FFIC Flushing Financial -252.0 -48% -85% -50% 0% 1% 1.82 21%
FFIN First Financial Bankshares 19.1 44% 14% -21% -12% -4% 1.81 45%
FFIV F5 Networks -11.6 17% -29% -23% -19% -9% 1.64 47%
FFNW First Financial Northwest -438.2 -148% -72% -47% -8% 1% 1.93 17%
FFWM First Foundation Inc -197.4 -69% -47% -14% -15% -7% 1.86 67%
FFXDF Fairfax India Holdings -622.5 -236% -91% -45% -23% -2% 1.91 23%
FGB First Trust Specialty Finance -425.2 -122% -79% -64% -30% -11% 1.66 24%
FGBI First Guaranty Bancshares -231.3 -42% -77% -48% -3% -1% 2.40 18%
FGEN Fibrogen Inc -105.1 -38% -48% 2% 5% 8% 2.91 86%
FGP Ferrellgas Partners -238.0 -4% -125% -74% -23% -4% 4.50 22%
FHB First Hawaiian Inc -417.9 -134% -71% -51% -19% -6% 1.74 12%
FHI Federated Hermes Inc -174.9 -34% -44% -39% -12% -11% 1.98 41%
FHN First Horizon National -338.3 -98% -72% -48% -12% 4% 2.06 31%
FI Frank's International NV -292.3 -49% -102% -63% -1% 0% 3.60 14%
FIBK First Interstate Bancsystem -123.2 -25% -32% -26% -3% 5% 1.67 44%
FICO Fair Isaac 99.6 54% 191% 26% -4% 4% 1.87 94%
FIF First Trust Energy Infra Fund -321.0 -92% -66% -47% -17% -7% 1.41 32%
FIS Fidelity National Information Servi 71.9 74% 30% 0%